Solana (SOL)
103.25
294.33
-64.9%
Stage 2 (Uptrend)
Bullish factors: price > 50d, price > 200d, golden cross, 50d rising, RSI healthy (59.5), rising 1m & 3m, strong bull trend (ADX 48.2), accumulation (OBV up, vol ratio 1.27)
Bearish factors: MACD-, far below high
Low: 60.41
Now: 103.25
Technical Snapshot
| RSI (14) | 59.5 | ADX (14) | 48.2 |
| 50d MA | 86.89 | 200d MA | 82.93 |
| Price vs 50d | ▲ Above | Price vs 200d | ▲ Above |
| Support | 74.20 | Resistance | 110.04 |
| ATR Volatility | 4.27%/day | Trend | BUY |
Crypto Performance Comparison
| Asset | 1 Month | 3 Months | 6 Months | 1 Year |
| SOL | +10.2% | +32.3% | +23.1% | -22.5% |
| BTC | +0.6% | +22.8% | +0.3% | -13.1% |
| ETH | +3.6% | +45.2% | +12.3% | -16.6% |
| SOL | +10.2% | +32.3% | +23.1% | -22.5% |
Trend-Following Backtest
2-year simulation of 30,000 using 50d/200d MA crossover + RSI filter. Buy when price > 50d MA (rising) + RSI 40-75. Sell on death cross or RSI > 82.
Strategy vs Buy & Hold
| Asset | Strategy | Buy & Hold | Max DD | Trades | Win Rate |
| SOL | -12.3% | -17.2% | -42.7% | 58 | 47% |
DCA vs Lump Sum (SOL)
If you had deployed 30,000 using different timing strategies over the past year.
| Strategy | Return | Value Today |
| Lump Sum (1y ago) | -22.5% | 12,784 |
| DCA — 4 buys | -1.9% | 29,434 |
| DCA — 6 buys | -9.3% | 27,206 |
| DCA — 12 buys | +0.6% | 30,194 |
SOL Deployment Plan — 30,000 Portfolio
Analysis by Marcus Reid (Long-term HODLer). If you’re managing a 30,000 crypto allocation, here’s the plan:
| Position size | 4,500 (15% of portfolio) |
| Stop loss | 94.43 (-8.5%) |
| Target 1 | 116.00 (12.3%) |
| Target 2 | 125.00 (21.1%) |
| Entry quality | Pullback |
| Max concurrent positions | 8 |
Cash reserve: keep 15% buffer. Deploy in 3 tranches. Portfolio style: Long-term HODLer.
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 | 103.25 | +3.3% |
Trend-following methodology: 50d/200d MA crossover + RSI filter + ADX regime gate
Data via Yahoo Finance / CoinGecko · Not financial advice. For educational purposes only.
BUY signal with MACD still negative is bold. but ADX 48.2 off the 60 bottom with OBV confirming accumulation, ok I see the logic
MACD lagging is normal this early after a cross. the volume ratio at 1.27 is the part that convinces me
buy call at 103 with a 52w high of 294. down 65% from the top and the 30k deployment plan says load up. bold, dyor
same template every week, just swap the ticker and the price. who is this 30k portfolio guy even
its a quant model running the same structure on every coin, the value is in the factor scores, the prose is decoration. still dyor
lmao the 30k portfolio series is a content engine at this point. ADX and OBV lines read identical to last weeks issue with the ticker swapped
-64.9% drawdown from 294 and this is HIGH conviction? respect the signal but size it small, nearest support is 74 and that is a long way down
74 was the launchpad before the run to 294. if that shelf holds, the entry looks a lot less insane
Agreed on sizing. Nearest support at 74 is nearly 30 percent away, one funding flush and this deployment plan looks very brave.
65 percent off the high with OBV accumulating is exactly when funding flushes happen. brave or right, we find out at 74
curious what win rate the 2 year backtest printed, that window includes the entire collapse from 294. returns alone hide a lot
volume ratio 1.27 with OBV confirming accumulation while price sits 65% off the high is how bottoms look before they are obvious