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MARKET STRUCTURE: The overall trend on 4h and 1h timeframes is bearish, with price consolidating near key support at 13.06 after a recent decline. The trend is weakening as indicated by low ADX values (e.g., 22.04 on 4h), suggesting potential for a bounce or reversal in the medium term. We are in the late phase of the downtrend, with oversold conditions on RSI (e.g., 37.56 on 4h) but no strong reversal signals yet.

SWING SETUP:

  • Direction: BUY
  • Entry Zone: 13.20-13.30
  • Ideal Entry: 13.25
  • Setup Type: Potential bounce from support
  • Confidence: Low

POSITION MANAGEMENT:

  • Stop Loss: 12.90 (placed below key support at 13.06 to account for volatility)
  • Target 1: 13.80 (conservative, 3-5 days)
  • Target 2: 14.00 (extended, 7-10 days)
  • Risk/Reward: Approximately 1:2 (based on 13.25 entry, 12.90 stop, and 14.00 target)

KEY LEVELS & SCENARIOS:

  • Major Support: 13.06 - tested multiple times in recent 4h candles and represents a critical swing low
  • Major Resistance: 13.80 - Fibonacci 0.5 retracement level from recent swing high (14.54) to low (13.06)
  • If price breaks 13.06 → expect further decline toward 12.80
  • If price holds 13.06 → anticipate a bounce toward 13.80 or higher

DIVERGENCES & PATTERNS: No clear bullish or bearish divergences detected in RSI or other indicators across timeframes. Price action shows consolidation near support, but no definitive chart patterns are evident.

RISK FACTORS: The primary risk is continuation of the downtrend if support at 13.06 fails. Low confidence due to weak momentum indicators and lack of volume confirmation. External market factors could also invalidate the setup.

IMPORTANT: This analysis focuses on a 3-10 day swing trade perspective, aiming to capture a potential rebound from oversold conditions. Patience is key for optimal entry.