XRPUSDT is trading at $1.07 in a consolidation regime, with no clear directional resolution across higher-level metrics. Below is a concise overview of the most important structural and data points.
1. Macro Context, Sentiment & Cross-Market Signals
- Market Sentiment & Strategy (MMS V2):
- Regime: RISK ON (Score 0.40)
- Strategy: WAIT
- Pattern: Consolidation, explicitly described as “no clear direction”.
- Context Metrics:
- USDT DOM: Sideways (+0.11%)
- BTC DOM: Sideways (-0.35%)
- ETH DOM: Sideways (-0.06%)
- VIX: strong_up, 15.99 (+15.99%)
- SPX: Sideways (+0.29%)
- GOLD: Down (-2.03%)
- Performance:
- TOTAL 1/2/3: -1.39% / -0.61% / -0.18%
- BTC: +0.33%, ETH: +0.37%
Alt & Stablecoin Context:
- Alt Breadth (AB): BULL, 0.61 (Powerlvl1) – moderate positive altcoin participation.
- Stablecoin Pressure (SPI): BULL, -0.47 – stablecoin flows supportive in this framework.
- Leverage Pressure (LPI): BALANCED, -0.46, Funding 4.5147%, OI Δ 0.18% – no extreme leverage skew.
- OI Delta (OID): NEUTRALLVL0, 0.03 – minimal net OI change.
- FOP Index: NEUTRAL, 0.05 – no strong futures/options imbalance.
- Dominance Price Conflict (DPC): NEUTRAL (-0.23) – no major dominance–price conflict.
- Crypto Equity Weight (CEW): DECOUPLED (-1.00) – crypto behavior decoupled from crypto equities in this model.
- ETF Dashboard: No explicit ETF data provided; effectively neutral/undefined in this dataset.
2. Derivatives, Orderflow & BTC Correlation
BTC Correlation (4H / 1D Block):
- Correlation: 0.83
- Beta: 0.86
- Expected Move: 0.16%
- Actual vs Expected: +0.23%
- Lag Signal: NEE
- Catch-up Probability: 100.0%
XRP has been closely tracking BTC with slightly less than 1:1 sensitivity.
Orderflow & CVD (4H):
- CVD Trend: Falling
- CVD Net Delta: $-12,038,911
- Buy/Sell Ratio: 47.2% Buy / 52.8% Sell
- Divergence: Bearish (Price Up, CVD Down – Exhaustion)
Orderflow & CVD (1D):
- CVD Trend: Falling
- CVD Net Delta: $-14,831,367
- Buy/Sell Ratio: 46.0% Buy / 54.0% Sell
- Divergence: Consistent
Orderflow data shows persistent net selling and negative CVD, even as price consolidates.
Open Interest & Funding (4H):
- OI Change (24h): -13.29%
- Latest Funding: 0.000004%
- Avg Funding: 0.000049%
- Market State: Neutral
Open Interest & Funding (1D):
- OI Change (24h): -7.55%
- Latest Funding: 0.000003%
- Avg Funding: 0.000019%
- Market State: Neutral
Open interest has declined notably, while funding stays near zero, indicating reduced leverage intensity without directional bias.
Global Liquidations:
- No significant volatility peaks detected (24h) – no large liquidation-driven spikes.
3. Price Structure, Support/Resistance, Volume Profile & SMC
Live Price: $1.07
Support & Resistance:
- R3: $1.11
- R2: $1.10
- R1: $1.08
- S1: $1.05
- S2: $1.04
- S3: $1.02
Price is between S1 and R1, consistent with tight consolidation.
Volume Profile (4H):
- POC: $1.09
- HVN: $1.12
- LVN: $1.09
- VAH: $1.12
- VAL: $1.07
Price sits at VAL ($1.07) with heavier historical volume above.
Volume Profile (1D):
- POC: $1.10
- HVN: $1.12
- LVN: $1.09
- VAH: $1.34
- VAL: $1.01
On daily, price is below POC ($1.10) but above VAL ($1.01).
Naked POCs (4H):
- $1.28, $1.17, $1.15, $1.11, $1.09, $1.06
Naked POCs (1D):
- $1.24, $1.14
These mark unretested volume control levels, mostly above current price, with $1.06 just below.
Trend Structure:
- 4H: Uptrend (HH + HL) – recent HL at $1.06, HH at $1.09.
- 1D: Uptrend (HH + HL) – HL at $1.05, HH at $1.16.
LTLB Structure (4H):
- Last Top: $1.09
- Last Bottom: $1.04
- RR Short: 0.72
- RR Long: 1.38
LTLB Structure (1D):
- Last Top: $1.16
- Last Bottom: $1.08
- RR Short: -0.21
- RR Long: 0.00
Smart Money Concepts:
- FVG: 1.9% (Res) @ $1.09 – fair value gap labeled as resistance.
- 4H Price Action Event: BOS 🔴 at $1.06 (4 bars ago) – recent break of structure.
Japanese Candlestick Patterns:
- None detected for XRP in the provided data.
4. Trend Tools, EMAs, Fibonacci, Oscillators & Divergences
TTM Squeeze:
- 1D: active
- 1W: active
Indicates volatility compression on higher timeframes in this framework.
EMAs – 4H:
- Price vs EMAs:
- EMA 8: $1.07 (-0.35%)
- EMA 20: $1.07 (-0.85%)
- EMA 50: $1.08 (-1.75%)
- EMA 200: $1.11 (-3.70%)
- Slopes: All slightly negative.
- Trend: Bearish (20 < 50)
- Macro: Bearish (50 < 200)
EMAs – 1D:
- Price vs EMAs:
- EMA 8: $1.08 (-1.48%)
- EMA 20: $1.09 (-2.53%)
- EMA 50: $1.13 (-5.49%)
- EMA 200: $1.41 (-24.32%)
- Slopes: All negative, with shorter EMAs declining faster.
- Trend: Bearish (20 < 50)
- Macro: Bearish (50 < 200)
Thus, swing structure is uptrend, but EMA configuration is bearish on both 4H and 1D.
Fibonacci – 4H:
- 38.2%: $1.07 (current price)
- 23.6%: $1.06
- 50%: $1.08
- 100%: $1.12
Price is between 23.6% and 50% of the 4H swing.
Fibonacci – 1D:
- 23.6%: $1.08
- 0%: $1.01
- 38.2%: $1.12
- 100%: $1.29
Price is slightly below 23.6%, in the lower part of the daily swing range.
Oscillator Scanner:
- 1H: RSI 46.4, Stoch 67.2, MFI 49.1
- 4H: RSI 42.2, Stoch 23.5, MFI 49.0
- 1D: RSI 41.3, Stoch 14.1, MFI 57.9
- 1W: RSI 35.0, Stoch 19.2, MFI 33.4
Momentum and flow are mixed and non-extreme, with RSI mostly below 50 and Stoch low on higher timeframes.
Divergences:
- 4H: 30-07-26 – Bearish OBV divergence
- 1D: 28-07-26 – Bullish OBV divergence, 22-07-26 – Bearish OBV divergence
OBV has shown both bullish and bearish divergences at different points, reflecting shifting volume–price relationships.
5. Key Technical Stats & Volatility Snapshot
4H Technical Highlights:
- Volume: 2.86M, down -42.57% vs prior bar – sharp volume drop.
- ATR: 0.01, slightly lower – tight intrabar ranges.
- MACD: -0.01, MACDHISTOGRAM slightly less negative – mild easing of downside momentum.
- Bollinger Bandwidth: 0.04, down -3.04% – minor contraction.
- ADX: 15.21 (low but rising), -DI > +DI – weak but slightly strengthening directional move, still seller-dominated.
- CMF: -0.17, slightly improved – net outflow persists.
- CCI: -105.57, less negative – still below -100 but improving.
- CHOP: 60.06 – choppy conditions.
- ZSCORE20: -1.01 – price below 20-period mean, but closer than prior bar.
- HV/HV%: 13.63 / 18.06, nearly unchanged – stable realized volatility.
1D Technical Highlights:
- Close: $1.06, down -1.94% with volume +5.83% – down day on higher volume.
- MACD & Histogram: More negative – strengthening downside momentum in this metric.
- Bollinger Bandwidth: 0.08, up +6.53% – band expansion, indicating growing volatility envelope.
- ADX: 10.96, low but rising; -DI > +DI – weak but slightly strengthening downside trend.
- SUPERTREND: 1.16, DIR = -1 – bearish supertrend state.
- CMF: -0.07, more negative – increasing net outflow.
- CCI: -114.96, sharply lower – strong downside deviation.
- ZSCORE20: -1.48 – price further below 20-period mean.
- HV/HV%: 37.29 / 10.61, both rising – increasing realized volatility.
Bottom Line
- XRPUSDT is in a consolidation regime at $1.07, with:
- RISK ON label but Strategy: WAIT.
- Alt Breadth and Stablecoin Pressure supportive within this framework.
- Derivatives and OI/funding largely neutral, with reduced open interest.
- Swing structure (4H & 1D) labeled uptrend, but EMAs and daily supertrend are bearish.
- Orderflow and CVD show persistent net selling and bearish divergences.
- Volume profile places price near value lows, with historical volume concentration above.
- TTM Squeeze active on 1D and 1W, and choppy conditions confirmed by high CHOP.
The dataset collectively describes a non-directional, tightly balanced environment, where trend, volume, and derivatives are not aligned in a single direction, and consolidation remains the dominant theme.
⚠️ 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.

