It is just idea and my view of trend.
Based on W and 4H, it is confirmed now we are on downtrend.
Now down to 15M, temporarily we are on uptrend for liquidity.
Thus, I will take long position
1. Entry: 20159 - 20161 range
2. Stop Loss: 20100 -20070 range (but will trigger stop loss automatically at 20070 in my case).
3. Take Profit: 21000 - 21005 range (but will close all position maximum at 21005 In my case).
If everything will happen what I am looking for,
I will take short position at 21020 - 21050.
Please share your view.