Looking for 2 scenarios to play out

23
Right now we are a little extended on this move to some higher levels of liquidity. There was a big move that took place on the 29th that left a major imbalance from 44,301 - 44,264. I'm looking two things to happen.
1) Ill wait for a pullback into a 5M FVG in the 44,362 area for some Shorts.
2) I wait us to drop into the 1H FVG which is that major imbalance i spoke of then ill watch to see if price action and volume confirm a bounce or we break thru and continue lower.

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