We would want to see the price rise into our supply zone capturing liquidity. Wait for entry criteria - extremes of Bollinger bands, confluence around 1.64 for a sell. Using Wyckoff theory when price returns to our demand zone we'd front-run a buy by 5-10 pips before a move to the upside.
A video showing our settings on trading the Dax and how powerful a high RR can be in overall net profit.
I also touch on sticking to your plan and accepting that any strategy has a losing run from time to time!
What would you do after the 4th trade? Let me know.