XLMUSDT is trading at $0.18 in a risk-off, consolidating environment, with macro trend metrics bearish but short-term structure tightly coiled. The data points to high choppiness, low directional conviction, and strong BTC linkage.
1. Regime, Sentiment & Cross-Market Context
- Regime: RISK OFF (Score -0.40)
- MMS Score: 3.40, Pattern: consolidation, Strategy flag: WAIT
- Alt Breadth (AB): BEAR, -0.44 (Powerlvl1)
- Stablecoin Pressure (SPI): BEAR, 0.28
- Leverage Pressure (LPI): BALANCED, -0.21, with Funding 6.7310%, OI Δ -0.14%
- OI Delta (OID): NEUTRALLVL0, -0.10
- FOP Index: NEUTRAL, 0.07
- DPC: NEUTRAL (0.30)
- Crypto Equity Weight (CEW): DECOUPLED (-1.00)
Market context (all provided values):
- Dominances: USDT -0.12%, BTC -0.18%, ETH +0.22% (all sideways)
- Traditional/crypto benchmarks: VIX 18.58 (+18.58%), SPX +0.12%, GOLD -0.25%, NDX +0.13%, DOLLAR +0.06%
- Crypto aggregates: TOTAL1 +1.52%, TOTAL2 +1.94%, TOTAL3 +1.39%, BTC -0.02%, ETH +0.19%
This combination describes a risk-off but not panicked backdrop, with alts broadly weak and XLM operating inside that context.
2. Structure, Key Levels & Volatility Compression
Support & Resistance:
- R3: $0.19, R2: $0.19, R1: $0.18
- S1/S2/S3: $0.17
Patterns & Trend:
- 4H Trend: Uptrend (HH + HL), with $0.20 as a recent HH and multiple pivots at $0.18.
- 1D Pattern: Symmetrical Triangle (LH + HL) from $0.30 → $0.25 → $0.22 → $0.20 (lower highs) and $0.17 → $0.18 (higher lows).
- Macro EMAs (1D): Price below EMA 8/20/50/200, all sloping down slightly, confirming a bearish macro.
Volatility & Squeeze:
- TTM Squeeze: Active on 1D and 1W.
- Bollinger Bandwidth:
- 4H: 0.05 → 0.05 (-2.74%)
- 1D: 0.11 → 0.08 (-21.70%)
- CHOP: 4H 62.07, 1D 76.08 (high choppiness).
- HV/HV%:
- 4H: HV 17.63, HV% 17.96 (slight uptick)
- 1D: HV 47.32, HV% 26.02 (rising)
These metrics collectively describe tight volatility bands with rising realized volatility inside a choppy, non-trending structure.
3. EMAs, Oscillators, Volume Profile & Correlation
EMAs (4H):
- Price slightly above EMA 8/20 and below EMA 50/200.
- Slopes: EMA 8 +0.25%, EMA 20 +0.07%, EMA 50 -0.03%, EMA 100 -0.04%, EMA 200 -0.03%.
- Trend flags: Bearish (20 < 50), Macro Bearish (50 < 200).
EMAs (1D):
- Price below all: EMA 8 $0.18 (-0.84%), EMA 20 $0.19 (-2.44%), EMA 50 $0.19 (-3.46%), EMA 200 $0.20 (-7.49%).
- All slopes slightly negative; trend and macro flags both Bearish.
Oscillator Scanner:
- 1H: RSI 61.7, Stoch 62.5, MFI 69.1.
- 4H: RSI 51.4, Stoch 78.1, MFI 71.9.
- 1D: RSI 45.4, Stoch 33.0, MFI 52.9.
- 1W: RSI 47.7, Stoch 27.2, MFI 46.7.
These show neutral-to-moderate readings, with intraday flows relatively active (MFI > 70 on 4H) and higher timeframes near mid-range.
Volume Profile:
- 4H:
- POC $0.18, HVN $0.19, VAH $0.19, VAL $0.18.
- 1D:
- POC $0.18, HVN $0.19, VAH $0.23, VAL $0.17.
Volume is heavily concentrated between $0.18 and $0.19, with $0.18 as the main POC across timeframes.
Naked POCs (4H):
- NPOCs at $0.18, $0.19, $0.20.
1D NPOC: None active.
BTC Correlation (4H):
- Correlation: 0.93
- Beta: 1.41
- Expected Move: -0.25%
- Actual vs Expected: -0.19%
- Lag Signal: NEE, Catch-up Probability: 100.0% (as reported)
XLM is tightly coupled to BTC with amplified relative movement.
4. Orderflow, CVD, OI & Funding
Orderflow & CVD (4H):
- CVD Trend: Falling, Net Delta -$562,432.
- Buy/Sell: 49.2% Buy / 50.8% Sell.
- Recent deltas: mix of positive and negative, with net selling while price holds $0.18.
Orderflow & CVD (1D):
- CVD Trend: Falling, Net Delta -$1,408,259.
- Buy/Sell: 48.9% Buy / 51.1% Sell.
- Multi-day deltas show persistent net negative flow at $0.18.
Open Interest & Funding (4H snapshot):
- OI Change (24h): +3.14%.
- Latest Funding: 0.000100%, Avg Funding -0.000076%.
- Market State: Neutral.
- OI rising from 212.520M → 219.594M with funding near zero.
Open Interest & Funding (1D):
- OI Change (24h): -1.42% (daily view), but recent path: 215.241M → 207.461M → 218.697M.
- Latest Funding: 0.000084%, Avg 0.000025%, State: Neutral.
Global Liquidations:
- No significant volatility peaks detected (24h).
Overall, derivatives data show engaged but balanced positioning, with net selling in CVD and neutral funding/OI labels.
5. Additional Technical Details & Smart Money Concepts
Smart Money Concepts:
- FVG: 0.2% (Res) @ $0.18 – small fair value gap acting as resistance at current price.
- Price Action Events:
- 4H ADX🟢 @ $0.18 (2 bars ago)
- 1D ADX🟢 @ $0.18 (1 bar ago)
Divergences:
- 4H: No divergence signals.
- 1D: Bullish OBV divergence on 09-07-26.
Japanese Candlestick Patterns:
- None detected for XLM in the provided data.
Technical Stats Highlights:
- 4H:
- Volume -44.14%, ATR slightly down, Bollinger Bandwidth 0.05 (-2.74%), ADX 21.01 (-4.77%), CHOP 62.07, CMF 0.15 (-21.30%), CCI 78.82 (+18.32%).
- 1D:
- Volume +85.89%, ATR slightly down, Bollinger Bandwidth 0.08 (-21.70%), ADX 8.28 (-6.98%), CHOP 76.08, CMF 0.11 (+659.29%), CCI -108.38 (+34.32%), ZSCORE20 -0.76 (from -1.68).
These metrics reinforce a highly choppy, low-trend, volatility-compressed environment with notable volume at $0.18, improving money flow on the daily, and macro EMAs still pointing down.
Need-to-know summary:
XLM is locked in a tight $0.17–$0.19 band, trading at $0.18 inside a daily symmetrical triangle and weekly/daily TTM squeezes, with macro EMAs bearish, alt breadth weak, stablecoin pressure bearish, and strong BTC correlation (0.93). Volume and value are clustered at $0.18–$0.19, CVD shows net selling with price stable, and derivatives metrics (OI, funding, LPI, OID, FOP) are neutral to balanced, collectively describing a coiled, directionless structure embedded in a broader bearish backdrop.
⚠️ RISK WARNING & AI DISCLOSURE
- This information is generated by Artificial Intelligence (AI) and complex algorithms. While advanced, these systems can contain errors or inaccuracies and are for educational purposes only.
- Technical analysis provides no guarantees; this information is purely informative.
- All discussed scenarios are hypothetical and do not constitute predictions or expectations.
- Past performance is not an indicator of future results.
- This is not financial advice and is not intended as a call-to-action for the reader.
- No implicit direction is claimed, and no specific behavior of market participants is suggested.

