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  • #1546 Collapse

    TECHNICAL ANALYSIS
    XAU/USD
    Subah bakhair trading dost Mt5 forum par. Maine XAU/USD pair ka tajziya karne ka faisla kiya. Analysis se pata chalta hai ke XAU/USD pair 2336.93 par trade kar raha hai. Is XAU/USD pair ke chart mein dikhaya gaya hai ke buyers sellers se zyada strong hain; yeh directional movement aur indicators se sabit hota hai. Analysis se zahir hota hai ke market upper ki taraf move kar raha hai, bullish trend dikhate hue. Relative Strength Index (RSI) indicator trend ki strength ko represent karta hai. Relative Strength Index (RSI) indicator 65.9780 par hai, strong price trend dikhate hue. Wahi, moving average convergence divergence (MACD) indicator upper move kiya aur phir horizontally move hone laga. Yeh indicator abhi confirmed nahi hua hai isliye intezar karna padega. Market ka cost 20 EMA aur 50 EMA ke moving averages ke upar hai.

    Cost resistance level 2339.70 se oopar badh sakti hai pehle before next obstacle 2351.71 tak pohnchne ka. Market ka increase primary resistance zone 2339.70 ko break kar sakta hai. Uske baad, market ka upside trend resistance level 2351.71 tak pohnchega, followed by next target 2362.24 jo 3rd level of resistance hai. Doosri taraf, primary aur secondary support 2330.21 aur 2321.16 par hai, jo market price mein girawat se tod sakte hain. Uske baad, market ka bearish trend third level of support area 2314.78 ko breach kar sakta hai. Main un doston ka shukriya ada karna nahi bhoolta jo apne qeemti waqt ko mere journal mein apni trading analyses share karne ke liye tayyar hain.

    Chart mein istemal kiye gaye indicators:
    MACD indicator:
    RSI indicator period 14:
    50-day exponential moving average color Orange:
    20-day exponential moving average color Magenta:
       
    • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
    • #1547 Collapse

      Keemat 2340 resistance level ki taraf ja sakti hai. Resistance levels, jese ke 2340, ahem keemat points hote hain jahan bechnay ki dabav peda honay ka intezar hota hai jo ke qeemat ko mazeed barhne se roknay ke liye kafi quwwatwar hota hai. Ye levels rukawat ke taur par kaam karte hain, qeemat ko in se aage barhne se rokte hain. Traders in points ko tezi se nazar andaz nahi karte kyun ke ye market sentiment aur potential reversals ke liye ahem maloomat faraham karte hain.
      Is lehaz se, 2340 ahem resistance level ki tarah kaam karta hai. Agar qeemat is level ki taraf bulandi karay, toh zyada bechnay ki dabav se samna karegi. Ye bechnay ki dabav traders aur investors dwara barhaye gaye points hain jo 2340 ko position ko bechne ka behatrin point samajhtay hain, umeed hai ke qeemat apne upar ki raftar ko barqarar nahi rakh sakegi. Is natijay mein, qeemat ko is resistance level se guzarne mein mushkil ho sakti hai aur mumkin hai ke rukawat se mukhalif disha le sakti hai.
      Ek aur resistance level 2329 bhi shamil hai, jo ke seedhe 2340 ke neeche hai. Ye level bhi aik point ko darust karta hai jahan bechnay ki dabav ka rukh nazar ata hai. In dono resistance levels ke nazdeek honay se maaloom hota hai ke ek aise rukawat kshetra hai, jahan qeemat ko bulandi par agay barhne mein kafi mushkilat ka samna karna par skata hai. Traders aise resistance levels ke nazdeek bechne ki orders lagate hain, jo rukawat ko mazeed mazboot banate hain.
      Mausam ke mawad ki roshni mein, yahan tak ke RSI aur moving averages bhi mazeed context faraham kar sakte hain. Agar RSI overbought territory ki taraf ja raha hai, toh ye ishara hai ke aset mehenga ho sakta hai, jis se pullback hone ke imkaanat barh jate hain. Issi tarah, agar qeemat apne moving averages se kafi door hai, toh ye ishara ho sakta hai ke aik mukhtalif halat, jis se ruko sedha ho mumkin ho.
      Bunyadi factors bhi is muamlay mein ahem kirdar ada karte hain. Ma'ashiyati data releases, central bank policies, aur didgahyani waqeat, sab market sentiment ko asar andaz karte hain. Misal ke tor par, agar ma'ashiyati indicators weak hone ki taraf ishara dete hain, toh ye bullish sentiment ko kam kar skata hai, jis se resistance levels ko madde nazar rakhte hain.



      Mukhtasaran, qeemat 2340 resistance level ki taraf ja sakti hai, jahan bari had tak bechnay ki dabav ka imkaan hai. Ye resistance level, sath hi nazdeek 2329 level, mazboot rukawat ko darust karte hain jo ke qeemat asaani se tor nahi sakti. Mojudah upar ki raftar ke bawajood, aik taweel advance bina market sentiment ya bunyadi factors ke bade tabdeeliyon ke baghair na mumkin hai. Traders ko in resistance levels ko nazdeek se nazar andaz karna chahiye, taknikati indicators aur bunyadi tajziay ki madad se unki faislay ko rahnuma karna chahiye. Qeemat aur in resistance levels ke darmiyan ki ta'alluq, market ka future rukh jan'ne mein qeemat faraham kar sakti hai, jo traders ko mukhtasar faislay lene mein madad faraham karti hai.
         
      • #1548 Collapse

        Gold Price Technical Analysis:
        Gold ki keematien haal hi mein $2,315 per ounce ki support level tak gir gayi hain, jo ke pichle mahine ka sabse kam darja hai. Trading data ke mutabiq, keematien $2,354.76 per ounce par close hui hain. Girawat ke bawajood, gold ki keematien is mahine ke aghaz mein $2,340 ke high tak pohanchne ke baad se stable ho gayi hain. Pooray saal ke doran, gold ki keematien mein 13% se zyada ka izafa dekha gaya hai. Metals markets mein utar-chadhav, jis mein gold bhi shamil hai, mukhtalif maashi factors aur guzishta roz ke trading reports ki wajah se hain. Yeh trend economic calendar aur aakhri data releases se wazeh hai.

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        Gold ki keemat par asar dalne wala ek aham maashi data, Job Openings and Labor Turnover Survey (JOLTS) report hai. Report ke mutabiq, United States mein job openings ki tadaad 8.069 million tak gir gayi hai. Job openings mein yeh girawat kamzor labor market ko zahir karti hai, jo ke broader economy par mukhtalif asraat daal sakti hai. Iske ilawa, Monday ko release hone wale poor economic data ne ye speculation barhayi hai ke Federal Reserve shayad US interest rates ko kam karne ka soch sakta hai. Kam interest rates aam tor par non-yielding assets jaise gold ko hold karne ka mauqa cost kam kar dete hain, jo ke gold ki keemat ko support kar sakta hai.
        Haal hi mein girawat ke bawajood, is saal gold ka overall trend upar ki taraf raha hai. Saal ke aghaz se gold ki keematon mein 13% ka izafa, wasee maashi uncertainties aur geopolitical tensions ko reflect karta hai, jo investors ko safe-haven assets ki taraf le gaye hain. Gold ke keematon mein hal hi ki volatility, metal ki maashi indicators aur market sentiment ke liye hasaasiyat ko zameen pe le aati hai. Isi liye, aane wale maashi reports aur Federal Reserve ke announcements par market ka reaction gold ke future direction ko tay karne mein nihayat ahmiyat rakhay ga.
           
        • #1549 Collapse

          Gold ke daily chart ka tajziya karne se yeh baat saamne aati hai ke ek mazboot, halaanki tareekh ke lehaz se purana, gap level ab bhi price ko roke hue hai. Yeh gap level ek significant resistance ke tor par kaam kar raha hai, jo price ko aage barhne se rok raha hai aur downward movement ke liye ek mazboot position create kar raha hai.
          Technical analysis mein, gap levels wo areas hote hain jahan price achanak se upar ya neeche jati hai, jis se chart mein ek khaali jagah ya "gap" ban jata hai. Yeh gaps aksar strong support ya resistance levels ke tor par kaam karte hain kyunki inke saath usually high volume aur strong sentiment hota hai. Gold ke case mein, yeh gap level, halaanki kuch waqt pehle banaya gaya tha, lekin ab bhi current price action par apna asar dikha raha hai.
          Daily chart par yeh gap level tab clear hota hai jab price iske qareeb aati hai lekin isse break nahi kar pati. Yeh resistance aur bhi strong ho jata hai jab doosre technical indicators aur price patterns bhi yeh baat support karte hain. Misal ke tor par, recent candlestick formations jaise ke doji ya bearish engulfing patterns dikhate hain ke bullish momentum thak gaya hai aur price wapas neeche jane ki tayari mein hai.
          Agar hum broader price action ko dekhen, to yeh nazar aata hai ke Gold ek bearish trend ke characteristics dikha raha hai. Price ne lower highs aur lower lows banaye hain, jo ke downtrend ka classic sign hai. Jab bhi price rally karne ki koshish karti hai, yeh higher levels par sustain nahi ho pati aur aksar significant pullback karti hai.
          Technical indicators bhi bearish outlook ko support karte hain. Relative Strength Index (RSI) neechay ki taraf ja raha hai, jo weakening momentum ko indicate karta hai. Isi tarah, moving averages bhi bearish crossover dikhate hain, jahan shorter-term moving average longer-term moving average ke neeche cross karta hai, jo ke downward trend ke continuation ko suggest karta hai.
          Fundamental factors bhi is bearish sentiment ko barhawa dete hain. Misal ke tor par, rising interest rates ya stronger U.S. dollar Gold prices ko negative impact kar sakte hain. Gold dollar mein priced hota hai, aur stronger dollar dusri currencies ke investors ke liye isse mehnga bana deta hai, jis se demand kam ho jati hai. Iske ilawa, higher interest rates non-yielding assets jaise ke Gold ki appeal ko kam kar dete hain kyunki investors higher returns wali investments mein move kar jate hain.
          Economic indicators jaise ke inflation rates, employment data, aur GDP growth bhi Gold prices ko influence karte hain. Positive economic data investors ka confidence stock market mein barhata hai, jo ke safe-haven assets jaise ke Gold ki demand ko kam kar deta hai. Agar yeh factors maujood na hon, to bearish trend prevail kar sakta hai.
          In tamam factors ko madde nazar rakhte hue, Gold ke daily chart ka tajziya downward movement ke liye ek strong position ko dikhata hai. Historical gap level ek formidable resistance ke tor par kaam kar raha hai aur price ko aage barhne se rok raha hai. Overall bearish trend, jo ke technical indicators aur fundamental factors se supported hai, yeh suggest karta hai ke downward movement ke chances zyada hain.
          Traders aur investors ko in levels aur indicators ko closely monitor karna chahiye. Key support levels ke neeche break karna downtrend ke continuation ko confirm kar sakta hai, jabke gap resistance ke upar sustained move ek re-evaluation ki zarurat ho sakti hai. Halaanki, current analysis ke mutabiq, strong gap level aur bearish signals suggest karte hain ke Gold further downward movement ke liye poised hai.

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          • #1550 Collapse

            Gold ke H1 time chart par linear regression channel ka upar ki taraf move karna ek zaroori indication hai agar aap buying ka soch rahe hain. Yeh upward movement overall momentum mein shift ko dikhata hai aur ek behtar context provide karta hai purchasing ke liye.
            Technical analysis mein, linear regression channel ek useful tool hai jo trend ki direction aur strength ko identify karne mein madad karta hai. Yeh ek central line se mil kar banta hai, jo ke linear regression line hoti hai, aur do parallel lines ke saath, jo channel ki boundaries hoti hain. Jab yeh channel upar ki taraf move karta hai, to yeh suggest karta hai ke underlying trend bullish ho raha hai, jo long positions enter karne ka behtar mauqa hai.
            Main soch raha hoon ke 2365 ke level par, jo ke channel ka bottom hai, buying karoon. Yeh level ek potential support area hai jahan price ko buying interest mil sakta hai. Channel ke bottom par purchasing ek common strategy hai, kyunki yeh traders ko upward trend ke context mein lower price point par enter karne ka mauqa deti hai, jo ke upper boundary ki taraf move karne par potential gains ko maximize karta hai.
            Lekin, is level par sellers ke presence ki wajah se ehtiyaat ki zaroorat hai, jo price ko 2365 ke neeche push kar sakte hain agar consolidation hoti hai. Consolidation ek aisi phase hai jahan price narrow range mein move karti hai, jo pressure buildup ka sabab banta hai jo breakout ya breakdown mein convert ho sakta hai. Agar price 2365 ke qareeb consolidate karti hai, to sellers ko momentum mil sakta hai ke woh is support level ko tod de, aur further declines ho sakte hain.
            Is situation ko navigate karne ke liye, purchasing se pehle confirmation signals ko dekhna zaroori hai. Ek signal yeh ho sakta hai ke price 2365 level se rebound kare increased volume ke saath, jo strong buying interest ko dikhata hai. Iske ilawa, bullish candlestick patterns jaise ke hammer ya bullish engulfing pattern ko is support level ke qareeb dekhna aur confirmation de sakta hai ke reversal hone wala hai.
            Dusre technical indicators ko monitor karna bhi decision-making ko enhance kar sakta hai. Misal ke taur par, agar Relative Strength Index (RSI) oversold territory mein ho 2365 level ke qareeb, to yeh suggest karta hai ke price rebound ke liye tayar hai. Isi tarah, agar Moving Average Convergence Divergence (MACD) indicator bullish crossover dikhata hai, to yeh upward momentum ki shuruaat ko signal kar sakta hai.
            Fundamental factors bhi dhyan mein rakhne chahiye. Koi bhi significant news ya economic data releases Gold prices ko impact kar sakti hain. Misal ke taur par, interest rates mein changes, inflation data, ya geopolitical events market sentiment ko influence kar sakte hain aur price movements ko drive kar sakte hain. In factors ke bare mein informed rehna market shifts ko anticipate karne mein madad kar sakta hai.
            Agar price 2365 ke upar hold karne mein kamyab hoti hai aur linear regression channel upar move karta hai, to yeh buying ke liye case ko mazboot banata hai. Aise scenario mein, price upper boundary ki taraf move karne ke chances zyada hain, jo long positions ke liye favorable risk-reward ratio offer karta hai.
            Lekin agar sellers price ko 2365 ke neeche push karte hain, to ek risk management strategy hona zaroori hai. Stop-loss orders ko is level ke thoda neeche set karna potential losses ko limit karne mein madadgar ho sakta hai agar bearish breakout hota hai. Alternative scenarios ke liye tayar rehna aur trading plan ko accordingly adapt karna bhi zaroori hai.
            Akhir mein, H1 time chart linear regression channel ke upar move hone ka intizar karna purchasing ke liye ek prudent strategy hai. 2365 ke bottom channel par buying consider karna advantageous ho sakta hai, lekin caution zaroori hai due to potential selling pressure aur consolidation. Confirmation signals, technical indicators, aur fundamental factors ko dekhte hue informed trading decisions lena traders ko market ko effectively navigate karne mein madadgar ho sakta hai aur successful trades ke chances ko barhata hai.

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            • #1551 Collapse

              Ziada se ziada traders apne profit ko barqarar kar sakte hain hal ki aakhri halaat ki roshni mein. Sone ka qeemat aik upward trajectory par chal rahi hai, ahem resistance levels ko paar kar rahi hai aur mazeed bullish momentum ka ishara de rahi hai. Haal hi mein trading range ke upper resistance level ke upar se guzar karke sone ka qeemat mein izafa aik ahem dumdaar hone ki alamat raha hai. Chhoti si wapasawart bhi mumkin hai, lekin zaruri hai ke isay bazar ke natural mauj aur utar ka hissa samjha jaye, trend ke palatne ki bajaye. Ahem resistance levels ko paar karne ke baad, qeemat mein thori si wapasawarti hone kaam hoti hai jab bazar ye mazeed faida digest karta hai aur naye levels of support ko qaaim karta hai. Traders aam tor par is waqat mein apne positions ko mazeed barhane ya naye trades mein dakhil hone ka moqa doran ke tor par istemal karte hain, jo overall bullish sentiment par faida mand hota hai.
              Technical indicators naye barhne ka kheyal dete hain ke mazeed pohanch $2,390 aur aage ke liye mumkin hai. Relative Strength Index (RSI) abhi mubalgha hota hai, jis se yeh darust hota hai ke momentum abhi bhi kharidaron ke sath hai. Is ke ilawa, moving averages aik upar ki taraf trend ke sath hain, jo bullish outlook ko mazeed mazbooti dete hain. Moving average convergence divergence (MACD) indicator bhi aik bullish crossover dikhata hai, jo upar ki movement ko or bhi zyada confirm karta hai.




              Bunyadi tor par, haal ki halaat bhi sone ke prices mein mazeed izafa ke liye faida mand hain. Ma'ashi ghairyat, tanflation ke liay pareshanion aur rahstanian ke liay sone ki talaash, jese safe-haven assets ki taraf jati hain. Market ke lehaz se drust rakhna, prices ko barhane ki taraf le jata hai.
              Aise halaat mein traders ko hoshyar rehna chahiye aur ahem levels ko qareeb se nigrani rakna chahiye. Haal hi ke breakout ke upar se guzar jana kehta hai ke qeemat mazeed izafa ke taraf jari reh sakti hai aglay target $2,390 ki taraf. Agar qeemat is level ke oper qaim reh pati hai, to yeh mazeed upside potential ke liye darwaza kholta hai. Traders ko exhaust ya palatne ki alamaat ke liay bhi dekhna chahiye jo trend mein mukhtalif rukawat ya wapasawar ka ishara saabit kar sakti hain.
              Risk management aise manzar mein zaruri rehta hai. Munasib stop-loss levels set karne aur munasib maqamat par faida uthane se traders apne faiday ko bacha sakte hain aur nuqsan ko kam kar sakte hain. Ek saaf trading plan rakhna aur us par amal karna bhi zaruri hai, khas tor par chhatpeti markets mein.
              Is ke ilawa, bunyadi fard mein maloomat ke baray mein muntazim rehna bhi zaruri hai. Maashi data releases, markazi bank policies, aur rahstanian Pakistan ko barqarar karne wale aham faactors hain. In cheezon par nazar rakhte hue traders zyada muntazim faislay kar sakte hain aur apni strategies ko mutabiq kar sakte hain.
              Mukhtasaran, hal hi ke breakout ke baad chhoti si wapasawart mumkin hai, lekin sone ke liye overall outlook bullish hai. Traders mazeed $2,390 aur is ke upar jane wale qeemat mein mazeed profit lock kar sakte hain. Technical analysis ke sath bunyadi insights ko mila kar aur disciplined risk management ko barqarar rakhte hue, traders bazar mein apni manzil ko tay karte hue aur sone ke ongoing bullish trend ke dwara paish anay wale mawajat ka faida utha sakte hain.



                 
              • #1552 Collapse

                Sonch rahe hain ke sona khareedne ke leye behter hoga ke hum H1 wakt chart linear regression channel bhi upar jaane ka shuru hojaye. Yeh upar ki taraf jaane wale movement signal deta hai ke overall momentum mein tabdili horahi hai aur khareedne ke liye zyada faida mand mahol paida kar raha hai.
                Technical analysis mein, linear regression channel trend ka direction aur taqat ka pata lagane ke liye ek mufeed tool hai. Isme ek central line hoti hai, jo kay linear regression line hoti hai, aur iske upar niche do parallel lines hoti hain jo channel ke boundaries ka kaam karti hain. Jab yeh channel upar ki taraf jaane lagta hai, to yeh is baat ki nishaani hai ke mool trend bullish hone ki taraf ja raha hai, jis se long positions mein enter karne ke liye behtar moqa milta hai.
                Mera khayal hai ke ab main 2365 ke bottom par khareedne ka soch raha hoon. Yeh level ek potential support area ko deta hai jahan price buying interest mil sakti hai. Channel ke bottom par khareedne ek aam strategy hai, kyunke yeh traders ko ek low price point par enter karne ki ijazat deta hai ek upar ki taraf ja rahi trend ke context mein, jis se price upper boundary tak wapas leja sakti hai.Magar, caution zaroori hai is level par ke jahan sellers mojood hain jo agar consolidation hojati hai to price ko 2365 se neeche le sakte hain. Consolidation ek phase hoti hai jahan price narrow range mein move karti hai, jisse pressure build hota hai jo breakout ya breakdown ka natija ho sakti hai. Agar price 2365 ke paas ya uske qareeb consolidate hoti hai, to sellers ko enough momentum mil sakta hai price ko is support level se neeche push karne ke liye, jo further declines ko trigger kar sakta hai.Is situation ko deal karne ke liye, purchasing ke pehle confirmation signals dekhna zaroori hai. Aik ese signal ho sakta hai ke price 2365 level se upar rebound kare increased volume ke saath, strong buying interest ko indicate karte hue. Iske ilawa, 2365 support level ke nazdeek bullish candlestick patterns, jese ke hammer ya bullish engulfing pattern ki monitoring bhi further confirmation of a potential reversal de sakti hai.Mazeed decide karne ke liye, doosre technical indicators ka bhi dhyan dena zaroori hai. Misal ke tor par, agar Relative Strength Index (RSI) oversold territory near 2365 level mein hai, to yeh indicate karta hai ke price rebound ke liye due ho sakta hai. Usi tarah, agar Moving Average Convergence Divergence (MACD) indicator bullish crossover dikhata hai, to yeh upward momentum ka signal de sakta hai.Fundamental factors bhi ghor se shamil kiye jana chahiye. Koi bhi significant news ya economic data releases Gold prices ko influence kar sakte hain. Misal ke tor par, interest rates mein tabdiliyan, inflation data, ya geopolitical events market sentiment ko influence kar sakte hain aur price movements ko drive kar sakte hain. In factors ke baray mein inform rehna trading decisions ko anticipate karne mein help kar sakta hai.Agar price 2365 ke upar hold karta hai aur linear regression channel upar ki taraf move hota hai, to yeh buying ke liye case ko strengthen karta hai. Is scenario mein, price ko upper boundary of the channel ki taraf lane ka zyada risk-reward ratio long positions ke liye faida mand ho sakta hai.Magar agar sellers price ko 2365 ke neeche push karte hain, to risk management strategy hona zaroori hai. Stop-loss orders set karna is level ke neeche potential losses ko limit karne mein madad kar sakta hai agar bearish breakout hota hai. Alternative scenarios ke liye tayyar rahna aur trading plan ko uske mutaabiq adjust karna bhi zaroori hai.Lihaza, H1 wakt chart linear regression channel upar jaane ka intezar karna ghairaiyati strategy hai. 2365 ke bottom par khareedne ke tareeqe ko ghor se samajhna faida mand ho sakta hai, lekin caution zaroori hai potential selling pressure aur consolidation ki wajah se. Confirmation signals, technical indicators, aur fundamental factors ko sab in consideration lena trading decisions mein madad gar sabit ho sakta hai. Is tarah traders market ko effectively navigate kar sakte hain aur successful trades ke chances ko barha sakte hain. isko re write kar dain aur summarize

                   
                • #1553 Collapse

                  Gold: Market Analysis
                  Weekly gold market hamesha se sarmaayakaron aur traders ke liye dilchasp jagah rahi hai. Gold prices par asar andaz hone wale pechida patterns aur indicators par mabni sooch samajh kar faislay karna nihayat zaroori hai. Is tafsili jaizay mein, hum gold prices ki mojooda harkat ko gaur se dekhte hain, key indicators aur chart patterns ka tajziya karte hain taake aanay wale rujhanaat ka andaza laga saken. Gold prices ne qaabil-e-zikar harkat dikhai hai, khaaskar 2050 ka satah haasil karte hue, jo ek mukarrar ki gayi channel ki upper boundary ke qareeb hai. Upper boundary ka tootna aham upar ki janib harkat ka ishara hai, jo market mein bullish jazbaat ko zahir karta hai. Technical indicators mazeed insights faraham karte hain mojooda market dynamics ko samajhne ke liye. RSI aur moving average indicators price movements ki strength aur direction ko jaanchne ke liye mofeed tools hain. Filhal, dono indicators bullish momentum ko highlight karte hain, jo gold prices ki upward trajectory ko confirm karte hain.


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                  Mukhtasir mein, haal hi ke breakout ke baad thodi si pullback mumkin hai, lekin Gold ka kul mila ke manzar bullish hi nazar aata hai. Traders ke liye ek aham hissa apne profits ko lock karna mumkin hai jab ke price $2,390 aur uske aage barhne ki taraf jaari hai. Technical analysis ko fundamental insights ke saath mila kar aur disciplined risk management ko barqarar rakhte hue, traders market ko achi tarah se samajh sakte hain aur Gold ke jari bullish trend se milne wale moqo ka faida utha sakte hain.
                     
                  • #1554 Collapse

                    Technical indicators naye barhne ka kheyal dete hain ke mazeed pohanch $2,390 aur aage ke liye mumkin hai. Relative Strength Index (RSI) abhi mubalgha hota hai, jis se yeh darust hota hai ke momentum abhi bhi kharidaron ke sath hai. Is ke ilawa, moving averages aik upar ki taraf trend ke sath hain.
                    RSI ki value ko dekha jaye, to yeh dikhata hai ke stock abhi overbought zone mein hai, jo yeh darshata hai ke demand zyada hai aur investors ki interest abhi bhi barqarar hai. Jab RSI ki value 70 ke upar hoti hai, to yeh indicate karta hai ke stock overbought hai, lekin iska matlab yeh bhi ho sakta hai ke trend mazid continue kare.
                    Dusri taraf, moving averages, jo ke aik long-term indicator hota hai, yeh batata hai ke market ka trend abhi bhi positive hai. 50-day aur 200-day moving averages agar upar ki taraf hain, to yeh ek bullish trend ko indicate karte hain. Yeh moving averages support levels ka kaam karte hain aur jab tak price inke upar hai, trend strong hota hai.
                    Agar price in moving averages ke upar rehti hai, to yeh support level ko confirm karta hai aur agle levels tak pohanchne ke chances barh jate hain. Iske ilawa, agar price 50-day moving average ko breach kar le aur neeche na aaye, to yeh bhi ek positive sign hota hai.
                    Yeh sab technical indicators mil kar yeh suggest karte hain ke stock ki value $2,390 tak ja sakti hai. Iske ilawa, market sentiment aur overall economic conditions bhi important hain jo price movement ko affect karte hain. Agar market mein koi negative news aati hai, to yeh trend ko reverse bhi kar sakti hai.
                    In sab indicators ka analysis karne ke baad, yeh keh sakte hain ke agar koi unexpected negative news nahi aati, to price ke $2,390 aur aage badhne ke chances hain. Lekin hamesha yaad rakhein ke market unpredictable hoti hai aur risk management bohot zaroori hai. Trading decisions hamesha puri analysis aur risk tolerance ko madde nazar rakh kar leni chahiye.

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                    • #1555 Collapse

                      Behtreen hafta chuti ka mahol hai aur maza araha hai. Kal jese ke dekha gaya, sona 2300 tak pohonch gaya, jo ek ahem keemat point hai. Yeh wo maqam hota hai jahan bechnay ka dabav peda honay ka intezar rehta hai. Yeh dabav qeemat ko mazeed barhne se roknay ke liye kafi quwwatwar hota hai.
                      Jab sona 2300 ke qareeb hota hai, to bechnay walay active ho jate hain aur qeemat ko mazeed upar janay se roknay ki koshish karte hain. Yeh levels rukawat ke taur par kaam karte hain aur aksar qeemat ko in se aage barhne se rokte hain. Yeh rukawat ke maqamat trading ke liye intehai ahem hain.
                      Bohat se traders in levels ko dekhte hain aur is intizar mein hote hain ke kab qeemat in points par pohonchegi taake woh apni strategies adjust kar sakein. Yeh levels market sentiment aur trading behavior ko bhi reflect karte hain.
                      Jab qeemat 2300 tak pohonchti hai, to bohot se investors aur traders apni holdings ko bechne ka sochte hain. Is wajah se bechnay ka dabav barhta hai aur qeemat mazeed barh nahi pati. Yeh ek normal market reaction hai aur aksar hota hai jab qeemat ahem keemat points tak pohonchti hai.
                      To, aaj ke halaat mein, sona 2300 par ek ahem maqam hai jahan rukawat ka intezar hai. Yeh maqam qeemat ko mazeed barhne se roknay mein kafi quwwatwar sabit hota hai. Aane walay dinon mein, traders aur investors is maqam par nazar rakhenge aur apni trading decisions inhi levels ko madde nazar rakhte hue karenge.

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                      • #1556 Collapse

                        Gold: Price outlook
                        Kal Friday ko gold price mein zabardast sell pressure dekhne ko mila, jiske natay gold price ne 2315 levels ko successfully break kar diya. H4 chart ke mutabiq, gold price 2387 ke resistance zone se decline hote hue sell pressure mein gir gayi. Yeh decline gold price ke overall downtrend ka indication hai jo ab start ho chuka hai. Gold price ne 2315 ke critical support level ko break kiya, jo yeh clear karta hai ke sellers market mein dominate kar rahe hain aur buyers ke pass itna strength nahi ke wo price ko upar le ja sakain. H4 chart par dekha jaye to gold price 2387 ke resistance zone ko touch karte hi decline hone lagi, jo is baat ki taraf ishara kar raha hai ke short-term aur possibly long-term downtrend shuru ho chuka hai. Chart par price ka current trend clearly downward hai aur is trend ke continuation ka chance zyada hai jab tak koi strong bullish signal na aaye.


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                        Ab gold price ke liye important levels dekhne honge, neeche 2300 ka psychological level ek strong support ban sakta hai, aur agar yeh level bhi break hota hai to next support level 2250 par ho sakta hai. Ooper ke taraf, resistance levels 2350 aur 2387 par focus karna hoga, agar price in resistance levels ko breach karti hai to bullish reversal ka possibility ho sakta hai. Gold price ka current scenario downtrend ki taraf hai, kal ke sell pressure aur 2315 level ka break hona bearish sentiment ko mazid strong kar raha hai. Traders ko ab cautious rahna hoga aur price movements ko closely observe karna hoga. Support aur resistance levels ko madde nazar rakhte hue trading decisions lena best strategy hogi. Agar gold price kisi significant support ya resistance ko breach karti hai to us hisaab se trading strategy ko adjust karna zaroori hai. Market ki volatility ko dhyan mein rakhtay hue, risk management ko prioritize karna hoga.
                           
                        • #1557 Collapse

                          $2,300 ka resistance level historically qeemat mein mazeed izafa hone se rokta raha hai. Yeh level aksar selling pressure ko trigger karta hai, jo qeemat ko is se upar janay nahi deta. Mere liye, sab se ahem signal yeh hoga ke $2,295 support level ke neeche ek confirmed breakdown ho jaye. Yeh indicate karega ke downward movement ka silsila jari rehne ke imkanaat mazid barh gaye hain.
                          $2,295 ke neeche breakdown ka hona is liye significant hai kyun ke yeh suggest karta hai ke bearish momentum mazid mazboot ho raha hai. Is se ziada sellers attract honge, jo selling pressure barhane aur qeemat ko mazid neeche dhakelne mein madadgar sabit hoga. Aisa break $2,300 level ke test ka darwaza khol dega. Is level ka historical importance dekhtay hue, yeh ek dafa phir significant market activity ko trigger kar sakta hai.
                          Traders aksar aise breakdowns ko confirm karne ke liye additional technical indicators ya volume spikes ka intezar karte hain taake yeh ensure ho jaye ke move false signal nahi hai. Jab qeemat $2,295 ke neeche jati hai, to yeh aam tor par market sentiment mein bearishness ka izafa show karta hai, jo mazeed decline ke imkanaat ko reinforce karta hai. Is surat mein, $2,300 level ek critical target ban jata hai, kyun ke is tak pohonchne ka matlab hota hai ke is key resistance ki strength test hone wali hai.
                          Agar qeemat $2,295 ke break ke baad $2,300 ke qareeb aati hai, to traders closely dekh rahe honge ke kya yeh resistance ko wapas push kar sakti hai ya phir neeche bounce back karegi, jo resistance ki strength ko confirm karega. Is scenario mein, $2,300 level na sirf ek psychological balki ek technical barrier ke tor par bhi kaam karta hai, jo traders ke behavior aur market dynamics ko influence karta hai.
                          Mukhtasir yeh ke $2,300 ka resistance level gold market mein aik crucial point hai jo historically qeemat mein izafa hone se rokta hai. $2,295 support level ke neeche ek confirmed breakdown continued downward movement ka strong indicator hoga. Aisa break $2,300 level ke test ka raasta saaf kar dega, jahan traders ke response ke mutabiq significant market activity expected hai. Yeh analysis current market context mein informed trading decisions lene ke liye bohot ahem hai.

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                          • #1558 Collapse

                            Pehle teen dinon mein, sona ki qeemat sideways movement dikhati rahi, jo consolidation ka waqt tha jahan na buyers aur na hi sellers upar haath hasil kar sake. Yeh horizontal trading pattern us waqt saamne aaya jab qeemat ko monthly pivot level $2,300 par significant resistance ka samna tha, jo ek ahem technical point hai aur qeemat ke barhne mein rukawat ban gaya. Is level ko torhne ki koshish ke bawajood, resistance itna strong raha ke qeemat narrow range mein hi hilti rahi.
                            Isi dauraan, sona ki qeemat ko lower channel lines se support milta raha, jo qeemat ko mazeed girne se rokne ka kaam kar rahi thi. Yeh lower channel lines ek support zone ke taur par kaam kar rahi thi, selling pressure ko absorb karte hue aur qeemat ko apne established range mein rakhti thi. $2,300 resistance aur lower channel support lines ke darmiyan ka yeh interplay ek confined trading band bana raha, jahan qeemat bina kisi significant breakout ke sideways move karti rahi.
                            Yeh sideways trading ek market in balance ko reflect karti hai, jahan buying aur selling pressures takreeban barabar hote hain. Traders aksar aise waqt ko indecision ya consolidation ka period samajhte hain jo ke kisi bhi direction mein potential breakout se pehle ka hota hai. $2,300 resistance, jo ke monthly pivot level hai, bohot ziada significant hai aur trader behavior aur market sentiment ko influence karta hai. Pivot levels, jo previous period ke high, low, aur close prices se calculate kiye jate hain, potential support aur resistance zones ko indicate karte hain.
                            Jese jese qeemat sideways trade karti rahi, market participants ehtiyaat se dekh rahe the aur ek decisive move ka intezar kar rahe the, ke qeemat ya to $2,300 resistance ke upar jaye ya phir lower channel support lines ke neeche. Teen din ke is duration mein clear trend ki kami ne market ke anticipation ko highlight kiya, ke koi nai information ya developments qeemat ko is range se bahar drive kar sakti hain.
                            Mukhtasir yeh ke sona ki qeemat pehle teen dinon mein sideways movement dikhati rahi, jo resistance $2,300 monthly pivot level par aur lower channel lines se support ke beech constrained thi. Yeh consolidation ka period market ke equilibrium ko reflect karta tha, jo ek breakout ke intezar mein tha jo ke agle significant price movement ka signal de sake.
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                            • #1559 Collapse


                              Gold Price Analysis: Sell Trend Confirmation With Breakout
                              Pichli Jumma ko sonay ki qeemat mein aham kami dekhi gayi, jab key support level 2315 ke neeche gir gaya. Is daily chart ka tootna ek mazboot bearish sentiment ko zahir karta hai bazaar mein. Is natijay mein, mukhya trend ko bechnay ka tareeqa tay ho gaya hai, jo mazeed neeche ki taraf ko dikhata hai. Aage dekhte hue, agar somwar ko prices mein kuch halka phulka uthao aaye, toh traders 2350 aur shayad 2387 tak ka retracement dekh sakte hain. Yeh levels choti muddat ke traders ke liye aham hain, jo bazaar ke dynamics ka tehat tajziya karte hain. Haalat ko dekhte hue, sonay ka chart mazbooti se bechnay ka trend dikhata hai, jiska matlab hai ke neeche ki manzil ki taraf mazeed movement ka imkan hai. Support levels ke tootne ke baad, agla manzil 2221 support zone ke aas paas muntakhib ho sakta hai. Aise bazaar mein, traders ko hoshyar aur stop-loss levels ko behtareen tareeqay se manage karne ke liye maharatmand hona zaroori hai.

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                              Yeh analysis sirf maloomati maqsadon ke liye diya gaya hai aur isay koi bhi maali salah nahi samjha jana chahiye. Kisi bhi trading faislay se pehle, grift tajziya aur mazboot khatra nigrani tajaweez ki zarurat hoti hai. Ikhtitami tor par, sonay ke halat-e-bazaar mein pichli qeemat ke amal ko mazbooti se bechnay ka trend dikhata hai, jisay technical indicators ne saath diya hai. Traders ko ehtiyaat se kaam karna chahiye aur tawanaai se maqool tajarbat ka istemal karna chahiye taake tajurbat mein hone waali tabdiliyon ko behtar tareeqay se samjha ja sake. Yeh market analysis traders ke liye ek rehnuma hai jo halat-e-haal mein sonay ke bazaar ka jaiza lene ki koshish karte hain aur haalat ke mutabiq trading ke moqaat ka tajziya karte hain.
                                 
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                              • #1560 Collapse

                                Gold ab bhi sideways movement ka izhar kar raha hai, jo ke uski fluctuating magar overall stable price range se pehchani ja sakti hai. Yeh pattern is baat ki taraf ishara karta hai ke na to buyers aur na hi sellers is waqt dominant influence rakhte hain, jis ke natije mein ek consolidated market state nazar aati hai. Traders kuch specific retracement levels par ghoor farma rahe hain, khaaskar 2300 mark par, jo ke ek crucial reference point hai.
                                2300 retracement point ki ahmiyat is baat mein hai ke yeh aindah price direction ko zahir kar sakta hai. Agar gold ki price is level tak retrace karti hai, to 2305 level ko qareebi taur par dekhna zaroori hoga. Agar price 2305 se upar break karti hai, to yeh bearish trend ko confirm kar sakti hai, jo yeh darshata hai ke sellers ne kaafi momentum hasil kar liya hai ke wo prices ko neeche le ja sakein. Yeh breakout mukhtalif factors ke zariye driven ho sakta hai, jin mein market sentiment ka tabadla, economic data releases, ya geopolitical events shamil hain jo ke gold ki demand ko safe-haven asset ke taur par asar dalte hain.

                                Magar, agar 2271 level intact rehta hai aur updated nahi hota, to yeh suggest karta hai ke market ke paas ek sustained downward move ke liye zaroori momentum nahi hai. Is surat mein, traders ko further indications ka intezar karna padega ek upward movement ke liye. Pehle ke price levels 2270 aur 2270 ne strong defensive capabilities ka izhar kiya hai, jo ke ek solid support zone ke taur par kaam karta hai jo prices ko further girne se roke. Is level ka repeated testing aur holding uski importance ko highlight karta hai ek boundary ke taur par jo ke potential price action ko define karti hai.
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                                Agar 2260 aur 2270 levels ko akhirkar breach kar liya jata hai, to yeh market dynamics mein ek significant shift ka signal ho sakta hai. Yeh levels successfully breach hone se sellers ko considerable damage ho sakta hai, jo yeh zahir karta hai ke unki defensive stronghold kho chuki hai. Aisi movement se increased selling pressure ho sakta hai, jo ke bearish trend ko tezi se aage barhane mein madadgar ho sakta hai.

                                Mukhtasir mein, gold ki sideways movement market ke ek indecision period ko highlight karti hai, jahan critical levels 2300 aur 2305 future price action ke key indicators ke taur par kaam karte hain. 2271 level potential upward moves ke liye threshold ke taur par serve karta hai, jabke 2260 aur 2270 par strong defense further declines ke against ek buffer faraham karta hai. Traders ko in levels ko closely monitor karne ka mashwara diya jata hai, kyun ke inka breach ya defense market ke agle move ke bare mein valuable insights faraham karega. 2305 ke upar ek breakthrough bearish direction ko confirm kar sakta hai, jabke 2271 level ko update na hone se ek clearer upward trend ke intezar ka signal milega. 2260 aur 2270 ka eventual breach market sentiment mein ek significant shift ka signal hoga, jo ke sellers ke liye substantial losses aur further price declines ka sabab ban sakta hai.
                                   

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