AVAXUSDT is trading at $6.29 in a market described by the data as consolidating, with bearish moving-average structure, rising realized volatility, and active volatility compression signals on higher timeframes.
This summary highlights the most critical structural and data points for a quick professional overview.
1. Macro & Sentiment Context
- Market Sentiment & Strategy (MMS V2):
- Regime: RISK ON (0.40)
- Strategy: WAIT
- Pattern: Consolidation – explicitly “no clear direction.”
- Key Triggers: perp speculation warning, BTC dominance consolidation, gold mixed signals.
- Broader Market:
- VIX: 18.70 (+18.70%) – equity volatility rising.
- TOTAL1: -0.82%, TOTAL2: -1.10%, TOTAL3: -0.71%.
- BTC: +0.37%, ETH: +0.10%.
Cross-Market Indicators:
- Alt Breadth (AB): BULL | 0.11 (Powerlvl1) – mildly positive alt breadth.
- Stablecoin Pressure (SPI): BULL | -0.07 – stablecoin dynamics labeled supportive.
- Leverage Pressure (LPI): BALANCED | -0.47, Funding 8.3198%, OI Δ -0.18% – no extreme leverage pressure.
- OI Delta (OID): NEUTRALLVL0 | 0.13 – minimal OI signal.
- FOP Index: NEUTRAL | -0.39 (Fund -21.40, OI 0.46%, P 0.29%).
- Dominance Price Conflict (DPC): NEUTRAL (0.19).
- Crypto Equity Weight (CEW): DECOUPLED (-1.00) – crypto decoupled from crypto equities.
- ETF Dashboard: No ETF-specific data provided in the dataset.
2. Price Structure, Trend & Key Levels
Static Support & Resistance:
- R3: $7.05
- R2: $6.86
- R1: $6.58
- S1: $6.11
- S2: $5.92
- S3: $5.64
AVAX at $6.29 sits between R1 and S1, closer to S1 ($6.11).
Trend & Patterns:
- 4H: Symmetrical Triangle (LH + HL) – classic consolidation:
- Highs compressing around $6.69–$6.66–$6.65–$6.66.
- Lows compressing around $6.37–$6.39–$6.46.
- 1D: Uptrend (HH + HL) in swing terms:
- Recent HL at $6.28 and HH at $7.12.
- TTM Squeeze: Active on 1D and 1W, indicating volatility compression on higher timeframes.
- Japanese Candlesticks: No detected patterns.
Fibonacci Context:
- 4H Fib:
- 0%: $6.20, 23.6%: $6.32, 38.2%: $6.40, 50%: $6.47, 100%: $6.74.
- Price $6.29 is just below 23.6% and above 0%.
- 1D Fib:
- 0%: $5.68, 23.6%: $6.26, 38.2%: $6.61, 50%: $6.90, 100%: $8.12.
- Price is slightly above 23.6% ($6.26) and below 38.2% ($6.61).
EMA Structure:
- 4H EMA Price Distance:
- EMA 8: $6.40 (-1.83%)
- EMA 20: $6.49 (-3.14%)
- EMA 50: $6.54 (-3.93%)
- EMA 200: $6.72 (-6.41%)
- 4H EMA Slope: All negative; Trend: Bearish (20 < 50), Macro: Bearish (50 < 200).
- 1D EMA Price Distance:
- EMA 8: $6.51 (-3.48%)
- EMA 20: $6.58 (-4.50%)
- EMA 50: $6.95 (-9.50%)
- EMA 200: $9.74 (-35.44%)
- 1D EMA Slope: All negative; Trend: Bearish, Macro: Bearish.
Volume Profile & NPOCs:
- 4H Volume Profile:
- POC: $6.56, HVN: $6.57, VAL: $6.39, VAH: $6.64, LVN: $6.75.
- Price $6.29 is below VAL ($6.39).
- 4H NPOCs: $6.12, $5.88.
- 1D Volume Profile:
- POC: $6.52, HVN: $6.00, VAL: $5.89, VAH: $9.03, LVN: $6.59.
- Price is between VAL ($5.89) and POC ($6.52).
- 1D NPOC: $5.90.
LTLB Structure:
- 4H:
- Last Top: $6.66 (-5.91%), Last Bottom: $6.39 (-1.91%) – current price is below the last 4H bottom.
- 1D:
- Last Top: $6.69 (-6.28%), Last Bottom: $6.28 (-0.22%) – price is essentially at the last daily bottom.
3. Momentum, Volatility & Smart Money Concepts
Smart Money Concepts:
- FVG: 2.0% (Res) @ $6.39 – resistance-side fair value gap above price.
- Price Action Events:
- 4H CHoCH 🔴 @ $6.46 (4 bars ago)
- 4H ADX 🔴 @ $6.27 (4 bars ago)
- 1D BOS 🔴 @ $6.28 (1 bar ago)
- 1M ADX 🔴 @ $6.27 (1 bar ago)
Oscillator Scanner:
| TF | RSI | Stoch | MFI |
|---|---|---|---|
| 1H | 29.2 | 25.8 | 15.5 |
| 4H | 31.8 | 15.6 | 21.2 |
| 1D | 39.5 | 11.1 | 51.5 |
| 1W | 33.2 | 16.3 | 41.8 |
- Intraday oscillators (1H, 4H) are lower than daily/weekly.
- Daily MFI is mid-range (51.5).
Volatility & Liquidations:
- Global Liquidations: No significant 24h peaks.
- 4H HV: 19.13, HV%: 24.08 – stable intraday realized volatility.
- 1D HV: 44.85 (+12.01%), HV%: 3.78 (+54.29%) – rising daily realized volatility.
- TTM Squeeze: Active on 1D and 1W, consistent with volatility compression before expansion.
BTC Correlation:
- Correlation (Pearson): 0.46
- Beta: 0.99
- Expected Move: 0.54%
- Actual vs Expected: -0.51%
- Lag Signal: NEE
- Catch-up Probability: 45.8% (provided metric, not used as a forecast).
4. Orderflow, Open Interest & Funding
4H CVD & Orderflow:
- CVD Trend: Falling
- CVD Net Delta: $-1,219,746
- Buy/Sell Ratio: 48.0% Buy / 52.0% Sell
- Recent 4H deltas mostly negative, with the largest at $-590,914 near $6.27.
1D CVD & Orderflow:
- CVD Trend: Falling
- CVD Net Delta: $-2,754,938
- Buy/Sell Ratio: 46.6% Buy / 53.4% Sell
- Several recent days show negative delta, including $-590,914 at $6.29.
4H Open Interest & Funding:
- OI Change (24h): +8.34%
- Latest Funding: -0.000198%
- Avg Funding: -0.000018%
- Market State: Neutral
- OI has risen from 7.424M → 7.904M over the last 4H entries.
1D Open Interest & Funding:
- OI Change (24h): -5.67% (per summary line; raw values show 7.497M → 7.729M).
- Latest Funding: -0.000190%
- Avg Funding: 0.000013%
- Market State: Neutral
- Funding has shifted from slightly positive to slightly negative over recent days.
5. Key Technical Indicators (4H & 1D)
4H Highlights:
- Price: Close 6.27, nearly unchanged (+0.03%), with slightly lower high/low.
- Volume: +48.26% to 300,333.97.
- ATR: 0.11, slightly down.
- MACD: -0.06, more negative; histogram -0.04.
- Bollinger Bandwidth: 0.07, +15.69% – modest expansion.
- ADX: 18.78, up +14.57%, still below strong-trend levels.
- +DI / -DI: 11.19 / 33.41, with -DI rising.
- Supertrend DIR: -1, unchanged.
- DVWAP/WVWAP/MVWAP: All above current price.
- CMF: -0.09, improved from -0.15 but still negative.
- CCI: -214.73, deeply negative.
- CHOP: 41.38, slightly up, consistent with choppy conditions.
- ZSCORE20: -2.18, below the 20-period mean.
- HV/HV%: Slightly down, indicating stable intraday volatility.
1D Highlights:
- Price: Open 6.63, close 6.27 (-5.40%), with a lower low (6.20).
- Volume: +53.21% to 1.66M.
- ATR: 0.30, +4.34% – wider daily range.
- MACD: -0.09, more negative; histogram moves from 0.02 to -0.00.
- Bollinger Bandwidth: 0.11, +4.02% – mild expansion.
- ADX: 25.45, +4.54% – strengthening directional move.
- +DI / -DI: 11.09 / 25.75, with -DI rising sharply.
- Supertrend DIR: -1, unchanged.
- DVWAP/WVWAP/MVWAP: All above current price.
- CMF: From 0.01 to -0.05, turning negative.
- CCI: From -36.26 to -140.01, deeper negative.
- CHOP: 74.65, still high but slightly lower than 80.77.
- ZSCORE20: -2.02, sharply below the 20-period mean.
- HV/HV%: HV 44.85 (+12.01%), HV% 3.78 (+54.29%) – rising realized volatility.
Bottom Line
- AVAX is in a consolidation regime with:
- Symmetrical triangle on 4H.
- Active TTM Squeeze on 1D and 1W.
- Bearish EMA alignment on both 4H and 1D.
- Price is:
- Near the last daily bottom ($6.28).
- Below 4H and 1D POCs and all major EMAs.
- Between S1 ($6.11) and R1 ($6.58), close to daily Fib 23.6% ($6.26).
- Orderflow and money flow:
- CVD falling on both 4H and 1D.
- CMF negative on both timeframes.
- OI rising on 4H with slightly negative funding; daily metrics labeled neutral.
- Volatility:
- Rising on 1D (HV and ATR up).
- No major liquidation spikes in the last 24h.
- Cross-market:
- Alt breadth mildly positive, stablecoin pressure labeled BULL, leverage balanced, and crypto decoupled from crypto equities.
This configuration describes a non-directional but structurally heavy environment, with AVAX oscillating around key volume and structural levels under a broader bearish technical regime.
⚠️ 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.

