ETHUSDT is trading at $1,856.30, positioned between support at $1,828 and resistance at $1,917, within a RISK OFF, defensive macro regime. The data shows a short-term 4H downtrend inside a broader 1D uptrend, with mixed signals across sentiment, derivatives, and orderflow.
1. Macro Regime & Sentiment
- Regime: RISK OFF (Score: -0.60)
- Strategy: DEFENSIVE
- MMS Score: 2.10, Pattern: down_trend
- Context:
- USDT DOM: sideways (+0.07%)
- BTC DOM: sideways (-0.13%)
- ETH DOM: sideways (-0.04%)
- VIX: strong_up 15.99 (+15.99%)
- SPX: sideways (+0.21%), GOLD: sideways (-0.20%)
Performance:
- ETH: -1.54%, BTC: -1.20%
- TOTAL 1/2/3: -0.88% / -0.59% / -0.38%
- NDX: +0.31%, DOLLAR: +0.12%
Key Sentiment Indicators:
- Alt Breadth (AB): BEAR, Value: -1.43
- Stablecoin Pressure (SPI): BEAR, Value: 1.48
- Leverage Pressure (LPI): BALANCED, Value: 0.11
- OI Delta (OID): MODERATEBEARISHLVL_-1, Value: -0.42
- FOP Index: CONFIDENCE LOSS, Value: 0.07, P: -1.54%
- Dominance Price Conflict (DPC): NEUTRAL (0.05)
- Crypto Equity Weight (CEW): DECOUPLED (-1.00)
Overall, sentiment and breadth lean defensive/bearish, with leverage and dominance metrics more neutral.
2. Derivatives, ETF Flows & Orderflow
ETF Flows
Recent ETH ETF flows show large alternating inflows and outflows:
- Major outflows: -70.7M (2026-07-24), -30.1M (2026-07-29)
- Notable inflows: +23.4M (2026-07-23), +12.4M (2026-07-30), +11.7M (2026-07-27)
No persistent directional pattern appears in the series itself.
Orderflow & CVD
4H:
- CVD Trend: Falling, Net Delta: -$88.5M
- Buy/Sell: 46.1% Buy / 53.9% Sell
- CVD Divergence: Consistent (negative bias)
1D:
- CVD Trend: Falling, Net Delta: -$38.9M
- Buy/Sell: 48.5% Buy / 51.5% Sell
- CVD Divergence: Bearish (Price Up, CVD Down – Exhaustion)
Orderflow data points to net selling pressure and bearish CVD divergences.
Open Interest & Funding
4H:
- OI Change (24h): +0.28%
- Latest Funding: 0.000053%
- State: Neutral
1D:
- OI Change (24h): -0.14%
- Latest Funding: 0.000099%
- State: Neutral
Leverage conditions are balanced/neutral, with no extreme funding or OI shifts.
Volatility & TTM Squeeze
- TTM Squeeze (1D): active
- 4H HV: 16.60 (+6.62%), HV%: 31.33 (+37.53%)
- 1D HV: 46.01 (+0.15%), HV%: 18.27 (+1.05%)
- Bollinger Bandwidth: contracting on both 4H and 1D.
The market is in a compression phase with signs of rising short-term volatility.
3. Price Structure, Trend & Key Levels
Trend Structure
-
4H:
- Head & Shoulders (Top)
- Downtrend (Lower Highs + Lower Lows)
- Last LL: $1,822.06, last LH: $1,936.99
-
1D:
- Uptrend (HH + HL)
- HHs: $1,946.52, $1,981.24
- HL: $1,512.00
This creates a short-term downtrend vs medium-term uptrend tension.
Support & Resistance
- R3: $2,005
- R2: $1,971
- R1: $1,917
- S1: $1,828
- S2: $1,794
- S3: $1,740
ETH at $1,856.30 is above S1/S2 and below R1.
Volume Profile & NPOCs
4H Volume Profile:
- POC: $1,865.03
- VAL: $1,857.28
- VAH: $1,919.26
- HVN: $1,939.49
- LVN: $1,872.42
Price is just below VAL and POC.
4H NPOCs: $1,837.30, $1,927.75, $1,935.69, $2,031.62, $2,071.38, $2,107.48
1D Volume Profile:
- POC: $1,625.43
- VAL: $1,545.60
- VAH: $2,024.58
- LVN: $2,311.88
- HVN: $1,657.59
1D NPOCs: $2,224.66, $1,785.65
4. Momentum, EMAs, Fibonacci & Patterns
Oscillators
- RSI: 40–53 across timeframes (1h–1d), 42 on 1w
- Stoch: 8.3 (1h), mid-range on higher TFs
- MFI: near 50 on all TFs
Candlestick & SMC
- 4H: Div Bear at $1,885.36 (2 bars ago)
- 1D: Dcconfirm Bear at $1,862.60 (3 bars ago)
- SMC FVG: 0.4% support at $1,849.26, no additional signals
Fibonacci
4H Swing:
- 0%: $1,822.06
- 23.6%: $1,859.63
- 38.2%: $1,882.87
- 50%: $1,901.65
- 61.8%: $1,920.43
- 78.6%: $1,947.18
- 100%: $1,981.24
1D Swing:
- 0%: $1,512.00
- 23.6%: $1,622.74
- 38.2%: $1,691.25
- 50%: $1,746.62
- 61.8%: $1,801.99
- 78.6%: $1,880.82
- 100%: $1,981.24
Current price is between 61.8% and 78.6% on the daily swing.
EMAs & Slopes
4H EMA Distance:
- Price below EMA 8/20/50 by 0.63–1.51%
- Price above EMA 200 by 0.40%
4H EMA Slope:
- EMA 8/20/50/100: slightly negative
- EMA 200: flat
- Trend: Bearish (20 < 50)
- Macro (4H): Bullish (50 > 200)
1D EMA Distance:
- Price below EMA 8/20, above EMA 50, well below EMA 200 (-14.22%)
1D EMA Slope:
- EMA 20/50: +0.08% (upward)
- EMA 100/200: slightly negative
- Trend (1D): Bullish (20 > 50)
- Macro (1D): Bearish (50 < 200)
Divergences & Correlation
-
OBV Divergences:
- 4H: Bearish (02-08-26) and Bullish (01-08-26)
- 1D: Bearish (22-07-26)
-
BTC Correlation (4H):
- Pearson: 0.97, Beta: 1.18
- Expected Move: -1.30%, Actual vs Expected: -0.20%
- Lag Signal: NEE, Catch-up Probability: 100.0% (as per dataset)
ETH remains tightly coupled to BTC in this correlation framework.
5. Key Takeaways
- Macro: ETH trades in a RISK OFF, defensive environment with bearish alt breadth, bearish stablecoin pressure, and confidence loss in derivatives.
- Trend: 4H downtrend (head & shoulders top, lower highs/lows) vs 1D uptrend (higher highs/higher lows), both under a macro EMA 200 downtrend.
- Flow: CVD and OBV divergences plus net negative CVD on both 4H and 1D indicate selling pressure, while OI and funding remain neutral.
- Structure: Price is near 4H VAL/POC, above S1 ($1,828) and below R1 ($1,917), within an active daily TTM Squeeze and contracting Bollinger bands.
- Correlation: ETH shows very high correlation (0.97) and beta 1.18 vs BTC, implying ETH moves have historically been closely aligned with BTC in this dataset.
This snapshot summarizes a market where short-term defensive signals coexist with a still-intact daily uptrend structure, under a broader risk-off macro backdrop.
⚠️ 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.

