The weekly structure is bullish, the price has reacted perfectly on the Points of Interest (POI) marked. Now that the price is accumulating and showing upward weakness, we look for possible areas where the price could reverse and make a correction or structure change.
1st Zone.
This zone has previously been mitigated by showing price rejections. If the OB has previously been mitigated twice, that Offer zone will become Liquidity, so 100% of the OB will have to be completely mitigated or exceed the zone.
2nd Zone.
The marked area is above the 1st OB, which is part of the liquidity. This Offer zone has not been mitigated + it is the 1st zone where the price has reversed and respected the zones of interest towards the downside.
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