Totally forgot to post it in London session today, so I am posting it even now for educational purposes.
So we look DXY getting lower (correction , overall bias is bullish still)
We had USD news, and entered EURUSD buy and USDCHF sell, BEFORE the news
(we know news are the excuse, so news came negative so dollar dropped, and our setups played out).
Also we hade many EQHs to clear (so we cleared a lot of liqiudity as targets).
We had 15M Institutional Candle that cleared liquidity, and actually entered on mitigation point.