Why this setup? Daily trend is bearish. The 4H setup is armed for a SHORT with a 75% confidence score. - RSI on lower timeframes shows weakness (15M RSI: 42.74), failing to gain bullish momentum. - Key resistance is clear. A break above 0.010141 invalidates the entire bearish thesis. The optimal SHORT zone is between 0.009608 and 0.009684.
Debate: Is this the final shakeout before the real drop to TP2 at 0.009344?