Last week failed at the low, then took short term buyside. I am willing to short from above one of the daily short-term highs, but I am finding longs more attractive for now.
I'd like to see a play on internal range liquidity where the two BISI(D) are stacked with the BPR(M) low before getting long this week.
Going to be looking for 1-2 opportunities/day Mon-Fri. If my model is clear, i will execute.
I want to see where SQ2/SQ3 engage with a 15m imbalance and reacts with a 2m block(RB/OB/BB).
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