Bias: downgrade from Bull to Neutral.
Positioning: Looking for entries to short.
15m fractal: So I began a short position in the form of long puts after trading back into Premium and making a run on internal buyside liquidity. Currently up 30% so may cover this position if we do not see displacement below 4100.
60min fractal: An idea here would be to long the BISI at 4100-4090. Dial in the entry on a BoS on a smaller time frame such as the 15m to get long and ride into the PDoL and then pivot the position short.
Daily/Weekly: Just ran some relative equal highs. Currently trading at a premium as notated "D/W EQ". Will add size for a mean reversion play if market trades into and purges external range liquidity.
Levels: I am using the impulse from the large sell side imbalance (4432 to 4303) as a premium draw on liquidity. 4320 is the prior Point of Control before the impulse down so some supply should be present there. 4350 should be the optimal trade entry.