Welcome to another institutional market breakdown. In this video, we analyze WTI Crude Oil on the H1 timeframe, focusing on high-probability mitigation zones and market structure shifts.
Analysis Highlights:
Market Context: Price rejection from the 104.00 – 106.00 major supply cluster.
Execution Strategy: Monitoring the 97.50 – 98.50 Entry Zone for bearish confirmation.
Risk Parameters: Strict Invalidation Level set at 100.20 to maintain capital preservation.
Price Objectives: Liquidity targets at T1 (92.50), T2 (86.00), and T3 (79.50).
We also discuss a secondary bullish scenario if the 91.00 demand region holds firmly. Understanding institutional flow is key to navigating these volatile energy markets.
Disclaimer: This is an educational review, not investment advice.
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