I'm willing to long this one once it pulls back to green area and doesn't break (close) below 0.6000 on 4h. Aiming for 0.6100 to 0.6120 for first target and if it will get reached, close half, SL to BE and leave it run towards 0.6250 and adjusting SL in profit appropriately. SL will depend on entry, with at least 1:2 RR for first targets taken in account.
4h:
Weekly:
Disclaimer: this idea is solely for my own purposes, to satisfy the ego, if it will work out ;)