The global TWT schedule I see for myself is as follows
We have a break of the ascending structure with subsequent confirmation
But above us, there is a huge pool of liquidity from numerous highs, and above it, there is a weekly imbalance
Within the descending order flow, it would be reasonable to take all this pool and fill the imbalance before continuing the global depreciation of the asset
In the medium term, a good rebound to around 8 bucks is expected. However, it is more likely that the depreciation of the asset will continue from those values.