AVAX Langfristig KI-Analyse
Entry Zones
Stop Loss
15.00Take Profit Targets
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MACRO OVERVIEW: AVAX is in a sustained multi-week downtrend, having declined from highs above 21 to current levels near 13.9, indicating strong bearish momentum. The market structure shows a clear sequence of lower highs and lower lows on the daily chart, with volume profiles and indicators like ADX and OBV supporting a distribution phase. Long-term, the asset is in a decline cycle, with no significant accumulation zones yet identified, suggesting further downside potential unless key support levels hold.
TREND ANALYSIS:
- Primary Trend: DOWNTREND
- Trend Health: Strong
- Market Phase: Decline
- Evidence: Daily candles show lower highs (e.g., from 21.1 to 13.89) and lower lows (e.g., from 20.17 to 12.57), ADX above 50 indicates strong trend strength, and Minus DI consistently higher than Plus DI confirms selling pressure.
POSITION STRATEGY:
- Direction: SHORT
- Building Zone: 14.00 - 14.50
- Ideal Average Price: 14.25
- Position Size: Half (scale in cautiously)
- Timeframe: 2-4 weeks
MAJOR LEVELS:
- Critical Support: 13.00 (tested multiple times historically)
- Critical Resistance: 14.50 (recent rejection zone)
- Trend Invalidation: 15.00 (break above could signal trend change)
LONG-TERM SCENARIOS:
- Bull Case: If support at 13.00 holds and reversal occurs, price could rally to 16.00 or higher, driven by renewed accumulation.
- Bear Case: Downtrend continuation towards 12.00 or lower, supported by negative volume and indicator momentum.
- Probability Assessment: Bear case is more likely (70%) based on current structural breakdown and indicator alignment.
RISK MANAGEMENT:
- Position Stop: 15.00 (above key resistance)
- Maximum Risk: 3% of capital
- Add-on Levels: Add to SHORT position if price rallies to 14.50-15.00 zone
- Exit Signals: Close SHORT if price breaks above 15.00 or daily RSI moves above 50 with volume confirmation.
VOLUME & MOMENTUM: Volume has been elevated during declines, with OBV and CMF negative, indicating distribution. Momentum indicators like RSI (around 30-40) and MACD histogram negative reinforce bearish bias, though oversold conditions could lead to short-term bounces.