I'd rather be hooked up to long positions but before that happens, scenario no. 1 is the absolute minimum for me. So far, the price is fine after the break and it would be useful to test last week's Vpoc. Ideally, the price should reach the lower limit of distribution and find buyers who will push the market higher (scenario 2).
Of course, I have no idea what the future holds. These scenarios are only a form of preparation for situations that may arise. I will look for a short position in the small marked squares.