As of April 30, 2026, SOFI (SoFi Technologies, Inc.) is in a bottoming attempt state on the monthly chart, with a confidence level of 62%. Key support is at $15.8 and key resistance at $18.4. Monthly pullback from ~$30 area into the rising EMA50 (~$15.81) with RSI cooling to ~48; last candles show deceleration after multiple strong red months.
Base-and-bounce: holds the EMA50 zone, then reclaims EMA100/SMA50 area and works back into the prior breakdown shelf.
Continuation of the correction: fails at EMA100, rolls over and retraces deeper into the prior breakout range (typical Wave-4 style) before any larger uptrend resumes.
2+ monthly closes back above $18.40 (EMA100 area)
Monthly close below $15.00 (break under EMA50 + recent swing support)
Scale-in around EMA50 (~$15.8); add on a deeper Fibonacci retrace into prior structure ($14 area); heavy add near SMA50/major base shelf (~$11.7) if reached.
Trim into prior supply/extension zones: first at reclaim of mid-range resistance ($22–$24.5), heavier near the prior peak/supply ($27–$30), and full exit on a clear new blow-off above the old highs ($31.5+).
As of April 30, 2026, SOFI (SoFi Technologies, Inc.) is in a bottoming attempt state on the monthly chart with 62% confidence. Monthly pullback from ~$30 area into the rising EMA50 (~$15.81) with RSI cooling to ~48; last candles show deceleration after multiple strong red months.
On the monthly timeframe, SOFI has key support at $15.8 and key resistance at $18.4. The most likely scenario (bullish) targets $18.4 and $22.0, with a revert level at $16.0.
SOFI (SoFi Technologies, Inc.) is currently classified as bottoming attempt on the monthly chart, with 62% confidence. Confirmation requires: 2+ monthly closes back above $18.40 (EMA100 area) This would be invalidated by: Monthly close below $15.00 (break under EMA50 + recent swing support)
The most likely scenario (bullish) targets $18.4 and $22.0, with a revert level at $16.0. The alternative scenario (bearish) targets $14.0 and $11.7.
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