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Back to the working rhythm. I have two scenarios for EUR: the first is from the weekly inefficiency (the trade is already open); the second is from the daily fractal in discount. The targets are the daily fractal highs. If price reacts to the upside from the weekly inefficiency, I will add to the position (open an additional trade) and move the first one to breakeven (BE) to reduce risk. If the stop is hit, I will reassess the narrative and wait for new variables. #euro# #analysis#

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