Two areas of interest that get my attention. I will play the discounted levels as they come. Manage risk accordingly.
Looking for institutions to stack sell contracts around the 1HR POI at previous liquidity. Manage risk accordingly.
GBP CPI news release at 4:30AM EST. Would love to see price pop up to 1HR POI and give institutions a position to stack on sell contracts. Manage risk accordingly.
Looking for institutions to revisit 4HR POI at previous liquidity to stack on buy contracts at a nice discount. Manage risk accordingly.
Area of interest for me would be the hourly imbalance sitting below buyers liquidity along with the 4HR POI that created trapped money above the sellers liquidity resting below it. This is an area where I believe institutions would be looking to stack on sell contracts. Manage risk accordingly.