$BANK — this chart is pure whiplash. Dump to 0.0379, squeeze back up near 0.0409, then another smackdown into the same demand zone. Now price is sitting at 0.0388… right where the next move gets decided.

Key levels (from your chart)

Day high / supply: 0.0412

Prior high wick: 0.0415

Mid resistances: 0.0401 → 0.0409

Current: 0.0388

Day low / demand: 0.0379

Lower pocket: 0.0377

Setup A (Demand defense) — LONG

EP: 0.0382 – 0.0390

SL: 0.0374 (below demand)

TP1: 0.0393

TP2: 0.0401

TP3: 0.0409

TP4: 0.0412

TP5: 0.0415

Trigger: hold above 0.0379 and reclaim 0.0393 with clean candles.

Setup B (Support breaks) — SHORT

EP: 0.0378 – 0.0375 (only if 0.0379 breaks + retest rejects)

SL: 0.0391

TP1: 0.0372

TP2: 0.0366

TP3: 0.0358

Trigger: decisive close below 0.0379, then bounce fails under 0.0388–0.0393.

Battle plan (tight + simple):

Above 0.0393 = bounce turns real → room to 0.0401 / 0.0409.

Below 0.0379 = floor is gone → expect a fast flush.

After TP1, protect it: move SL to EP or secure partials.

If you want the “signal-only” clean post: I can rewrite as just $BANK EP SL TP lines.