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SUIUSDT: Risk‑Off Consolidation Around Long‑Term Volume Pivot

Summary: In-depth AI technical analysis for SUI.

SUIUSDT perpetual futures are trading at $0.77110 (-1.54% on the day), sitting near a multi‑timeframe volume and structural pivot. The environment is risk‑off, with short‑term strength, long‑term weakness, and neutral but engaged derivatives positioning.


1. Macro & Sentiment Snapshot

  • Regime: RISK OFF (MMS Score: 5.70, Strategy: WAIT) with a consolidation pattern.
  • Alt Breadth (AB): BEAR, value -0.75 – altcoins broadly weak.
  • Stablecoin Pressure (SPI): BEAR, value 0.66 – stablecoin dynamics not supportive.
  • Leverage Pressure (LPI): BALANCED, value -0.03 – no extreme leverage.
  • OI Delta (OID): MODERATEBEARISHLVL_-1, value 0.24 – OI structure leans mildly bearish.
  • FOP Index: CONFIDENCE LOSS, value 0.06, with OI -0.15% and price -1.53% – derivatives confidence reduced.
  • Dominance Price Conflict (DPC): RISK OFF CONFIRMATION (-1.51) – dominance and price consistent with risk‑off.
  • Crypto Equity Weight (CEW): DECOUPLED (-1.00) – crypto diverging from equities despite NDX +1.09% and SPX +0.98%.

Takeaway: SUI trades in a risk‑off, alt‑weak environment, decoupled from equity strength.


2. Derivatives, Orderflow & Correlation

BTC Correlation

  • Correlation: 0.71, Beta 0.69 – SUI moves in line with BTC, but with slightly lower amplitude.
  • Actual vs Expected Move: -0.38% vs -0.41% – price behavior closely matches BTC‑based expectation.

Orderflow & CVD

  • 4H CVD: Rising, net +$3.04M, 51% buy / 49% sell, with consistent divergence – short‑term net buying tilt.
  • 1D CVD: Falling, net -$4.57M, 48.5% buy / 51.5% sell, with bearish divergence (price up, CVD down) – daily price strength not fully backed by aggressive buying.
  • 1W CVD: Falling, net -$2.88M, 44.5% buy / 55.5% sell – sustained net selling on the weekly horizon.

Open Interest & Funding

  • 4H OI Change (4d): +0.20%, funding 0.000100%, neutral state.
  • 1D OI Change (24d): +4.03%, funding 0.000100%, neutral.
  • 1W OI Change (24w): +3.95%, funding near zero, neutral.

Takeaway: Engaged but not crowded derivatives positioning, with short‑term buying vs medium/long‑term selling pressure.


3. Trend, Structure & Key Levels

Trend by Timeframe

  • 4H:
    • Pattern: Symmetrical Triangle (LH + HL) – consolidation.
    • EMAs: Price above EMA 8/20/50/200, all slopes positive.
    • Trend Flags: Bullish (20 > 50), macro bullish (50 > 200).
  • 1D:
    • Pattern: Broadening Formation (HH + LL) – expanding range.
    • EMAs: Price above EMA 8/20/50, but ~20.7% below EMA 200.
    • Trend Flags: Short‑term bullish (20 > 50), macro bearish (50 < 200).
  • 1W:
    • Pattern: Broadening Formation.
    • EMAs: Price above EMA 8 but below EMA 20/50, all sloping down.
    • Trend Flags: Bearish (20 < 50), macro bearish (50 < 200).

Support, Resistance & Volume Profile

  • Global S/R:
    • R2: $0.77803, R1: $0.76047.
    • S1: $0.71487, S2: $0.68683, S3: $0.66927.
  • Volume Profile:
    • 4H POC: $0.72413, VAH $0.80526, VAL $0.71061.
    • 1D POC: $0.71810, VAH $0.78425, VAL $0.66848.
    • 1W POC: $0.76879very close to current price.

Takeaway: SUI trades inside 4H/1D value areas and almost exactly at the weekly POC, marking a long‑term volume pivot.


4. Oscillators, Divergences & Volatility

Oscillators

  • 4H: RSI 67.8, Stoch 85.5, MFI 75.1upper‑range momentum and money flow.
  • 1D: RSI 57.4, Stoch 33.6, MFI 51.3moderate daily momentum.
  • 1W: RSI 40.2, Stoch 17.7, MFI 23.6sub‑neutral weekly momentum.

Divergences

  • 4H: Bearish OBV divergence (02‑09‑26).
  • 1D: Bullish OBV divergence (19‑08‑26, historical).
  • 1W: Bullish MACD, RSI, VOLUME divergences at 22‑06‑26 (historical).

Volatility & TTM Squeeze

  • 1W TTM Squeeze: Active – weekly volatility compression.
  • HV & ATR: Slightly rising on 1D and 1W, with high weekly CHOP (75.64).

Takeaway: Short‑term momentum is elevated, but higher‑timeframe volatility is compressed and choppy, with mixed divergence signals.


5. Liquidity Zones, Smart Money Concepts & Candles

Supply & Demand

  • 4H Demand: $0.772–0.777 (Intensity 3637.61) – just above current price.
  • 1D Demand: $0.766–0.770, $0.774–0.778, $0.789–0.793 – stacked around current region.
  • 4H Supply: $0.808–0.817, $0.831–0.845.
  • 1D Supply: $0.793–0.796, $0.815–0.819.

NPOCs

  • 4H NPOCs: $0.86300, $0.81930, $0.68000, $0.64610.
  • 1D NPOCs: $0.81420, $0.79990.
  • 1W NPOC: None active.

Smart Money Concepts

  • FVG: 3.2% (Sup) @ $0.75820 – supportive fair value gap.
  • Events: No additional SMC signals.

Candlestick Patterns

  • 4H: Liqgrab Bear and Trap Bear V3 at $0.78950 (2 bars ago).
  • 1D: Outside Bull at $0.74620 (2 bars ago).

Takeaway: The immediate area around $0.76–0.79 is dense with demand, supply, FVG, and candle signals, confirming it as a key micro‑structure zone.


Bottom Line (Need‑to‑Know)

  • SUIUSDT is in a risk‑off, alt‑weak macro context, trading almost exactly at its weekly POC and within 4H/1D value areas.
  • Short‑term trend (4H/1D) is constructive, with price above EMAs and positive directional indicators, but weekly trend remains bearish with down‑sloping EMAs and negative CMF.
  • Orderflow is split: 4H CVD is rising and positive, while 1D and 1W CVD are falling and negative, with a bearish daily CVD divergence (price up, CVD down).
  • Derivatives positioning is neutral, with modest OI growth and near‑zero funding, indicating engagement without extreme leverage.
  • The $0.76–0.79 band is structurally important, containing demand zones, supply overhead, FVG support, and recent candle patterns, making it the core micro‑range within the broader weekly broadening and TTM Squeeze environment.

⚠️ 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.
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