In the last US session the price fall below (break) 65.70, but further decline was stoped with big volume.
Please refer to my previous idea on daily chart. Thus, my prefered scenario is no. 1.
But due to negative market sentiment scenatio no. 2 is highly possible.
Current set-ups planned:
Short entry on break 65.35 with fast breakeven and exit.
Long when reach 70.40 on correction entry at 68.50 with target 72.20