ETHUSDT trades at $1,955.45, sitting just below recent highs and near multiple resistance and Fibonacci extension levels. The structure combines short-term bullish trend signals with risk-off sentiment, weak breadth, and distributional orderflow.
1. Macro Sentiment, Breadth & ETF Flows
-
Market Sentiment & Strategy (MMS V2):
- Regime: RISK OFF (Score: -0.40)
- Pattern: Consolidation, with the system explicitly noting “no clear direction”.
- Dominance: USDT, BTC, ETH dominance all sideways, indicating no sharp rotation.
- VIX: 18.58 (+18.58%), signaling higher equity volatility.
-
Alt Breadth (AB): BEAR, Value: -0.49 (Powerlvl1)
→ Altcoins show weak participation despite ETH’s slight gain. -
Stablecoin Pressure (SPI): BEAR (0.34)
→ Stablecoin dynamics lean against risk assets. -
Leverage Pressure (LPI): BALANCED (0.09); OI Delta (OID): NEUTRALLVL0 (-0.00)
→ No strong leverage imbalance. -
FOP Index: NEUTRAL (0.22) with small OI decrease and marginal price gain.
-
Crypto Equity Weight (CEW): DECOUPLED (-1.00)
→ Crypto is decoupled from crypto-equity proxies in this dataset. -
ETH ETF Dashboard:
- Strong inflows: +72.7M (2026-07-22), +37–37.5M (20–21 July), +23.4M (23 July).
- Followed by a large outflow: -70.7M (2026-07-24).
→ ETF flows show heavy recent activity with a sharp reversal from net inflow to sizable outflow.
2. Trend, Structure & Key Levels
-
Price vs Levels:
- Live Price: $1,955.45
- Resistance: R3 $1,960, R2 $1,935, R1 $1,897
- Support: S1 $1,835, S2 $1,810, S3 $1,773
→ ETH trades just below R3 and well above nearest supports.
-
Trend (4H):
- Broadening formation (HH + LL) with recent high at $1,956.45 and low at $1,848.09.
- Price is near the upper end of this range.
-
Trend (1D):
- Uptrend (HH + HL) from $1,512 to $1,946.52, still below the prior major high $2,423.74.
-
Fibonacci:
- 4H & 1D 100% level: $1,967.36; ETH is just below this.
- Price is above 78.6% retracements on both timeframes.
-
EMAs (4H):
- Price 2–3.6% above EMA 8/20/50 and 7.04% above EMA 200.
- All EMAs up-sloping, with 20 > 50 > 200 → bullish 4h trend.
-
EMAs (1D):
- Price 3–6.4% above EMA 8/20/50, but 10.46% below EMA 200.
- 20 > 50 (short-term bullish), 50 < 200 (long-term still corrective).
-
Patterns:
- 4h: Liqgrab Bear at $1,954.72 (2 bars ago).
- 1d: Morning Bull at $1,874.89 (2 bars ago).
- SMC: Daily Bullish BOS at $1,946.52 and FVG support at $1,928.08.
-
Oscillators:
- 4h: RSI 70.1, Stoch 84.7, MFI 85.4 → strong short-term momentum and inflows.
- 1d: RSI 63.6, Stoch 94.2, MFI 59.8 → strong daily momentum.
- 1w: All near mid-range → non-extreme weekly context.
3. Liquidity, Volume Profile & Orderflow
-
4H Volume Profile:
- POC: $1,863.50, VAH: $1,939.03, VAL: $1,835.18.
- ETH trades above VAH and POC, indicating price is extended above recent value.
-
1D Volume Profile:
- POC: $1,625.94, VAH: $2,106.96, VAL: $1,545.77.
- ETH is in the upper half of the long-term value area, but still below VAH and LVN near $2,311.88.
-
NPOCs (4H): $1,830.88–$2,236.49, with nearby levels at $1,935.69 and $1,867.88.
-
NPOCs (1D): $2,224.66 and $2,291.06 above current price.
-
Global Liquidations: No significant volatility peaks (24h).
-
Orderflow & CVD (4H):
- CVD Trend: Falling, Net Delta: -$7,279, 49.9% Buy / 50.1% Sell.
- Bearish CVD divergence: Price up, CVD down.
-
Orderflow & CVD (1D):
- CVD Trend: Falling, Net Delta: -$65.7M, 47.5% Buy / 52.5% Sell.
- Bearish CVD divergence persists over several days.
-
Divergences:
- Daily OBV: Bearish divergence on 22-07-26.
4. Volatility, Momentum & Technical Stats
-
4H Technicals:
- Volume down 42.24%, ATR slightly lower, indicating quieter recent candle.
- MACD, MACDSIGNAL, MACDHISTOGRAM all rising strongly, showing firm bullish momentum.
- Bollinger bandwidth up 18.11%, ADX 22.49 (+11.62%), +DI >> -DI → moderate, strengthening trend.
- CMF 0.22, CCI 220.89, ZSCORE20 2.34 → elevated price vs mean with strong capital flow, though 4h HV and HV% are declining.
-
1D Technicals:
- CLOSE +4.26%, volume +73.27%, ATR +3.20% → strong expansion day.
- MACD suite sharply higher, ADX 22.50, +DI up 33.04%, -DI down 10.03% → strengthening daily trend.
- CCI 110.02, ZSCORE20 1.65, HV 43.52, HV% 13.37 → price above mean with rising realized volatility.
- CHOP 57.98 → trend strength coexists with residual choppiness.
-
TTM Squeeze: No squeeze detected.
5. Correlation & Derivatives
-
BTC Correlation (4H):
- Pearson: 0.75, Beta: 1.28.
- Actual vs Expected Move: -0.03% vs -0.23%.
→ ETH is strongly positively correlated with BTC and tends to move more in magnitude.
-
Open Interest & Funding (4H):
- OI Change (24h): -0.98%, funding ~0.0001%, state: Neutral.
→ No extreme leverage build-up intraday.
- OI Change (24h): -0.98%, funding ~0.0001%, state: Neutral.
-
Open Interest & Funding (1D):
- OI Change (24h): +1.93%, funding small positive, state: Neutral.
→ Gradual OI increase with non-extreme funding.
- OI Change (24h): +1.93%, funding small positive, state: Neutral.
Key Takeaways
- ETH is trading near local highs and just below key resistance/Fib extension levels, above 4h and daily short/mid EMAs, and above 4h value area, signaling price strength in the short term.
- Macro regime is RISK OFF, with bearish Alt Breadth and bearish Stablecoin Pressure, indicating weak broader participation and cautious capital posture.
- Orderflow and volume-based indicators (CVD, OBV) show bearish divergences, while trend and momentum indicators (MACD, ADX, EMAs) remain constructive on 4h and 1d.
- ETF flows have been strongly positive in recent days, followed by a large outflow, highlighting significant institutional-scale repositioning.
- Derivatives metrics (funding, OI, LPI, FOP, OID) are neutral to balanced, with no extreme leverage or funding distortions.
- Overall, ETH’s structure reflects short-term strength above key supports within a risk-off, divergence-heavy environment, with multiple plausible paths depending on how breadth, ETF flows, and orderflow evolve.
⚠️ 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.

