Largo PlazoNueva OperaciónFutures

SOLAI Analysis de SOL Largo Plazo

DirecciónBajista
Confianza65%
Riesgo Medio

Zonas de Entrada

Óptimo130.00
Alternativo135.00

Stop Loss

140.00

Objetivos de Take Profit

TP1120.00
TP2115.00
TP3110.00

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MACRO OVERVIEW: SOL/USDT is in a corrective downtrend after a significant rally, with price currently testing critical support zones between $120 and $125. The daily chart shows a sequence of lower highs and lower lows, indicating a shift from markup to a decline phase over the past several weeks. Multi-week context suggests potential accumulation if support holds, but momentum remains weak with volume spikes on down moves.

TREND ANALYSIS:

  • Primary Trend: DOWNTREND
  • Trend Health: MODERATE (ADX declining from 49.65 to 44.44, volume inconsistent)
  • Market Phase: DECLINE
  • Evidence: Price below 9-day EMA (129.83 to 144.34) and 20-day EMA (133.53 to 156.73), negative MACD histogram, lower highs on daily candles (e.g., from 146.91 to 135.43)

POSITION STRATEGY:

  • Direction: BEARISH bias for short-term, but prepare for LONG setups at support
  • Building Zone: For LONG: $120.00-$125.00; for SHORT: $130.00-$135.00
  • Ideal Average Price: LONG: $122.00; SHORT: $130.00
  • Position Size: Scale in with half position initially, add on confirmations
  • Timeframe: 2-4 weeks for position development

MAJOR LEVELS:

  • Critical Support: $120.00 (historical low from daily data and psychological level)
  • Critical Resistance: $135.00 (recent swing high from 4h and daily data)
  • Trend Invalidation: Break above $140.00 would invalidate the current downtrend structure

LONG-TERM SCENARIOS:

  • Bull Case: If $120.00 support holds, price could rally back to $150.00-$160.00 over the coming months, driven by renewed accumulation.
  • Bear Case: If $120.00 breaks, downside targets are $110.00 and $100.00, extending the decline phase.
  • Probability Assessment: Bear case is more likely (60%) based on current downtrend structure, negative momentum indicators, and high volume on declines.

RISK MANAGEMENT:

  • Position Stop: LONG stop at $118.00; SHORT stop at $140.00
  • Maximum Risk: Limit to 3% of total capital per position
  • Add-on Levels: For LONG, add at $120.00 if bounce confirmed with volume; for SHORT, add at $135.00 if rejection occurs with bearish candles
  • Exit Signals: Close LONG if $118.00 breaks with volume; close SHORT if $140.00 is breached with bullish momentum

VOLUME & MOMENTUM: Volume has spiked during recent declines (e.g., 24h volume ~559 million), indicating distribution or panic selling. Momentum indicators like RSI (30.29 to 49.72 on daily) are oversold but without bullish divergence, and MACD remains negative, suggesting further downside pressure is possible.

Cómo se elabora este análisis

Crypto Analysis AI monitorea de forma continua más de 15.000 criptomonedas en 26 exchanges y evalúa cada una con más de 100 indicadores técnicos. En cuanto se solicita un análisis, procesa en tiempo real la acción del precio, el momentum y el volumen —y, cuando corresponde, el sentimiento del mercado y las tasas de financiación— y deja que la IA sintetice todo en un plan claro y accionable: dirección, zonas de entrada, objetivos de toma de ganancias, stop-loss y una evaluación transparente del riesgo. Sin señales de pago, sin gurús: solo datos e IA, cuando lo necesites.

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