Last week Nasdaq followed scenario 2, with a break of 13025, retrace to test demand and continued on a breakdown. Both HTF and HI/H4 last point of supply has materialized. If there are no surprise to disrupt this structure, we should be expecting a continuation of downward movement. Therefore preference will be to short on retracement,
Possible Scenarios mapped out: 1) Continuation of downward momentum after break of 13025 2) To provide for the deviousness of market, the surprise aggressive retracement, so we are mentally prepared
Weekly = Higher volume down bar closing at low, narrower range = minor strength Daily = Ave volume down bar closing at low = weakness H4:Average vol down bar closing at low = weakness
Price reaction levels: Short on Test and Reject | Long on Test and Accept
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