We can see market has given a breakout of 15 min range in the end.
Case 1 - Market opens big gap up, comes down, takes support and shows bullish sign then I will go long. Case 2 - Market opens flat and form 5 min bullish candle above the range, I will go long Case 3 - Market is within the range and consolidates and breaks down the 15 min range, I will go short.
This is my trading plan to execute with my risk management policies.