Feel like wanting to force a sell the whole last week, so I shift this week to bullish , because I can't see great weakness in EU to short.
Found some liquiditypionts combining marketstrukture, significant swings and interesting Fib-Levels.
Still aware that EU is about to smash a big supply area.
Divergence in H4
Market hit my supplyarea. EU starting correctionmove. Fell Fast, took and entry on 1.19940 SL in profit and ride baby.
high risk buylimit played out perffffeeeccctttttt