EURUSD retest breakout & area supplyEuro vs US DollarBLACKBULL:EURUSDTitikSonaEURUSD — Timeframe H1 Titik Sona Community — 29 Sep 2025 Ringkasan: Dua setup SELL pada EURUSD berdasarkan retest breakout & area supply. Setup pertama (Entry 1) adalah sell refine di supply minor / breakout retest. Setup kedua (Entry 2) adalah sell di supply area atas sebagai alternate entry/refine. Risk management maksimal 1–2% modal per posisi. Chart referensi: lihat grafik di TradingView Setup 1 — Sell (Entry 1) Entry 1.17413 Stop Loss 1.17663 Take Profit (TP1 required) 1.15740 Estimated R/R ~1 : 11.2 Technical Reasons Retest the minor supply area & breakout retest on H1 — the level refine for the sell limit. Short-term bearish structure (breakout channel/previous trendline). TP1 is placed at the relevant minor support/demand level. Entry & Position Management Entry Strategy: Sell limit at 1.17413 when there is a valid bearish rejection/candle in the supply minor. SL at 1.17663 (refine as per volatility — maximum 1.2% RR if position size adjustment is necessary). TP1 is mandatory at 1.15740. Additional levels can be determined based on fibo & SNR zoning. Position Management: Maximum risk of 1–2% capital per position. Partial close at minor resistance/correction area (optional) and shift SL to BE after price moves according to the partial target. Invalidation & Alternative Scenarios Invalidation: daily/H1 close above the supply/refine area (beyond SL) cancels the setup. Bullish alternative: if supply breaks up, wait for a new pullback or look for a buy setup at the next support. Setup 2 — Sell (Entry 2) Entry 1.18023 Stop Loss 1.18223 Take Profit (TP1 required) 1.15743 Estimated R/R ~1 : 11.4 Technical Reasons Larger supply area / resist zone that has the potential to be a refine entry (Entry 2). Confirmation of rejection in the supply zone provides a selling opportunity with a large RRR. Entry 2 is suitable as an alternative or if the price action rises to a higher level before a reversal. Entry & Position Management Entry Strategy: Sell limit/short at 1.18023 after a valid rejection in the upper supply area. Stop loss at 1.18223. TP1 is mandatory at 1.15743; Additional targets can be adjusted based on Fibo extension & SNR. Position Management: Limit risk to 1–2% capital per trade. Consider partial closes on the intraday support area and trailing SL according to the market structure. Invalidation & Alternative Scenarios Invalidation : close H1 above the supply area/SL level cancels the sell setup. Bullish alternative: if the supply area is broken, wait for a buy setup at the lower support. Pre-Entry Checklist Wait for the rejection candle/bearish confirmation on H1 or the M15 confirmation before execution. Check the RSI & Stochastic (confirmation of the opposite momentum/not oversold). Risk management: maximum 1–2% capital per position; Adjust the lot size. Analyst: Titik Sona Community — 29 Sep 2025