Looking to short EJ with 2 different stops for probability of higher R.
Personally would wait for a ltf MSB at entry price then enter if time + price are there & if it returns to an OB.
Then have a separate entry with wider stop loss to secure the bag either way. Best of luck.
London raid of a significant short term high, followed by a QM within an imbalance. To be taken only if both TP1 & 2 remain untouched as it would be a much higher probability.