Análisis IA de AVAX a Largo plazo
Entry Zones
Stop Loss
13.00Take Profit Targets
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MACRO OVERVIEW: AVAX/USDT is in a corrective downtrend following a prior uptrend that peaked above 15.00, with the current price consolidating around 12.11. The daily market structure exhibits lower highs and lower lows, indicating sustained bearish momentum. Volume and momentum indicators point to ongoing selling pressure, positioning the market in a decline phase within a multi-week context.
TREND ANALYSIS:
- Primary Trend: DOWNTREND
- Trend Health: Strong
- Market Phase: Decline
- Evidence: Daily ADX at 54.69 with minus DI (31.22) significantly higher than plus DI (10.46), and a sequence of lower highs from 15.27 to current levels, confirmed by recent daily candles showing prices failing to sustain above 12.50.
POSITION STRATEGY:
- Direction: SHORT for trend following, LONG for counter-trend at support
- Building Zone: For SHORT: 12.30-12.50; for LONG: 11.50-12.00
- Ideal Average Price: SHORT at 12.40, LONG at 11.80
- Position Size: Half position for SHORT, quarter for LONG due to higher counter-trend risk
- Timeframe: SHORT: 2-4 weeks; LONG: 4-8 weeks if reversal confirms
MAJOR LEVELS:
- Critical Support: 11.26 - historical low from daily data
- Critical Resistance: 12.50 - recent highs tested multiple times
- Trend Invalidation: Break above 13.50 would invalidate the current downtrend structure
LONG-TERM SCENARIOS:
- Bull Case: If price holds support at 11.26 and breaks above 13.00, targets include 14.00 and 15.00+
- Bear Case: Breakdown below 11.26 could lead to 10.50 and 10.00
- Probability Assessment: Bearish scenario appears more likely based on dominant bearish momentum and indicator alignment
RISK MANAGEMENT:
- Position Stop: SHORT stop at 13.00, LONG stop at 11.00
- Maximum Risk: 2% of capital per position to account for volatility
- Add-on Levels: For SHORT, add at 12.60; for LONG, add at 11.30
- Exit Signals: For SHORT, exit on daily close above 13.00; for LONG, exit on daily close below 11.00
VOLUME & MOMENTUM: Daily OBV is negative in recent periods, and CMF is -0.03, indicating distribution. RSI at 32.99 shows oversold conditions but not extreme, suggesting potential for further downside before a rebound.