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  • #571 Collapse

    EUR/USD currency pair ki current price movement ki halat dilchasp hai. Yeh herani ki baat hai ke market ko sirf 0.1% margin se inflation statistics adjust kar ke kitni asaani se manipulate kiya ja sakta hai. Yeh aane wali Federal Reserve meeting ka precursor hai. Seriously baat karein toh, technical analysis options mein divergence ko show karta hai. EUR/USD pair ke neeche trend line of the descending daily channel ko pohanchne ke imkanat hain, usay test karega, aur phir apni local downward trajectory ko continue karega. Aakhir mein, pair channel mein wapas aayega, stabilize karega, aur dheere dheere wapas rise karega. Mujhe umeed hai ke kal tak situation zyada wazeh ho jayegi. Annual inflation ka 0.1% decrease significant nahi hai, magar yeh September mein rate cut ka sabab ban sakta hai, halaan ke foran nahi. Humein dekhna hoga ke market kaise react karta hai; agar current trend barqarar rehta hai, toh pair week ke end tak 1.0889 level par wapas aa sakta hai. Maine anticipate kiya tha ke EUR/USD pair gap ko close karega, magar move umeed se zyada abruptly hua. News par, price ek hi candle ke sath close hui aur upar chali gayi. Magar, jaise ke pehle zikr kiya, aisi news-driven candlesticks ko zyada potential ki zarurat hoti hai for sustained movement. Hum 1.0740 ko pohanchne ki koshish kar sakte hain.
    Ongoing market action bearish sentiment ko suggest karta hai. Bullish candlestick pattern emerge hua hai, jo recent news-driven spike ko counter kar sakta hai. Magar, yeh likely hai ke price wapas 1.0759 level tak retreat kare, jahan se current movement originate hui thi. Jaise hi US trading session qareeb aata hai ya conclude hota hai, wahan 1.0759 support ko todne aur neeche move karne ki koshish ho sakti hai. Yeh current trading week ke liye ek viable strategy lagti hai. EUR/USD pair ka hourly chart short-term bearish bias ko indicate karta hai, jo selling opportunities ko buying se zyada favorable banata hai. 120-period Moving Average trend indicator bearish direction ko confirm karta hai, kyunke price indicator ke neeche trade ho rahi hai. Iske ilawa, Zigzag indicator bearish structure ko reflect karta hai with declining extremes. Is baat ko dekhte hue, mein 1.0771 level se sell karne ka plan bana raha hoon, pehle 1.0731 aur phir 1.0691 ko target karte hue, aur stop loss 1.0801 par place karte hue. Magar, agar din ke dauran market conditions change hoti hain, toh buying consider ki ja sakti hai agar pair 1.0831 ke upar stabilize ho jata hai. Buy trades ke liye, take profit target 1.0871 par set kiya jayega, aur stop loss 1.0801 par. Khaas baat yeh hai ke US inflation data expected se kam aayi, jo Federal Reserve ke aaj ki meeting mein interest rates ko lower karne ke chances ko barha deti hai. Halaanki yeh imkanat kam hain, magar inflation data ne is outcome ko zyada plausible bana diya hai.

    Future interest rate reductions ke chances bohot likely hain ya phir unchanged reh sakte hain. Agar daily trading chart 1.0774 ke upar closing price show karta hai, toh yeh positive market trend ko suggest karta hai, aur medium-term price increases ke prospects

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    • #572 Collapse

      EUR/USD/D1

      Salaam. Sell trades waqai promising lag rahi hain, kyunki sabse zyada probability yeh hai ke EUR/USD pair girega. Ichimoku, Heiken Ashi, Stochastic aur doosre technical indicators already pair ke girne ka signal de rahe hain. Pair ne support level 1.0724 ko tod diya hai aur further decline ke liye set hai towards 1.0650 – jo May 1, 2024 ka low hai. Pair indicator lines ke neeche trade kar raha hai, aur Marlin oscillator downward trend zone mein move kar raha hai. Trading ke liye recommendations yeh hain: current quotes ke sath pair mein sales ke liye bidding karen.
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      Agar alternatively, strong support growth ko trigger kar sakti hai. Bullish direction mein correction ko continue karna risky hai, isliye advisable hai ke D1 time frame pe sideways direction ko maintain karein. Main direction Wednesday tak anticipated hai, jo week ke end tak ek clear trend form karega, jahan buying ya trend ke mutabiq selling decide ki jayegi. Selling zyada preferable lag rahi hai, shayad further sales ko postpone karna padega. Stochastic indicator bhi downward point kar raha hai. Last trading session ke doran, pair ne decline ko continue kiya, bears ne pivot level ke neeche position secure karne ki koshish ki, jo currently 1.0718 pe trade ho raha hai. Intraday sales targets mein classic Pivot levels ka support shamil hai. Aaj hum dekhenge ke current levels se decline ka continuation hoga, aur agar 1.0628 support level ka breakthrough hota hai, to ek naye wave of decline ko lead karega, jo pair ko aur bearish move karega support line ke neeche, jo around 1.0554 hai.

      Thursday ke trading tips:
      Hourly chart pe, EUR/USD ne aakhir kar ek local downward trend form karna shuru kar diya hai. Hum abhi bhi expect karte hain ke pair levels of 1.0600, 1.0450, aur shayad 1.0200 tak drop kare. Lekin, yeh samajhna zaroori hai ke price in targets tak bas kuch hi hafton mein nahi pohchegi; yeh medium-term hain. For instance, pair ek aur week ke liye freely corrective phase se guzar sakti hai. Nonetheless, hum medium-term mein euro ke rise hone ke koi reasons nahi dekhte.
       
      • #573 Collapse

        Euro ke weekly chart ko dekhne par initial uptrend nazar aata hai jo eventually stall ho gaya, jo US dollar mein kamzori suggest karta hai. Yeh development yeh suggest karti hai ke euro shayad struggle karta rahega, kyunki traders market ko plenty of stock ke sath dekhte hain. Consequently, best strategy yeh lagti hai ke 100 points par focus karein, jab market in limits ke upar swing kare. Specifically, lower limit 1.05 par hai aur upper limit 1.10 par hai.

        Weekly candlestick chart mazid downward pressure ki possibility suggest karta hai, shayad euro ko 1.05 level ki taraf guide karta hai. Is critical support ke neeche relaxation ek sharp decline ka nateeja ho sakta hai, shayad equilibrium (1.00) tak. Conversely, ek rally jo 1.08 level ko recapture karti hai, 1.09 tak ka rasta bana sakti hai.

        Magar, European economies mein uncertainty hai looming interest rate cuts ki wajah se, jabke U.S. economies gir rahi hain. Federal Reserve tight monetary policy ko maintain karta hai aur US mein stable inflation, jo US dollar ki strength ko pressure karti hai, euro ke challenges ko barhawa deti hai.

        Is case mein, traders ko ek volatile environment navigate karna padega, jo high-range volatility se characterize hota hai. 1.05 level ek important support area rehta hai, jabke resistance 1.10 par potential upper limit ka kaam karta hai. Saaf hai ke European monetary system aur US Federal Reserve ke actions euro ke future ko short term mein shape karenge. Isliye, market participants ko alert rehna chahiye, potential volatility ke liye prepared rehna chahiye, aur in movements ko use karna chahiye strategic trading opportunities generate karne ke liye.

        Aakhir mein, euro ka route various economic factors aur central bank policies par depend karta hai, jo traders ke liye informed rehna aur upcoming commodities ko adjust karna zaroori banata hai. US dollar ki continued strength aur European uncertainty ek cautious outlook suggest karte hain, jo important levels par focus karta hai, changing economic conditions aur market reactions ke likely shape ko.
         
        • #574 Collapse

          EUR/USD/D1

          Aslam-o-Alaikum. Sell trades waqai promising lag rahe hain, kyun ke sab se zyada probability yehi hai ke EUR/USD pair giraygi. Ichimoku, Heiken Ashi, Stochastic aur dusre technical indicators bhi pair ke girne ka signal de rahe hain. Pair ne support level 1.0724 ko break kar diya hai aur ab aur neeche 1.0650 ki taraf girne ke liye set hai – yeh May 1, 2024 ka low hai. Pair indicator lines ke neeche trade kar rahi hai, aur Marlin oscillator downward trend zone mein move kar raha hai. Trading ke liye recommendations: current quotes ke sath sales ki bidding karein.



          Dusri taraf, strong support growth ko dobara trigger kar sakta hai. Bullish direction mein correction continue karna risky hai, isliye D1 time frame pe sideways direction maintain karna better hoga. Main direction Wednesday tak anticipated hai, aur week ke end tak ek clear trend form hone ki umeed hai, jahan se buying ya trend ke mutabiq sales continue karne ka faisla hoga. Selling zyada preferable lag rahi hai, aur further sales ko postpone kar sakte hain. Stochastic indicator bhi downward point kar raha hai. Last trading session ke doran, pair decline karti rahi, aur bears pivot level ke neeche position secure karne ki koshish kar rahe hain, jo ke currently 1.0718 pe trade ho raha hai. Intraday sales targets mein classic Pivot levels ke support shamil hain. Aaj, hum current levels se decline ka continuation dekhein ge, aur agar 1.0628 ka support level breakthrough hota hai, to nayi wave of decline shuru hogi, jo pair ko 1.0554 ke aas-paas ke support line ke neeche aur bearish bana de gi.

          Trading tips Thursday ke liye:
          Hourly chart pe, EUR/USD ne aakhirkar local downward trend form karna shuru kar diya hai. Hum abhi bhi expect karte hain ke pair 1.0600, 1.0450, aur shayad 1.0200 ke levels tak drop karegi. Lekin, yeh samajhna zaroori hai ke price in targets ko sirf do hafte mein nahi reach karegi; yeh medium-term targets hain. For instance, pair ek aur hafte ke liye freely ek corrective phase se guzr sakti hai. Is ke bawajood, hum medium-term mein euro ke rise hone ki koi waja nahi dekhte.
           
          • #575 Collapse

            EURUSD H4

            Euro ab US dollar ke khilaf laraai mein hai, jo ke apni pehli May se kamzor tareen nukta tak pohanch gaya hai. Current mein yeh kareed-o-farokht kareeban 1.0700 ke aas paas ho raha hai, lekin analysts ko darr hai ke yeh mazeed girne ka silsila jaari rakhay ga. Yeh kamzori kai wajahon se hai. Sab se pehle, France mein anay walay intekhabat ke hawalay se pareshaniyan hain. Right-wing National Front Party opinion polls mein lead kar rahi hai, aur unke muaqadayat-e-kharche se eurozone ke doosray bare tareen maqami maeeshat mein aik maliyat-e-wabasta saalat ka khauf hai. French Finance Minister Bruno Lummer ney bhi tanbeeh ki hai ke agar na right wing aur na left wing jeetay to mulk maeeshat mein tabahi ka samna kar sakta hai. Dosri taraf, US dollar ke haliyaat ke barhne se euro par mazeed dabao hai. Yeh baat US Consumer Prices Index (CPI) data se samne aayi hai jis ne maliyat mein rok tham ke isharaat diye aur dollar ki taraf khinchao ko barhaya.

            Euro ki girawat technical indicators mein bhi wazeh hai. Relative Power Index aur Stochastic Oscillator dono "oversold" territory mein hain, jo ke ishara dete hain ke euro ko aik correction ka samna karne ki zaroorat ho sakti hai. Is ke ilawa, aham support levels jaise ke 1.0745 aur 200-day moving average ko paar kar diya gaya hai, jo ke neeche ki taraf jaane ka trend aur bhi mazboot kar raha hai.

            Is waqt euro ki movement ko 1.0670 ke demand area se guzarne mein mushkil ho rahi hai. Shayad yeh jagah Eurusd ke liye aik pullback ka mazmoon ho. Lekin mujhe bhi ihtiyat barqarar rakhni chahiye kyun ke agar yeh neeche se guzar gaya to mazeed neeche jaane ka silsila jaari ho sakta hai. June 15, 2023 se movement mein girao girao nazar aa raha hai. Yeh us waqt se hua jab candle 1.0753 ke demand area mein dakhil hone mein nakam raha. Demand area mein candle ko pakar ke, main double bottom pattern ka imkan bhi dekh raha hoon. Is pattern ko tasleem ke liye, of course, candle ko 1.0753 ke price range ke resistance ko paar karna hoga.

            Is liye main apne dosto ko jo is pair mein trade karte hain, unhe sirf buy positions par tawajjo dene ki salahiyat deta hoon kyun ke mere istemal kiye gaye Stochastic indicator se pata chalta hai ke position level 20 tak pohanch chuka hai, jo ke condition oversold hai. Is liye dosto, main yeh mashwara deta hoon ke aap sirf buy positions par tawajjo dein.
             
            • #576 Collapse

              Euro, US dollar ke khilaf jaddo-jehad kar raha hai aur apni early May ke pehle se kamzor tareen maqam tak pohanch gaya hai. Yeh abhi 1.0700 ke qareeb trade ho raha hai, lekin analysts darte hain ke is ki giravat jaari reh sakti hai. Is kamzori ki wajah kai factors hain. Sab se pehle, France mein aanay walay elections ke baray mein concerns hain. Right-wing National Front Party opinion polls mein agay hai, aur un ke proposed spending plans eurozone ki doosri sab se bari maeeshat mein financial crisis ka khatra barha rahe hain. French Finance Minister Bruno Lummer ne bhi is ke baare mein warning di hai ke agar right ya left wing jeetay to mulk financial turmoil ka saamna kar sakta hai.

              Dusra, haal hi mein US dollar ki izafa karne se euro par zusi dabaav aaya hai. Yeh baat US Consumer Prices Index (CPI) data ke baad saaf ho rahi hai jo ke inflation mein rukh parnay ki alaamat de raha hai, jis ne dollar ki attractiveness ko barhaya hai. Euro ki giravat technical indicators mein bhi zahir hai. Relative Power Index aur Stochastic Oscillator dono "oversold" territory mein hain, jo ke ishara dete hain ke euro ki taraf correction honay ki ummeed hai. Is ke alawa, 1.0745 aur 200-day moving average jaise ahem support levels ko toor diya gaya hai, jo ke giravat ko mazeed barhane mein madad deta hai.

              June 15, 2023 se movement girne ki taraf ja rahi hai. Yeh woh waqt hai jab candle 1.0753 ke demand area mein dakhil nahi ho saka. Is demand area mein candle ki taskeen se mujhe double bottom pattern banne ki mumkinat nazar aati hai. Is pattern ki tasdeeq ke liye, candle ko lazmi tor par 1.0753 ke price range ke resistance ko paar karna hoga.

              Is liye, meri doston ko jo is pair mein trade karte hain un se yeh mashwara hai ke woh sirf buy positions par tawajjo den. Mere istemal kiye gaye stochastic indicator ke mutabiq jo ke level 20 par pohanch chuka hai, yeh condition over sold hai. Is liye, meri doston se mashwara hai ke woh bas yehi karain.
               
              • #577 Collapse

                Bilkul, yahan apke liye Roman Urdu mein tashreef la raha hoon:

                Euro (EUR) US Dollar (USD) ke khilaf larah raha hai, jo ke May ke shuru se apni kamzori ki wajah se jari hai. Ab is waqt 1.0700 ke qareeb trade ho raha hai, lekin analysts ko dar hai ke is mein mazeed girawat ho sakti hai. Is kamzori ki wajah kai factors hain. Sab se pehle, France mein anay walay elections ke hawale se aaprehensions hain. Right-wing National Front Party opinion polls mein aage hai aur un ke spending plans se eurozone ke dusre bara mulk ki maeeshat mein financial crisis ke khadshat barh rahi hain. France ke Finance Minister Bruno Lummer ne bhi warning di hai ke agar right ya left wing jeet gaye to mulk financial turmoil ka samna kar sakta hai. Dusra, US dollar ke hilne se euro par mazeed dabao aaya hai. Ye US Consumer Prices Index (CPI) data ke baad aaya hai jo ke inflation mein slow down ki nishandahi karta hai, jis se dollar ki attractive hone mein izafa hua hai. Technical indicators mein bhi euro ki kamzori zahir hai. Relative Strength Index (RSI) aur Stochastic Oscillator dono "oversold" territory mein hain, jis se euro ka correction honay ka izhar hota hai. Is ke ilawa, key support levels jaise 1.0745 aur 200-day moving average ko breach kiya gaya hai, jo ke downward trend ko aur bhi mazbooti deta hai. Aage dekhte hue, agar euro 1.0670 ke aas paas demand area mein qaim reh sakta hai, to is mein pullback ka potential ho sakta hai. Lekin savdhan rehna zaroori hai, kyun ke agar is level ko toorna ho ga to ye aur neeche ki taraf ja sakti hai. June 15, 2023 se, EUR/USD pair ek decline trend mein hai, jo ke demand area 1.0753 ke qareeb penetration nahi kar saka. Agar is area ke upar qaim reh sakta hai to yahan se ek double bottom pattern bhi ban sakta hai, jo ke confirm ho sakta hai agar candle 1.0753 ke qareeb resistance ko toor sakta hai. In technical aur fundamental factors ke samne, main yahan dost jin ko is pair mein trading karna hai unhe buy positions par focus karne ki salah deta hoon. Stochastic indicator ke oversold condition ne ek possible reversal ka zahir kiya hai, jo ke EUR/USD pair ke price movements ke saath milta julta hai.

                 
                • #578 Collapse

                  Aaj ke EUR/USD ke mawazan ka tashreeh

                  Euro ko amreeki deta ke kamez tazad ki khabar se nuqsaan ho gaya. Ghantay ke chart par, Euro/USD pair ne 1.0722 ke neeche gir kar aage ke neechayi raaste ki alaamat dikhayi, jo mojooda maqami minimum 1.0667 ki taraf mumkin girne ki ishara deti hai. Yeh neechayi raftar Asian trading session ke doran chhoti si upar ki tehqiq ke bawajood hui hai. Amreeki maqami deta ke izhaar ne kal paish kiya ki aik pareshan kun manufacuring figures se, lekin is se dollar ko koi asar nahi hua, jo ke puri trading din mein taqatwar raha. US Dollar Index (DXY) ne aam dollar ke qeemat mein izafa dekha, jo dollar ki mukhtalif barhayi ko darsha raha hai.

                  Aaj ke maqami calendar mein US mein kaam ka mazid izhaar shamil hai, jis mein qoumi hukumat ke business activity ke data shamil hai. Yeh data kal Federal Reserve Bank of Philadelphia ne paish kiye gaye manufacuring figures ke mukhtalif hain. Jab ke ghantay ke chart abhi bhi neechayi raftar ko zahir kar raha hai, char ghantay ke chart par aik mazeed mushkil tashkeel samne aa rahi hai. Yahan, aik mukhtalif trend ka asar nazar aa raha hai. Ham mojooda session ke liye trading range mein jam ho sakte hain, jis mein Euro 1.0730 ke qareeb se ghoom raha hai. Is waqt, Euro ko khareedna khatarnaak siyat hai. Mere liye Euro mein kisi bhi khareedne ke faislay se pehle trend ki mukammal mukhalif nazar aana zaroori hai.

                  Is ke bajaye, mein dhaan dena ki Euro ke rujhan par aikari mauqe hain. Yeh ya to Euro ki bharhaw se 1.0765 ke qareeb pahunchne se ya phir 1.0692 ke support level ki tootne se aa sakte hain. Asan alfaz mein, amreeki maqami deta kamzor thay, lekin dollar phir bhi taqatwar raha. Euro ko kamzor hone ki surat mein jaari rahega, jab tak ke anay wale maqami deta US ki mazboti ki alamat na dikhayen. Main ek wazeh tijarat ke rukh ka intezar kar raha hoon, Euro ke manzil ke maamle mein, lekin Euro ki hareeshaat ke mazid mauqe aikari ho sakte hain, khas tor par kuch khaas resistance aur support levels ke qareeb.

                  ![EURUSD.png](https://example.com/path/to/image.png)
                   
                  • #579 Collapse

                    Profit Potential through EUR/USD Prices:

                    Hamari guftagu ka mawzo EUR/USD currency pair ke price movements ka tajzia hai. Hourly chart par, EUR/USD ne narrow range mein shuruat ki, phir Tuesday ko trading level 1.07476 tak barh gayi. Price Wednesday ko is level par qaim rahi. Us waqt, upper trading level ke imkanaat zyada the, jo ke resistance 1.08345 tak buy signal ko trigger kar raha tha. Lekin, yeh buy signal fail hogaya, aur price Thursday ko gir gayi. Is level ko upar se neeche tod diya, jis se false breakout aur subsequent sell signal 1.06478 support tak aya. Yeh sell signal relevant lagta hai kyunke price ne is support level tak ka ziada distance cover kar liya hai. Yeh selling target Monday ko remain karta hai, lekin entry karne ke liye favorable profit-to-loss ratio hona zaroori hai. Last week mein solid bearish price action dekhne ko mila.
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                    Is hafte, EUR/USD pair 1.0671 se 1.0756 tak barh gayi, ek upward correction. Is ke bawajood, bears ne resistance 1.0741 par significant pressure dala, aur is zone ko multiple times test kiya. Economic news, jisme non-farm payrolls shamil hain, initially dollar ko affect nahi kar pai, lekin baad mein bears ne price ko neeche push kar diya. Friday ko, pair minimum 1.0661 tak gir gayi. Agle hafte, agar bulls 1.0671 ko dobara test karke support establish kar lete hain, to rebound 1.081 aur phir 1.0846 tak ho sakta hai. Dosri surat mein, agar 1.0671 breakdown hota hai, to pair 1.061 tak gir sakti hai, jahan yeh spring mein thi, phir upward move ki koshish kar sakti hai.
                       
                    • #580 Collapse

                      EUR/USD:

                      EUR/USD currency pair ab ek selling zone mein hai jabke weekly pivot level aur D1 chart par key price channels ke neeche break hua hai. Yeh price dynamics ka shift recent bullish trend mein ek potential reversal signal karta hai. Week ke pehle, pair ne ek buying pattern exhibit kiya tha, jo pehle do hafton ke trends ko mirror karta tha, aur overall upward trajectory tha. Iske ilawa, price W1 pivot level 1.0738 ke around support mila, jo bullish sentiment ko further reinforce karta tha.


                      Lekin, recent breach of the weekly pivot level aur price channels market sentiment mein ek shift towards bearish bias suggest karta hai. Ab traders potential selling opportunities pe nazar rakhe hue hain jab pair is naye trading environment mein navigate kar raha hai. Key support levels ke neeche breakdown selling pressure ko increase karta hai aur trend direction mein ek possible reversal indicate karta hai. Aise mein, traders closely price action monitor kar rahe hain aur sustained downtrend ka confirmation dhoondh rahe hain pehle ke naye positions initiate karein.

                      Selling zone mein move aane wale market dynamics aur evolving investor sentiment ke beech mein ho raha hai. Factors jaise economic data releases, geopolitical developments, aur central bank policies sab EUR/USD pair ke direction ko influence kar sakte hain. Traders ko vigilant rehna hoga aur apni strategies ko accordingly adapt karna hoga taake emerging opportunities capitalize ki ja sakein aur is volatile market environment mein risks mitigate kiye ja sakein.

                      Recent shift in price momentum ke bawajood, traders mindful hain potential support levels ke jo further downside movement ko limit kar sakte hain. W1 pivot level 1.0738, jo pehle support zone ke taur par act karta tha, ab further price declines ke liye ek barrier serve kar sakta hai. Iske ilawa, traders bullish reversal patterns ya oversold conditions ke koi bhi signs watch kar rahe hain jo current downtrend mein ek temporary pause ya reversal signal kar sakte hain.

                      Summary mein, EUR/USD currency pair ne ek selling zone enter kiya hai jabke D1 chart par key support levels aur price channels breach hue hain. Jabke week ke pehle, pair ne ek buying pattern exhibit kiya tha jo W1 pivot level se support mila, recent market sentiment shift ek potential reversal in bullish trend suggest karta hai. Ab traders selling opportunities par focus kar rahe hain aur closely price action monitor kar rahe hain sustained downtrend ka confirmation dhoondh rahe hain. Bearish bias ke bawajood, traders cautious hain potential support levels aur reversal signals ke jo future price movements ko impact kar sakte hain.
                         
                      • #581 Collapse

                        Jodi ne tawaja mazboot dabao ka samna kiya, jis ne early European trading session mein 1.0670 ke qareeb qaim raha, aur yeh uska dosra mazboot din tha girne ka. Yeh kami ECB ke June meeting mein interest rates ko 25 basis points kam karne ke baad aayi, jo market ke taqazon ke mutabiq thi. Pehle ke intezamat ke khilaf, ECB ki harkat ne July mein fori rate cut ki taraf koi ishara nahi diya, jis ne Euro aur Dollar ke darmiyan interest rate farq ko mustehkam kiya aur Euro ko Dollar ke khilaf thoda sa support diya.

                        Mukhtalif maali signals jo market ki jazbat par asar dale:

                        Naye data ne Average Hourly Earnings mein numaya izafa dikhaya, jo mazid tanqeedi israat-e-maishat ka ahem pehloo hai, saalana 4.1% tak barh gaya. Yeh pehle ke 3.9% ke taqazon se ooper tha aur pichli 4.0% (jo 3.9% se aala ki gayi) se bhi ooper tha. Mahana tanqeedi izafa bhi taqazon se behtar tha, jis mein 0.3% ke mutabiq 0.4% tak barh gaya aur pichli 0.2% se. Yeh shumarat sastay inflations ke baray mein pareshanion ko bharhaya hai, jis ne Federal Reserve ke interest rate cuts ke liye taqazon ke mazi ko tez tareen dobara tashkeel di. Amrika ke Non-Farm Payrolls report ke baad, CME FedWatch tool ke mutabiq, September mein rate cut hone ki imkan 68% se 54.4% tak kam ho gayi hai.

                        Daily Time Frame Technical Outlook:

                        Jodi ko ahem maqamat ka samna hai. 200-day Exponential Moving Average (EMA) jo 1.0786 par hai, agar isay tor diya jaye to yeh bearish trend ki taraf munh pher sakta hai. Ulta, 1.0919 ke ahem resistance level ke ooper phir se chadhav jodi ko March 21 ki unchiyon tak pohancha sakta hai jaise ke 1.0951 aur manasik rukawat 1.1000 ke qareeb.

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                        Nazdeek ke muddat ki raftar be-bunyad nazar aati hai, jahan jodi 1.0770 ke qareeb 50-day EMA ka samna kar rahi hai. 14-period Relative Strength Index (RSI) kamzor momentum ko numayan karta hai, jo 40.00-60.00 range ke andar ghoom raha hai, jis se pehle ke chadhav ki rukh ko thori der ke liye roka gaya lagta hai.
                           
                        • #582 Collapse

                          EUR/USD pair 1.0867 level par trade kar raha tha aur ab ye daily chart par ek important technical level ko breach kar chuka hai. Iska matlab hai ki market ka trend badal sakta hai aur traders ke liye naye opportunities create ho sakte hain. Jab keemat ne neela channel paar kiya, toh ye ek indication hai ki selling pressure zyada hai aur market ne neeche ki taraf move kar raha hai. Is tarah ke technical indicators ki madad se traders market ka direction predict karte hain aur apne trades ko plan karte hain. Neela channel breach hone ka matlab hai ki downward trend ka possibility hai, jiske chalte traders selling positions ko consider kar sakte hain ya phir short selling strategies istemal kar sakte hain. Is level ka breach hone se pehle, traders ko market ka movement closely monitor karna chahiye tha taaki wo timely decisions le sakein. Market ka trend aur volatility ke saath saath economic factors, geopolitical events aur central bank policies bhi trading decisions par asar daal sakte hain. Is liye, ek holistic approach apne trading strategies mein shamil karna zaroori hai. Is situation mein, traders ko apne risk management strategies ko bhi revise karna chahiye. Stop loss orders aur position sizing ke sahi istemal se, traders apne losses ko minimize kar sakte hain aur apni trading performance ko improve kar sakte hain. Overall, EUR/USD pair ke daily chart par neela channel breach hone se, traders ko caution aur flexibility ke saath trading karna chahiye. Market ka direction predict karna challenging ho sakta hai, isliye thorough analysis aur proper risk management key hai trading success ke liye.Ek choti barhat ke baad, EUR/USD pair phir se gir gaya hai. Lekin bailon ke liye abhi pareshani ka waqt nahi hai. Pair ne hafte ke shuru mein girte hue channel ko shandar tareeqe se tor diya tha, aur yeh ho sakta hai ke wo channel ko ulte taraf se test kare to dubara kharidne ka moqa ho. Yeh ek aur kharidne ka moqa pesh karta hai, khas tor par is hafte ke dakhil honay ke nukaat zyada behtar ho sakte hain. Mufeed hai ke intezaar karen jab tak EUR/USD pair 1.0844 ke sahara satah ke ooper stabil ho jaye. Jab yeh sahara satah se phir se uchalega, to lambi positionen munasib hongi jin ke liye qisatun ki chhoti ho sakti hai. Aam tor par, umeed hai ke pair apni haal ki bulandi ko 1.0895 par update kar sakta hai. Lekin agar yeh 1.0840 ke upar qaim ho jaye, to upar ki harkat ke imkaanat hain, kharidne ke moqaat pesh karte hain.


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                          • #583 Collapse

                            EUR/USD currency pair, jo filhal kareeb 1.0696 par trade kar raha hai, ek bearish trend ka samna kar raha hai. Market ki slow movement ke bawajood, kuch factors hain jo suggest karte hain ke near future mein ek significant shift ho sakta hai. In factors ko samajhna traders aur investors ko potential volatility ke liye tayar rehne mein madad kar sakta hai.

                            Pehle, Eurozone aur United States ka macroeconomic environment bohot zaroori role play karta hai. Eurozone mein economic challenges, jaise ke sluggish growth, inflationary pressures, aur political uncertainties Italy aur Spain jaise mulkon mein, euro par pressure daal rahe hain. European Central Bank (ECB) ne dovish stance rakha hai low interest rates aur quantitative easing measures ke saath economy ko stimulate karne ke liye. Magar agar inflation continue karti hai badhne mein, ECB ko zyada hawkish stance lena pad sakta hai, jo euro ko strengthen kar sakta hai.

                            Iske contrast mein, U.S. dollar relatively strong hai, supported by Federal Reserve ki tighter monetary policy. Fed ne interest rates raise kiye hain inflation ko combat karne ke liye, jo dollar ko bolster kar raha hai. Fed ki policy mein koi changes, jaise ke pause in rate hikes ya future cuts ki indications, dollar ko weaken kar sakti hain aur EUR/USD pair mein significant movement la sakti hain. Additionally, strong economic data from U.S., jaise ke employment figures aur GDP growth, dollar ko support karte hain. Magar kisi bhi economic slowdown ke signs market sentiment ko shift kar sakte hain.

                            Geopolitical events bhi ek critical factor hain jo EUR/USD pair mein significant movements drive kar sakte hain. For instance, ongoing trade negotiations, political developments, ya economic sanctions heightened volatility la sakte hain. Positive developments, jaise ke trade disputes ke resolutions ya increased political stability in Eurozone, investor confidence ko boost kar sakte hain euro mein. Conversely, geopolitical tensions ya sanctions jo Eurozone ya U.S. ko affect karte hain, safe-haven assets ki demand ko increase kar sakte hain, impacting the EUR/USD pair.

                            Market sentiment aur speculative activities bhi currency pair ko influence karte hain. Traders aur investors closely monitor karte hain economic indicators ko, including GDP growth, employment rates, aur manufacturing output, Eurozone aur U.S. economies ki health ko gauge karne ke liye. Strong economic data from Eurozone confidence instill kar sakta hai euro mein, jo potentially bearish trend ka reversal lead kar sakta hai. On the other hand, disappointing data current bearish sentiment ko exacerbate kar sakta hai. Speculative activities, jo market expectations aur reactions to news se driven hain, in movements ko amplify kar sakti hain.

                            Technical analysis additional insights provide karta hai potential future movements of the EUR/USD pair ke liye. Filhal, pair ek critical support level ke qareeb hai. Agar yeh level ke neeche break karta hai, yeh bearish trend ke continuation ka signal ho sakta hai, jo further declines lead kar sakta hai. Conversely, agar pair is support ke upar hold karta hai aur rebound shuru karta hai, yeh ek reversal aur significant upward movement indicate kar sakta hai. Technical indicators jaise ke moving averages, RSI (Relative Strength Index), aur MACD (Moving Average Convergence Divergence) useful tools hain trend reversals ya continuations identify karne ke liye.

                            In conclusion, jabke EUR/USD pair currently ek bearish trend aur slow market movements ka samna kar raha hai, kuch factors significant changes ke potential ko suggest karte hain. Economic policies, geopolitical events, market sentiment, aur technical analysis sab possible volatility ko point karte hain aane wale dinon mein. Kya pair apni bearish trajectory continue karega ya bullish reversal experience karega yeh depend karta hai in factors ke play out hone par. Isliye, yeh crucial hai traders aur investors ke liye informed rehna aur new developments par act karne ke liye ready rehna jo EUR/USD currency pair ko impact kar sakte hain. Ek well-informed aur strategic approach bohot zaroori hogi navigating the potential shifts in this currency pair mein, jo market participants ko emerging opportunities capitalize karne mein enable karegi.
                               
                            • #584 Collapse

                              Aaj ke fokus ka maqsad EUR/USD currency pair ki price movements ka tajzia karna hai. Pichlay hafta, EUR/USD weekly chart par musalsal girawat dekhi gayi thi, jo 1.07563 support level ko tor chuki thi. Yeh pair takreeban 1.06056 support tak pahunch gayi thi phir rebound karke qareebi 1.07563 par band hui. Is close ko dekhte hue, maine 1.05000 support ki taraf girawat ko tarjeeh di thi. Mujhe umeed thi ke 1.06056 support pehle hoga. Magar, ek izafa 1.07563 resistance tak hua, uske baad aik choti si girawat dekhi gayi. Pichlay lows likely nahi the, is liye meri forecast zyada theek nahi thi, aur price 1.07563 se neeche trade kar rahi thi. Is hafta, mein mazeed girawat ki tawakku kar raha hoon jo support 1.05000 tak jaayegi.
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                              H4 chart par, aik bearish sell level 1.08321 par tha, jo ke aik kafi bara volume accumulation ke saath flat mein tha. Yeh volume bearish direction mein move hui, jo 1.08321 se girawat ka sabab bani. Flat mein accumulated volume workout ho chuki hai, aur mein apni sale 1.08321 se close kar chuka hoon, lekin bearish priority ab bhi barqarar hai. Yeh dikhata hai ke EUR/USD ki girawat ka silsila jaari reh sakta hai. H4 chart par sell level broken hai, aur 1.08321 par consolidation hui hai, jo ke support ki taraf girawat ka potential kholta hai. Bullish buy level kafi neeche gir gaya hai 1.07499 tak. Jabke ek bullish correction ho sakti hai, mujhe H4 chart par EUR/USD ko buy karne ke liye bullish buy level ka breakout aur consolidation chahiye. H4 chart par buy potential ke liye, ek break aur consolidation 1.08499 buy level ke upar zaroori hai, jo ke resistances ki taraf growth potential ko zahir karta hai.
                                 
                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #585 Collapse

                                rukawat ka sabab ban sakti hai wo aane iqtisadi reports ya central bank ke elan ka intezar ho sakta hai. Market participants aksar bade trades karne se pehle rok jate hain jab significant data releases ka intezar hota hai, taake market ke galat side par na phans jayein. Misal ke tor par, agar GDP growth, employment figures, ya inflation data jaise key economic indicators jald release hone wale hain, to traders aksar in reports ka intezar karte hain taake unhein market ka wazeh rukh mil sake. Isi tarah, agar central banks ke upcoming statements ya policy decisions hone wale hain, to yeh bhi market movements par bara asar dal sakte hain. Aise scenarios mein, market aam tor par khamosh rehta hai jab tak traders in critical information ka intezar karte hain.Ek aur mumkin sabab jo aaj ki inakti ko contribute kar sakta hai wo broader market sentiment aur overall investor caution ho sakta hai. Kabhi kabhi low volatility aur lack of movement broader sense of uncertainty ya risk aversion ko reflect karte hain jo market participants ke darmiyan hota hai. Yeh un waqt mein ho sakta hai jab geopolitical tensions, economic uncertainties, ya bade global events ke lead-up mein ho. Jab investors ko future direction ke baray mein shak hota hai, to wo aksar wait-and-see approach apnate hain, jo subdued trading activity ko janam deta hai.Technically, initial movement ke baad 1.0700 level par lack of follow-through ko bhi market ka ek breather lena kaha ja sakta hai. Yeh tab hota hai jab price ek significant level par pohanchti hai lekin aage barhne ki momentum nahi hoti. Aise cases mein, market consolidation phase mein enter hota hai jahan yeh narrow range mein trade karta hai jab buyers aur sellers ek dusre ko balance karte hain. Yeh consolidation market cycle ka ek healthy hissa hota hai, jo next significant move se pehle energy accumulate karne ka moka deta hai.Aage dekhte hue, kal ka trading session ziada wazeh information de sakta hai. Yeh current pause wakai temporary ho sakta hai, aur market anticipated data ya events ke baad apni movement resume kar sakta hai. Traders ko vigilant rehna chahiye aur new developments par nazar rakhni chahiye jo market ke direction ke baray mein clearer insights provide kar sakti hain.Akhir mein, aaj ka din market mein ek inactive din tha, jo initial movement ke baad lack of further development se characterized tha. Yeh inactivity upcoming economic data, central bank announcements, broader market sentiment, ya ek technical consolidation phase ki wajah se ho sakti hai. Kal ka trading session ziada wazeh information de sakta hai, aur traders ko alert rehna chahiye taake kisi bhi emerging opportunities ko capitalize kar sakein. Market developments ko closely monitor karte hue aur adaptable rehkar, traders periods of inactivity ko navigate kar sakte hain aur next significant move ke liye ready reh sakte hain

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