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Solana (SOL) Analysis: BUY — 10,000 Deployment Plan

Deep Dive Analysis

Solana (SOL)

2026-09-05 17:00 UTC · Aisha Okonkwo · 10,000 Portfolio
PRICE
102.87
52W HIGH
294.33
DRAWDOWN
-65.1%
STAGE
Stage 2 (Uptrend)

🟢 DEPLOY — Trend-Following Signal: BUY
Trend-Following System · HIGH Conviction · 8 Bull / 2 Bear Factors

Bullish factors: price > 50d, price > 200d, golden cross, 50d rising, RSI healthy (64.6), rising 1m & 3m, strong bull trend (ADX 49.4), accumulation (OBV up, vol ratio 2.86)

Bearish factors: MACD-, far below high

SOL Price — 1 Year

1Y Ago: 125.20
Low: 60.41
Now: 102.87

Technical Snapshot

RSI (14) 64.6 ADX (14) 49.4
50d MA 83.77 200d MA 82.31
Price vs 50d ▲ Above Price vs 200d ▲ Above
Support 72.47 Resistance 110.04
ATR Volatility 4.31%/day Trend BUY

Crypto Performance Comparison

SOL+26.0%target+26.0%BTC+26.4%ETH+38.1%SOL+26.0%

Asset 1 Month 3 Months 6 Months 1 Year
SOL +36.7% +26.0% +21.3% -17.8%
BTC +26.5% +26.4% +3.0% -9.2%
ETH +30.6% +38.1% +6.7% -16.7%
SOL +36.7% +26.0% +21.3% -17.8%

Trend-Following Backtest

2-year simulation of 10,000 using 50d/200d MA crossover + RSI filter. Buy when price > 50d MA (rising) + RSI 40-75. Sell on death cross or RSI > 82.

10,000 initial

FINAL VALUE
8,734
RETURN
-12.7%
MAX DRAWDOWN
-42.7%

Strategy vs Buy & Hold

Asset Strategy Buy & Hold Max DD Trades Win Rate
SOL -12.7% -27.0% -42.7% 58 47%

DCA vs Lump Sum (SOL)

If you had deployed 10,000 using different timing strategies over the past year.

Strategy Return Value Today
Lump Sum (1y ago) -17.8% 5,137
DCA — 4 buys +4.5% 10,455
DCA — 6 buys -7.5% 9,247
DCA — 12 buys -0.6% 9,939

SOL Deployment Plan — 10,000 Portfolio

Analysis by Aisha Okonkwo (Yield / Staking Focused). If you’re managing a 10,000 crypto allocation, here’s the plan:

Position size 2,500 (25% of portfolio)
Stop loss 94.00 (-8.6%)
Target 1 114.00 (10.8%)
Target 2 121.00 (17.6%)
Entry quality Midrange (R:R 1.5)
Max concurrent positions 4

Cash reserve: keep 25% buffer. Deploy in 2 tranches. Portfolio style: Yield / Staking Focused.

Backtest Trade Log

Date Action Price P&L
2026-08-10 BUY 75.95
2026-08-11 SELL 76.20 +0.3%
2026-08-13 BUY 76.18
2026-08-14 SELL 75.33 -1.1%
2026-08-18 BUY 77.03
2026-08-19 SELL 85.37 +10.8%
2026-08-28 BUY 104.13
2026-08-29 SELL 105.65 +1.5%
2026-08-30 BUY 101.88
2026-08-31 SELL 103.00 +1.1%
2026-09-01 BUY 99.99
END SELL 102.87 +2.9%

Generated by BitcoinsNews.com Coin Analysis Engine · 2026-09-05 17:00 UTC
Trend-following methodology: 50d/200d MA crossover + RSI filter + ADX regime gate
Data via Yahoo Finance / CoinGecko · Not financial advice. For educational purposes only.

27 thoughts on “Solana (SOL) Analysis: BUY — 10,000 Deployment Plan”

  1. RSI 64.6 with ADX at 49.4 is basically a freight train chart. bought the 50d retest at 83 and im not touching this till 110 resistance

    1. macd still negative while price rides the 50d, thats the one thing bugging me here. momentum says freight train, indicator says wait for confirmation

      1. macd lagging is normal in stage 2, the OBV divergence is the one to watch. if obv stops confirming while price rides 102 thats your exit cue

        1. obv divergence flagged the 2021 top weeks before any ma cross too. watching that instead of staring at 114 is free insurance imo

          1. watching obv instead of waiting for the ma cross gang is underrated. free information and no drawdown required to collect it

          2. obv flagged the 2021 top weeks early and costs nothing to watch. free exit cue while everyone else stares at the 114 line

  2. Curious how this is a HIGH conviction BUY when the same backtest lost 12.7% over 2 years with a 47% win rate. The signal and the simulation disagree with each other.

    1. 47 percent win rate with a 1.5+ reward to risk still prints, thats the entire point of trend riding. the 12.7 percent drawdown is the tuition you pay for the occasional stage 2 runner

    2. the simulation loses 12.7% INCLUDING the chop periods it exits during. the live signal only exists inside stage 2. comparing them is comparing two different games

    3. @Marek the backtest includes the death cross exits that chopped 58 trades, the live signal is just riding stage 2 rn. two different things imo

      1. stage 2 rides look great until the first chop. a 47% win rate means 6 losers in a row somewhere, thats the part nobody sizes for

        1. 47 percent win rate stings until you check the average winner pays 2.8r. you size for the six loser streak, not the average trade

          1. 2.8r average winners is exactly why a 47 percent win rate still prints. the people coinflipping 0.3r scalp setups will never understand trend riding

    4. the system and simulation disagree because trend filters only trade the good regimes and the backtest eats all of them. both numbers are true, people just quote the wrong one

      1. right, the 12.7 percent includes all the chop the live signal never touches. quoting the full backtest at a stage 2 entry is comparing a marathon split to a sprint clock

      2. exactly. the 12.7 is the ceiling, the system print is the live product. quoting the backtest as expected return is how you get ratioed by reality

  3. Stop at 94 with targets at 114 and 121, decent structure. But 65% drawdown from the 294 high still makes me size half of the suggested 2500.

    1. half sizing is smart, that 294 to 94 range would gut a full 2500. im in with 1200 and only adding if 114 actually breaks and holds

    2. half sizing is the move. 65 percent off the high with ADX near 50 means the trend is real but one gap through 94 and your edge is gone

      1. jorie nailed it on the ADX near 50. riding 102 with a 94 stop is fine until the day it gaps thru, watched the same stage 2 setup on sol in 22 end badly

      2. half size with ADX near 50 is the right read. but one gap through 94 and even half position gets ugly before you can blink

        1. a gap through 94 and the 12.7 percent backtest becomes the live number real fast. half size is the only honest position with ADX this hot

        2. 94 gap scenario is why the half size call matters. ADX that stretched usually means one more flush before continuation anyway

  4. 102 after a 294 high and the buy case is pure structure. stage 2 crowd buys the fear and sells the parabolic, the rest of ct does the opposite

    1. stage 2 framing is fine but a 65 percent drawdown from 294 needs more than structure to convince me. waiting on the system print before adding anything

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BTC$79,619.00-0.4%ETH$2,497.13-0.4%SOL$104.91-0.9%BNB$746.05-2.4%XRP$1.41-1.0%ADA$0.2192-1.0%DOGE$0.0894-1.7%DOT$0.9731+4.7%AVAX$7.78+1.3%LINK$13.05+7.1%UNI$6.97-3.3%ATOM$1.58+0.5%LTC$54.12-0.7%ARB$0.1774-11.3%NEAR$2.40+8.8%FIL$0.8008-1.6%SUI$0.7955-0.4%BTC$79,619.00-0.4%ETH$2,497.13-0.4%SOL$104.91-0.9%BNB$746.05-2.4%XRP$1.41-1.0%ADA$0.2192-1.0%DOGE$0.0894-1.7%DOT$0.9731+4.7%AVAX$7.78+1.3%LINK$13.05+7.1%UNI$6.97-3.3%ATOM$1.58+0.5%LTC$54.12-0.7%ARB$0.1774-11.3%NEAR$2.40+8.8%FIL$0.8008-1.6%SUI$0.7955-0.4%
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