The buy opportunity in this scenario is risky, because the demand was already tested and it seems uncertain. In the demand I marked 2 potential entries, but the highest one has been already tested. so in this retracing back I don't take it in consideration anymore, but I expect to buy in the dip on the lowest entry point, if it will be possible.
The Trading Plan consider a possible buy trade in the demand, riding a potential new swing, and one or more sell trades in the fresh supply level
, expecting that the weaker demand could be taken out.
What do you think about this currency?