Solana (SOLUSDT) trades at $73.88, positioned between support at $71.24 and resistance at $77.96, in a risk-off crypto environment. Below is a concise overview of the most critical structural and data-driven elements.
1. Macro Regime & Sentiment
- Regime: RISK OFF (Score: -0.60)
- Strategy Label: DEFENSIVE
- MMS Score: 2.60, pattern: down_trend
- Context:
- VIX: 17.65 (+17.65%), strong_up
- TOTAL1: -0.46%, TOTAL2: -0.58%, TOTAL3: -1.02%
- BTC: -1.44%, ETH: -1.57%
- NDX: +0.49%, DOLLAR: +0.09%
Alt & Liquidity Signals:
- Alt Breadth (AB): BEAR, -0.39 (Powerlvl1)
- Stablecoin Pressure (SPI): BEAR, 0.52
- FOP Index: CONFIDENCE LOSS, Value 0.04, OI -0.19%, P -1.70%
- Dominance Price Conflict (DPC): NEUTRAL (-0.09)
- Crypto Equity Weight (CEW): DECOUPLED (-1.00)
Overall, the macro backdrop is defensive, with bearish alt breadth, bearish stablecoin pressure, and confidence loss in derivatives.
2. Price Structure, Trend & Key Levels
Live Price: $73.88
Support & Resistance
- R3: $84.68
- R2: $80.59
- R1: $77.96
- S1: $71.24
- S2: $67.15
- S3: $64.52
Price is between S1 and R1, near volume landmarks.
Trend Structure
- 4H Trend: Uptrend (HH + HL)
- Recent HL: $69.74
- Recent HH: $73.93
- 1D Trend: Downtrend (LH + LL)
- Recent LHs: $76.09, $75.00
- LL: $60.13
Smart Money Concepts:
- FVG Support: 4.2% (Sup) @ $71.09
- 4H BOS: $73.93 (3 bars ago)
- 1D CHoCH: $75.00 (1 bar ago)
- 1D ADX Event: $74.19 (1 bar ago)
Volume Profile (4H):
- POC: $73.24
- VAH: $74.32
- VAL: $68.91
- NPOCs: $73.92, $66.32, plus higher NPOCs at $84–$86
Volume Profile (1D):
- POC: $83.43
- VAL: $73.44
- HVN: $65.29
- NPOCs: $83.72, $89.16
SOL trades near 4H POC ($73.24), 4H NPOC ($73.92), and daily VAL ($73.44), indicating clustering around key volume nodes.
3. Momentum, Volatility & Indicators
TTM Squeeze
- 1D: active
- 1W: active
Indicates compressed volatility on higher timeframes.
Candlestick Patterns
- 4H:
- Div Bear @ $75.16 (2 bars ago)
- Outside Bull @ $73.92 (4 bars ago)
- 1D:
- Piercing Bull @ $71.38 (2 bars ago)
Patterns are mixed, with both bullish and bearish elements.
Oscillators
| TF | RSI | Stoch | MFI |
|---|---|---|---|
| 1H | 51.4 | 33.2 | 53.0 |
| 4H | 58.4 | 65.9 | 72.3 |
| 1D | 55.9 | 89.3 | 46.4 |
| 1W | 35.0 | 29.4 | 36.6 |
- 4H: moderate strength, elevated MFI.
- 1D: moderate RSI, high Stoch.
- 1W: subdued momentum.
EMA Structure
4H EMAs:
- Price above EMA 8 ($73.78), EMA 20 ($72.53), EMA 50 ($71.47), EMA 200 ($73.09).
- Slopes all positive, with Trend: Bullish (20 > 50), Macro: Bearish (50 < 200).
1D EMAs:
- Price above EMA 8 ($71.59) and EMA 20 ($71.52), below EMA 50 ($75.28) and EMA 200 ($97.63).
- Trend: Bearish (20 < 50), Macro: Bearish (50 < 200), with short EMAs turning up.
Key Technical Stats (Highlights)
4H:
- Close: $74.19 (-1.29%) vs prior bar
- Volume: +6.19%
- MACD: 1.09 (+0.73%), Signal: 0.77 (+11.39%), Histogram: 0.32 (-18.38%)
- ADX: 18.28 (+3.05%)
- CMF: 0.18 (-10.60%)
- CCI: 145.32 (-36.66%)
- HV: 25.97 (+1.09%), HV%: 54.08 (+2.40%)
1D:
- Close: $75.16 (+5.30%) vs prior day
- Volume: +125.93%
- MACD: -0.87 (+34.92%), Signal: -1.70 (+10.96%), Histogram: 0.84 (+43.56%)
- ADX: 22.46 (-5.52%)
- CMF: 0.08 (+259.07%)
- CCI: 109.52 (+182.17%)
- HV: 60.27 (+2.80%), HV%: 22.35 (+15.74%)
These stats show improving daily momentum and money flow, rising volatility, and slightly cooling 4H momentum.
4. Orderflow, CVD, Derivatives & Leverage
Orderflow & CVD
4H:
- CVD Trend: Falling
- Net Delta: $-1,552,773
- Buy/Sell: 49.8% / 50.2%
- CVD Divergence: Bearish (Price Up, CVD Down)
1D:
- CVD Trend: Rising
- Net Delta: $2,464,403
- Buy/Sell: 50.6% / 49.4%
Short-term (4H) flows show net selling and bearish divergence, while daily flows are net positive.
Open Interest & Funding
4H Snapshot:
- OI Change (24h): -4.62%
- Funding: 0.000100%
- Market State: Neutral
1D Snapshot:
- OI Change (24h): +3.24%
- Funding: 0.000100%, Avg: -0.000034%
- Market State: Neutral
Leverage Pressure (LPI):
- LPI: BALANCED, Value -0.39, Funding (LPI metric): 6.7616%, OI Δ: -0.29%
OI Delta (OID):
- OID: MODERATEBEARISHLVL_-1, Value 0.33, Align 0.33
Derivatives data indicates balanced funding, modest OI changes, and a moderately bearish OI tilt within a neutral leverage state.
5. Correlation, ETF Flows & Structural Takeaways
BTC Correlation (4H)
- Correlation: 0.25
- Beta: 1.74
- Expected Move: -1.83%
- Actual vs Expected: +0.54%
- Lag Signal: JA
- Catch-up Probability: 25.0%
SOL shows weak positive correlation with BTC and higher relative volatility (beta > 1).
SOL ETF Dashboard
Recent flows:
- 2026-06-29: +5.5M
- 2026-06-26: +2.0M
- 2026-06-25: -3.9M
- Earlier June: alternating inflows and outflows, with +2.7M (15th) and +3.0M (18th).
ETF data shows recent net-positive flows, with notable variability.
Key Structural Summary
- Macro: Risk-off, defensive, with bearish alt breadth, bearish SPI, and confidence loss in FOP.
- Trend:
- 4H: Uptrend, bullish EMAs, bullish Supertrend.
- 1D: Downtrend, bearish EMA structure, bearish Supertrend, but CHoCH at $75.00 and improving momentum.
- Location: Price near 4H POC ($73.24), 4H NPOC ($73.92), and 1D VAL ($73.44), between S1 ($71.24) and R1 ($77.96).
- Flows:
- 4H CVD: falling, bearish divergence.
- 1D CVD: rising, net positive.
- OI & Funding: neutral, with balanced leverage and moderate OID bearishness.
- Volatility: Active TTM squeezes (1D/1W), rising HV and HV%, and elevated but not extreme CHOP.
- Divergences: Bearish OBV on both 4H and 1D (at prior dates), indicating volume not fully confirming price strength at those points.
This combination describes a short-term constructive 4H structure operating inside a broader daily downtrend and risk-off macro regime, with mixed orderflow and momentum signals and price anchored near key volume nodes, without implying any directional expectation.
⚠️ 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.

