$DXY - Buy Side is draw
- we have weekly Inverse Fvg
- we have got good rejection on weekly
- we have breaker + orderblock & small FVG
$EU - PMH taken
- Inverse FVG & short term Target can be rejection block high
- Daily we have sell side + orderblock for target then we have to see what price do on that area
$GU - $GU Took PMH got rejected target is FVG
- Weekly we have LRLR sell stops
- we have breaker + fvg on daily target sell side liquidity + LRLR