EU double top, still in Supply area, EU posibly Bearish Divergence. Short term when NFP.
better wait for short opportunity when retrace fib ext lvl 0.618/1.000 and take profit with risk management
better wait for long opportunity when retrace lvl fib ext 0.618/1.000 hit, and take profit lvl fib ret 0.5/0.618 with risk management
better wait for short opportunity and take profit with risk management.
when see this pattern, just wait for confirmation to get short or long position....
price come into strong supply area, find short signal, take a profit with risk management