Multi-timeframe analysis — SOL Analysis
D1 (daily) — SOL Analysis
EMA: Price at 193.32 sits below EMA20 201.44 and EMA50 206.16 but above EMA200 187.88. This shows the trend is pressured in the medium term while the long-term base still holds.
RSI: The 14-period RSI at 44.61 stays below 50, signaling a slight bearish bias. Buyers have not fully reclaimed control yet.
MACD: Line -8.19 below signal -6.35 with a -1.84 histogram. Momentum remains negative, so rallies could stall into resistance unless the histogram improves.
Bollinger: Bands center at 207.59 with upper 246.58 and lower 168.61. Trading below the mid-band points to a sellers’ advantage, though distance from the lower band reduces immediate downside urgency.
ATR and Pivot: ATR14 at 18.05 implies wider swings. Price above PP 190.18 but below R1 196.54 suggests a tug-of-war near local resistance.
Daily takeaway: the higher-timeframe tone of this SOL Analysis is neutral, leaning cautious until EMAs are reclaimed.
H1 (hourly)
Trend/EMA: Close 193.33 above EMA20 189.51, EMA50 188.20, and EMA200 192.85. Intraday bias tilts bullish as buyers lift price back over the hourly 200 EMA.
Momentum: RSI 65.43 and a positive MACD (1.11 > 0.73; hist 0.38) show firm short-term momentum. If this cools, a pullback to the EMA20 could follow.
Bands/Pivot: Near the upper Bollinger band (193.89) with PP 193.17 and tight R1 193.56. This often precedes brief pauses; a clean break over R1 could extend the move.
Hourly takeaway: buyers have the ball, but continuation likely needs a decisive push through nearby resistance.
M15 (15-min)
Micro-trend: Price 193.31 above EMA20 190.33, EMA50 189.19, and EMA200 187.48. Structure is constructive and shows a fresh breakout tone.
RSI/MACD: RSI 73.74 is overbought while MACD 1.47 > 0.94 (hist 0.53) remains positive. Momentum is hot; a brief cool-off wouldn’t surprise.
Bands/Pivot: With the upper band at 195.29 and R1 193.55 nearby, upside may slow without consolidation. Failing to hold PP 193.16/192.93 could start a micro pullback.
Low-timeframe takeaway: momentum is strong but feels fragile at extremes; quick flips are possible.
Synthesis: D1 neutral and slightly cautious, while H1 and M15 lean bullish — a split tape. For this SOL Analysis, continuation needs daily confirmations above resistance. Consulta anche questa analisi dedicata alle performance multi-chain: Solana vs Ethereum: an eternal challenge for a future leader.
Trading scenarios — SOL Analysis
Neutral (main)
Trigger: Price holds between 190.18 (PP) and 196.54 (R1) on D1 closes.
Target: Range trading within 190.18–196.54; extensions to 201.44 if momentum firms.
Invalidation: Daily close outside this band.
Risk: Stops sized around 0.5–1.0× D1 ATR (≈9.03–18.05). Intra-day traders may reference H1 ATR 2.23.
Bullish
Trigger: Daily close above 196.54 (R1) and follow-through toward 201.44 (EMA20).
Target: 201.44 first, then 206.16 (EMA50) and 207.59 (BB mid) if momentum persists.
Invalidation: Back below 190.18 (PP) on a daily close.
Risk: Consider 0.5–1.0× D1 ATR for volatility; pullbacks to retest 196.54 are common.
Bearish
Trigger: Daily close below 190.18, opening 186.96 (S1) and a test of 187.88 (EMA200).
Target: 186.96 initially; stretch risk down toward 168.61 (BB lower) if selling accelerates.
Invalidation: Reclaim of 196.54 on a daily close.
Risk: 0.5–1.0× D1 ATR helps buffer whipsaws; watch for bounces near EMA200.
Scenario takeaway: in this SOL Analysis, neutrality dominates until price resolves above 196.54 or below 190.18. Per un ulteriore approfondimento sulle recenti evoluzioni di Solana, consulta questa analisi su Solana dopo i recenti movimenti di mercato.
Market context — SOL Analysis
Market: Total crypto market cap at 3.87T USD with a 24h change of 3.92%. BTC dominance stands at 57.28%. Fear & Greed Index at 29 (Fear).
Context takeaway: high BTC dominance and Fear sentiment usually weigh on altcoins; upside for SOL could be selective. This SOL Analysis favors patience for daily confirmations. Guarda anche le analisi tecniche in tempo reale dal pannello TradingView.