AVAXUSDT is trading at $6.49, with the dataset describing a consolidating market inside a broader bearish structure. Below is a concise overview of the most important structural and quantitative signals.
1. Regime, Sentiment & Cross‑Asset Context
- MMS Regime: RISK ON (0.40) with Strategy: WAIT and Pattern: consolidation.
The framework explicitly states no clear direction and a market waiting for breakout. - Alt Breadth (AB): BULL, 0.51 (Powerlvl1) – modestly positive alt participation.
- Stablecoin Pressure (SPI): BULL, -0.52 – stablecoin dynamics interpreted as supportive in this model.
- Leverage Pressure (LPI): BALANCED, -0.36, with Funding 9.0403% and OI Δ 0.17% – no strong leverage tilt.
- OI Delta (OID): NEUTRALLVL0, 0.17 – no significant net OI shift.
- FOP Index: NEUTRAL, 0.02 (Fund -1.77, OI 0.33%, P 0.51%) – muted futures/options positioning.
- Dominance Price Conflict (DPC): NEUTRAL (0.10) – no strong dominance/price conflict.
- Crypto Equity Weight (CEW): CORRELATED (1.00) – strong alignment between crypto and equities.
Macro backdrop:
- USDT, BTC, ETH dominance: all sideways with tiny changes.
- VIX: strong_up, 17.16 (+17.16%).
- TOTAL 1–3: slightly negative (-0.10% / -0.32% / -0.51%), while BTC +0.76%, ETH +0.77%.
2. Price Levels, Trend Structure & Volume Profile
Key Levels
- Live Price: $6.49
- Support: S1 $6.22, S2 $6.00, S3 $5.71
- Resistance: R1 $6.73, R2 $7.01, R3 $7.23
- SMC FVG: 1.4% resistance at $6.53
- Monthly ADX Event: at $6.44 (1 bar ago)
Trend
- 4H Trend: Downtrend (LH + LL) from $7.09 (HH) down through lower highs ($7.01, $6.83, $6.79) and lower lows ($6.32, $6.28).
- 1D Structure: Broadening formation (HH + LL) with highs up to $10.49 and lows down to $5.68.
- Supertrend: Bearish (DIR = -1) on both 4H and 1D.
EMAs
4H:
- Price just below EMA 8 ($6.49) and below EMA 20 ($6.54), EMA 50 ($6.62), EMA 200 ($6.85).
- All EMA slopes negative, with Trend: Bearish (20 < 50) and Macro: Bearish (50 < 200).
1D:
- Price below EMA 8 ($6.58), EMA 20 ($6.66), EMA 50 ($7.14), EMA 200 ($10.07).
- All slopes negative, with the same bearish trend and macro flags.
Volume Profile & NPOCs
4H Volume Profile:
- POC: $6.71
- HVN: $6.61
- LVN: $6.75
- VAH: $6.97
- VAL: $6.53
1D Volume Profile:
- POC: $9.03
- HVN: $6.00
- LVN: $9.16
- VAH: $10.49
- VAL: $6.52
Price at $6.49 is just below VAL on both intraday and daily profiles.
NPOCs:
- 4H: $6.56, $6.12, $5.88
- 1D: $5.90
These mark unresolved volume nodes above and below current price.
3. Volatility, Squeeze, Candles & Oscillators
TTM Squeeze & Volatility
- TTM Squeeze: Active on 1D and 1W – volatility compression.
- Bollinger Bandwidth (4H): 0.08, slightly narrowing.
- Bollinger Bandwidth (1D): 0.12, slightly expanding but still tight.
- HV (4H): 22.06, HV% 36.12 – stable.
- HV (1D): 51.06, HV% 4.18, both down from prior values – reduced daily volatility.
- Global Liquidations: No significant volatility peaks (24h).
Candlestick Patterns
- 1D:
- Evening Bear at $6.55 (3 bars ago)
- Dcconfirm Bear at $6.55 (3 bars ago)
- 4H:
- Div Bear at $6.56 (4 bars ago)
All detected near $6.55–$6.56, slightly above current price.
Oscillator Scanner
- RSI:
- 1h 46.1, 4h 41.2, 1d 42.6, 1w 32.8 – all below 50, weekly near the lower band.
- Stoch:
- 1h 33.9, 4h 33.6, 1d 20.4, 1w 15.1 – daily and weekly near low levels.
- MFI:
- 1h 27.8, 4h 37.1, 1d 61.1, 1w 49.5 – intraday sub‑50, daily above 60.
Divergences
- 4H: Bearish OBV divergence on 13‑07‑26.
- 1D: No divergence signals in the dedicated divergence section, but CVD section flags a bearish CVD divergence (see below).
4. Orderflow, CVD, Open Interest & Funding
Orderflow & CVD (4H)
- CVD Trend: Falling
- CVD Net Delta: $-1,212,566
- Buy/Sell Ratio: 48.6% Buy / 51.4% Sell
- Recent deltas: one positive bar followed by four negative bars between $6.44–$6.56.
Orderflow & CVD (1D)
- CVD Trend: Falling
- CVD Net Delta: $-551,820
- Buy/Sell Ratio: 49.4% Buy / 50.6% Sell
- CVD Divergence: ⚠️ Bearish divergence (Price Up, CVD Down – Exhaustion).
- Recent daily deltas alternate between positive and negative, with net negative over the period.
Open Interest & Funding
4H Block:
- OI Change (24h): +5.19%
- Latest Funding: -0.000031%
- Avg Funding: -0.000002%
- Market State: Neutral
- OI around 7.8M USD, funding oscillating slightly around zero.
1D Block:
- OI Change (24h): -28.15%
- Latest Funding: -0.000028%
- Avg Funding: 0.000015%
- Market State: Neutral
- OI fluctuating between 7.09M–7.83M USD over recent days.
Leverage Pressure (LPI):
- BALANCED, -0.36, with small OI Δ (0.17%) – no extreme leverage signal.
5. Fibonacci, LTLB, Correlation & Technical Details
Fibonacci Levels
4H Range ($6.28–$7.09):
- 23.6%: $6.47 (near current price)
- 38.2%: $6.59
- 50%: $6.68
- 61.8%: $6.78
- 78.6%: $6.92
1D Range ($5.68–$9.51):
- 23.6%: $6.58
- 38.2%: $7.14
- 50%: $7.59
- 61.8%: $8.04
- 78.6%: $8.69
Price at $6.49 sits just above 4H 23.6% and below daily 23.6%.
LTLB Structure
4H:
- Last Top: $6.68 (-3.59%)
- Last Bottom: $6.37 (+1.10%)
- RR Short: 0.29
- RR Long: 3.43
1D:
- Last Top: $6.83 (-5.59%)
- Last Bottom: $6.32 (+2.14%)
- RR Short: 0.35
- RR Long: 2.83
These define recent swing ranges around current price.
BTC Correlation
- Correlation (Pearson): 0.46
- Beta: 0.47
- Expected Move: 0.18%
- Actual vs Expected: -0.32%
- Lag Signal: NEE
- Catch‑up Probability (model): 100.0%
AVAX shows moderate positive correlation with BTC and lower beta, with recent underperformance vs the modelled expected move.
Overall Snapshot
- Structure: Bearish trend on both 4H and 1D (down‑sloping EMAs, negative Supertrend, lower highs/lows).
- Regime: RISK ON but Strategy: WAIT, with consolidation and TTM squeezes on higher timeframes.
- Orderflow: Falling CVD and bearish CVD divergence on daily, with slightly sell‑tilted flows.
- Derivatives: Neutral funding, balanced leverage pressure, and neutral FOP/OID, indicating no extreme positioning.
- Location: Price trades just below VAL on both intraday and daily volume profiles, near 4H 23.6% Fib and below daily 23.6% Fib, with NPOCs above and below.
This combination describes AVAXUSDT in a compressed, structurally bearish but currently non‑explosive environment, with no single dominant driver and a market state consistent with waiting for breakout within existing support, resistance, and volume structures.
⚠️ 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.

