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AVAXUSDT Market Snapshot: Consolidation Under a Risk-Off Regime

Summary: In-depth AI technical analysis for AVAX.

AVAX is trading at $6.43, with a consolidation pattern inside a RISK OFF environment. The broader crypto complex is negative (TOTAL1 -0.88%, TOTAL2 -1.70%, TOTAL3 -2.08%), and volatility is rising (VIX 16.13, +16.13%).

Below is a concise overview of the key structural and flow metrics.


1. Sentiment, Breadth & Derivatives Pressure

  • Market Sentiment & Strategy (MMS V2):
    • Regime: RISK OFF (Score -0.60), Strategy: WAIT.
    • Pattern: Consolidation, with no clear directional bias indicated.
  • Alt Breadth (AB): BEAR, Value -1.71 (Powerlvl1) — altcoin participation is classified as weak.
  • Stablecoin Pressure (SPI): BEAR, Value 1.72 — stablecoin flows are labeled as pressuring risk assets.
  • Leverage Pressure (LPI): MODERATE SHORT LEVERAGE, Value -0.57, Funding 5.3064%, OI Δ 0.06% — moderate short-side leverage in this metric.
  • OI Delta (OID): MODERATEBEARISHLVL_-1, Value -1.72 — open interest changes are categorized as moderately bearish.
  • FOP Index: PRICE LED BEARISH, Value -0.37, Price -3.81%, OI +0.45%, Fund -0.01 — recent price action is the main bearish driver.
  • Dominance Price Conflict (DPC): NEUTRAL (-0.44) — no strong conflict between dominance and price.
  • Crypto Equity Weight (CEW): CORRELATED (1.00) — crypto and equities are moving closely together in this metric.
  • ETF Dashboard: No explicit ETF data provided for AVAX in this dataset.

Open Interest & Funding:

  • 4H: OI Change -1.77%, Latest Funding -0.000219%, Market State Neutral.
  • 1D: OI Change -14.02%, Latest Funding -0.000014%, Market State Neutral.

Leverage and funding are near neutral, with OI declining more notably on the daily horizon.


2. Price Structure, Support/Resistance & Volume Profile

  • Current Price: $6.43

Support & Resistance:

  • Resistance: R1 $7.00, R2 $7.26, R3 $7.44
  • Support: S1 $6.56, S2 $6.38, S3 $6.12

Price is below S1 ($6.56) and R1 ($7.00), slightly above S2 ($6.38).

Smart Money Concepts (4H):

  • FVG: 2.7% (Res) @ $6.57 — a resistance fair value gap above current price.
  • Events:
    • 4H CHoCH 🔴 at $6.75 (2 bars ago) — change of character flagged.
    • 1D ADX🟢 at $6.39 (2 bars ago) — rising daily trend strength.
    • 1M ADX🔴 at $6.39 (1 bar ago) — weakening or changing monthly trend strength.

Volume Profile (4H):

  • POC: $6.56
  • VAH: $6.66
  • VAL: $6.11
  • HVN: $6.20
  • LVN: $6.55

AVAX trades below POC ($6.56) and VAH ($6.66), above VAL ($6.11), between HVN ($6.20) and POC.

Naked Points of Control (NPOC):

  • 4H NPOCs: $6.76, $6.12, $5.88
  • 1D NPOC: $5.90

These mark untested historical volume control levels above and below current price.

LTLB Structure:

  • 4H: Last Top $6.82, Last Bottom $6.71 — both above current price.
  • 1D: Last Top $7.12, Last Bottom $5.95 — current price lies between these swings.

3. Trend, EMAs, TTM Squeeze & Oscillators

Trend:

  • 4H: Uptrend (HH + HL) — short-term structure is labeled as upward.
  • 1D: Downtrend (LH + LL) — higher timeframe remains downward.

EMA Distance (vs $6.43):

  • 4H: EMA 8 $6.70 (-4.06%), EMA 20 $6.79 (-5.31%), EMA 50 $6.76 (-4.89%), EMA 200 $6.96 (-7.64%) — all above price.
  • 1D: EMA 8 $6.79 (-5.28%), EMA 20 $6.76 (-4.86%), EMA 50 $7.30 (-11.97%), EMA 200 $10.29 (-37.53%) — all above price.

EMA Slope & Trend Labels:

  • 4H: All EMA slopes slightly negative; Trend: Bullish (20 > 50), Macro: Bearish (50 < 200).
  • 1D: All EMA slopes negative; Trend: Bearish (20 < 50), Macro: Bearish (50 < 200).

TTM Squeeze:

  • 1D: active
  • 1W: active

Indicates volatility compression conditions on higher timeframes.

Oscillator Scanner:

  • 1H: RSI 22.2, Stoch 12.0, MFI 25.6 — low readings.
  • 4H: RSI 27.2, Stoch 5.8, MFI 38.8 — also low.
  • 1D: RSI 46.0, Stoch 63.3, MFI 57.7 — mid-range.
  • 1W: RSI 34.6, Stoch 25.8, MFI 54.2 — lower RSI/Stoch, mid MFI.

Divergences:

  • 4H: Bullish OBV divergence on 05-07-26.
  • 1D: No divergence signals.

Japanese Candlestick Patterns:

  • No patterns detected for AVAX in the dataset.

4. Orderflow, CVD, Correlation & Volatility

Orderflow & CVD (4H):

  • CVD Trend: Falling
  • CVD Net Delta: $-2,696,689
  • Buy/Sell Ratio: 46.7% Buy / 53.3% Sell
  • Recent deltas mostly negative, with one positive bar at $6.43.

Orderflow & CVD (1D):

  • CVD Trend: Falling
  • CVD Net Delta: $-871,112
  • Buy/Sell Ratio: 49.4% Buy / 50.6% Sell

BTC Correlation (4H):

  • Correlation (Pearson): 0.12
  • Beta: 1.16
  • Expected Move: -1.09%
  • Actual vs Expected: -3.32%
  • Lag Signal: NEE
  • Catch-up Probability: 11.8%

AVAX has recently moved more negatively than this correlation-based expected move and shows only weak correlation with BTC on 4H.

Global Liquidations:

  • No significant volatility peaks detected (24h) — no major liquidation spikes flagged.

Volatility (4H Technical Stats):

  • HV: 25.56 (+40.98%)
  • HV%: 56.43 (+261.04%)
  • Bollinger Bandwidth: 0.07 (+51.00%)
  • ATR: 0.14 (+12.33%)

4H realized volatility and band width have expanded notably.

Volatility (1D Technical Stats):

  • HV: 69.43 (+1.98%)
  • HV%: 23.37 (+10.55%)
  • Bollinger Bandwidth: 0.18 (-0.79%)
  • ATR: 0.38 (-1.64%)

Daily volatility is slightly higher but relatively stable compared with 4H expansion.


5. Higher-Timeframe Levels & Context

Fibonacci Levels:

  • 4H: Price $6.43 is just above 0% ($6.35) and below 23.6% ($6.53).
  • 1D: Price is between 0% ($5.68) and 23.6% ($6.61), below all higher retracement levels.

Volume Profile (1D):

  • POC: $9.03
  • VAH: $10.49
  • VAL: $6.73
  • HVN: $6.00
  • LVN: $8.97

AVAX trades below VAL ($6.73) and far below the daily POC at $9.03, above the HVN at $6.00.

Macro Context:

  • MMS Regime: RISK OFF
  • VIX: 16.13 (+16.13%), labeled strong_up
  • TOTAL1/2/3: all negative
  • BTC: -0.94%, ETH: -0.87%
  • CEW: CORRELATED (1.00) — crypto and equities are tightly linked in this metric.

Overall:
AVAX is in a consolidation phase at $6.43 within a risk-off macro backdrop, with:

  • Bearish alt breadth and stablecoin pressure,
  • Moderately bearish derivatives signals (LPI, OID, FOP),
  • A 4H uptrend nested inside a 1D downtrend,
  • All key EMAs above price on both timeframes,
  • Active TTM Squeeze on 1D/1W and expanding 4H volatility,
  • Falling CVD and neutral funding/OI states,
  • Price trading below key daily volume and EMA reference levels.

This defines a structurally cautious environment without implying any specific directional outcome.

⚠️ 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.
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