XLM is trading at $0.21, sitting on a key support band, with uptrend structures on both 4H and 1D but within a risk-off macro regime and bearish altcoin environment. Below is a concise overview of the most important structural and data-driven elements.
1. Macro Regime, Sentiment & Derivatives
- Regime: RISK OFF (Score -0.80), MMS Score 2.70, neutral pattern.
- Context:
- VIX: strong_up to 16.78 (+16.78%).
- TOTAL 1/2/3: -0.89% / -0.97% / -0.82%.
- BTC: -0.85%, ETH: -1.39%.
- Alt Breadth (AB): BEAR, -1.21 (Powerlvl1) – weak altcoin participation.
- Stablecoin Pressure (SPI): BEAR, 1.25 – stablecoin dynamics aligned with pressure.
- Leverage Pressure (LPI): MODERATE SHORT LEVERAGE, -0.66, funding 4.5870%, OI Δ 0.26% – moderate short-side leverage presence.
- OI Delta (OID): MODERATEBEARISHLVL_-1, 4.00 – OI behavior aligned with bearish tone.
- FOP Index: PRICE LED BEARISH, -0.27, with fund -2.50, OI -2.22%, P -1.80% – price weakness leading derivatives adjustments.
- DPC: NEUTRAL (-0.11) – no strong dominance/price conflict.
- CEW: CORRELATED (1.00) – XLM moving in line with the broader crypto-equity composite.
- ETF Dashboard: No ETF-specific data provided.
- Global Liquidations: No significant volatility peaks (24h) – no major liquidation-driven moves.
2. Structure, Key Levels & Volume Profile
Support & Resistance:
- Resistance: R1 $0.23, R2 $0.25, R3 $0.26
- Support: S1 $0.21, S2 $0.20, S3 $0.18
- Current price $0.21 is right on S1.
Trend:
- 4H: Uptrend (HH + HL), recent HH at $0.25, HL at $0.21.
- 1D: Uptrend (HH + HL), major HH at $0.30, HL at $0.17.
Fibonacci:
- 4H:
- 50%: $0.21 (current price), 61.8%: $0.22, 78.6%: $0.23.
- 1D:
- 38.2%: $0.20, 50%: $0.22, 61.8%: $0.24.
Smart Money Concepts:
- FVG: 4.9% (Res) @ $0.23 – resistance-aligned fair value gap.
- 4H ADX event at $0.21 (2 bars ago) – recent directional movement signal at current price.
Volume Profile 4H:
- POC: $0.19, HVN: $0.18, LVN: $0.21, VAH: $0.21, VAL: $0.18.
- Price is at VAH/LVN ($0.21), with heavy volume below (0.18–0.19).
Volume Profile 1D:
- POC: $0.26, VAH: $0.30, VAL: $0.17, HVN: $0.19.
- Current price is below daily POC and VAH, above VAL.
Naked Point of Control (NPOC):
- 4H NPOC: $0.24 – untested volume node above price.
- 1D NPOC: None active.
LTLB Structure:
- 4H: Last Top $0.22, Last Bottom $0.21 – price near recent bottom.
- 1D: Last Top $0.25, Last Bottom $0.17 – price mid-range between them.
3. Volatility, Oscillators, Divergences & Correlation
TTM Squeeze:
- Active on 1H and 1W – volatility compression on short and long horizons.
Japanese Candlesticks:
- No patterns detected for XLM in this dataset.
Oscillators:
- 1H: RSI 43.4, Stoch 32.1, MFI 39.9 – sub-neutral intraday momentum.
- 4H: RSI 47.8, Stoch 36.1, MFI 45.9 – near-neutral.
- 1D: RSI 55.9, Stoch 56.3, MFI 65.7 – stronger daily momentum and money flow.
- 1W: RSI 48.8, Stoch 32.5, MFI 48.8 – mixed weekly picture.
Divergences:
- 4H: Bullish OBV divergence (19-06-26) – volume accumulation stronger than price implied.
- 1D: No divergence signals.
BTC Correlation (4H):
- Pearson: -0.23, Beta: 0.59 – mild negative correlation, lower volatility vs BTC.
- Expected Move: -0.02%, Actual vs Expected: -0.59% – larger realized move than expected.
- Lag Signal: NEE, Catch-up Probability: -22.9% (as given).
4. EMAs, Orderflow, Open Interest & Funding
4H EMAs:
- Price vs EMAs:
- EMA 8 $0.21 (-1.23%), EMA 20 $0.22 (-2.18%), EMA 50 $0.21 (-0.85%), EMA 200 $0.20 (+7.02%).
- Slopes: mostly slightly positive, except EMA 20 (-0.10%).
- Trend: Bullish (20 > 50), Macro: Bullish (50 > 200).
1D EMAs:
- Price vs EMAs:
- EMA 8 $0.21 (-1.17%), EMA 20 $0.21 (+3.05%), EMA 50 $0.19 (+11.03%), EMA 200 $0.20 (+6.15%).
- Slopes: all positive.
- Trend: Bullish (20 > 50), Macro: Bearish (50 < 200) – long-term trend still classified as bearish.
Orderflow & CVD – 4H:
- CVD Trend: Rising, Net Delta: $32,056.
- Buy/Sell: 50.1% Buy / 49.9% Sell.
- CVD Divergence: Bullish (Price Down, CVD Up – Absorption).
- Recent deltas show mixed flows with net positive bias.
Orderflow & CVD – 1D:
- CVD Trend: Falling, Net Delta: $-5,277,533.
- Buy/Sell: 48.7% Buy / 51.3% Sell – net selling over the daily horizon.
- Divergence labeled Consistent, without explicit bullish/bearish tag.
Open Interest & Funding – 4H Snapshot:
- OI Change (24h): -2.58%.
- Latest Funding: -0.000054%, Avg: -0.000102%.
- Market State: Neutral.
- OI has inched up intraday from ~239M to ~244M with slightly negative funding.
Open Interest & Funding – 1D:
- OI Change (24h): -21.91% – notable OI reduction.
- Latest Funding: -0.000150%, Avg: -0.000083%.
- Market State: Neutral.
- OI has declined steadily from 248.456M to 235.287M over recent days.
5. Technical Stats & Volatility Snapshot
4H Technicals:
- Volume: -43% vs prior bar – lower activity.
- ATR: -2.42% – slightly lower intrabar volatility.
- MACD suite: near zero, with histogram less negative (+20.24%) – subtle momentum adjustment.
- Bollinger Bandwidth: 0.15 (-8.76%) – volatility compression.
- ADX: 18.54 (-4.80%), +DI 17.32, -DI 15.23 – weak and softening trend strength.
- Supertrend DIR: 1, unchanged.
- CMF: -0.30, improved from -0.35 – still negative but less so.
- CCI: -58.83 – below typical range.
- CHOP: 81.21 – very choppy conditions.
- HV: 34.40, HV% 78.88 – stable realized volatility.
1D Technicals:
- Volume: -49.82% – sharp drop in daily participation.
- ATR: -4.40% – lower daily range.
- MACD: positive but slightly weaker (MACD -2.72%, histogram -34.58%).
- Bollinger Bandwidth: 0.31 (-17.41%) – strong volatility contraction.
- ADX: 29.46, +DI 28.67, -DI 15.92 – solid trend strength with rising -DI.
- Supertrend DIR: -1, unchanged – daily Supertrend still in down mode.
- CMF: -0.23, more negative – weakening money flow.
- CCI: 27.75, down from 48.14 – cooling from stronger positive deviation.
- CHOP: 48.40 – balanced trend/chop mix.
- HV: 96.37 (-13.88%), HV% 81.94 (-6.29%) – declining realized volatility from elevated levels.
Core Takeaways
- XLM trades at $0.21, directly on S1 and the 4H 50% Fib, with 4H and 1D uptrend structures but a macro RISK OFF regime and bearish alt breadth (AB -1.21).
- Derivatives metrics (LPI, OID, FOP Index, OI reduction, slightly negative funding) collectively indicate moderate bearish pressure and position reduction, not extremes.
- 4H orderflow (rising CVD, bullish CVD and OBV divergences) and bullish EMA configurations show supportive intraday structure, while daily CVD and CMF remain negative, reflecting longer-horizon selling pressure.
- Volatility is compressing (TTM Squeeze 1H/1W, narrowing Bollinger Bands, falling ATR and HV), and 4H CHOP is very high, pointing to choppy, range-prone conditions around current levels.
⚠️ 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.

