There is a high probability of the pair selling due to the following factors; 1. There is a break of structure. 2. There is liquidity resting below the point of interest. 3. There is inducements just below the imbalance level 4. There is imbalance below that needs to be filled.
There is a probability for the pair advancing to the downside. The checklist for the sell is confirmed such as; 1. BOS to the downside 2. Formation of Liquidity 3. Order Block formation 4. Inducements and 5. Imbalance aka Fair Value Gap
There is a potential for the bearish movement of this pair as we have seen some confirmations. First there is a BOS, Inducements, Imbalance and Break of the previous structure.
We have a short sell setup that has all criteria met. Including BOS, Inducements, Imbalance.
We have a probability of the pair going bullish because we have clear criteria to take this trade. First, there is an OB, break of structure, liquidity sweep, inducements and imbalance.
There is a high probability that bullish movement is eminent after the clearance of the liquidity. Criteria for taking the trade have been met including the formation of order block, imbalance, inducements and break of structure.
This gives a glimpse of where there is a direction. Our key confirmations points are met like the BOS, Inducements, Clear OB, Imbalance and Inducements. Let's hope it will move to our desired direction.
A high probability of the bearish price movement. Because of the extreme supply zone and there is also imbalance and the break of structure.
A bearish setup is being formed after several confirmations. 1. there is a 15m supply zone, 2. imbalance 3. inducements.
There is a high probability of the pair moving to the downside. This is because all requirements are met. There is a break of structure, imbalance, inducements and supply zone.
The price trades at the equilibrium. Furthermore, there is a formation of OB, break of structure, imbalance and there is liquidity at 30 minutes time frame.
I have several criteria for this trade to meet. 1. OB took previous liquidity 2. OB broke the structure 3. OB left imbalance 4. OB was not mitigated 5. OB created inducements 6. It is the extreme OB.
I have three criteria to take a trade in supply and demand scenario. 1. There must be a BOS 2. There must be Imbalance or Fair Value Gap 3. There must be Liquidity Sweep. In this trade all three criteria have been met.
Price is nearly touching our 1H Point of interest. That is our high demand zone. Some of the entry criteria has been met. 1. There is break of structure 2. There is Imbalance 3. There is liquidity sweep.
There is a falling wedge pattern already formed. There is a very high probability of the pair breaking to the upside. It is safe to take a trade after a breakout and a retest.
There is a trendline that has been broken. And it has been retested. I think it is the best trade setup so far.
The view might also be the same to EURUSD. Price has been moving within the parallel channel. It will either break or keep falling further. Trade can be taken after a breakout and a retest of the trendline.