Because of short-term bias and current risk/reward is unfavorable, I am currently waiting for a better opportunity to open a short position. Would CONSIDER opening sell position closer to 1.1000 with tight S/L and closely monitoring when to take gains. (H1 & H4 time frames)
Based on D1, risk/reward becomes more favorable above 1.1125.
Most likely staying on sidelines until next week AND when risk/reward comes more desirable.
Let me know your thoughts.