Analysis: Areas of focus: a, b Weekly and daily Liquidity to be taken. but after new euro fx contract switch there is a lot of sell took place. So, scenarios: i)bias depends on how you view it either rallies above "a" liquidity zone. or ii) rallies above "b" till "a" liquidity is taken. or iii)Takes down after "b" 15 min fvg mitigation.
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