Eur/usd

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  • #406 Collapse

    EUR/USD ek popular currency pair hai jo Euro aur US Dollar ke darmiyan ka exchange rate darust karta hai. Yeh ek major currency pair hai aur global forex market mein bahut zyada trade hota hai. EUR/USD ka movement global economic conditions, monetary policies, aur geopolitical events par asar dikhata hai.

    Euro Eurozone ke 19 countries ke liye currency hai aur US Dollar United States ka official currency hai. Dono hi currencies dunya bhar mein ahem maqasid ke liye istemal hoti hain aur unka exchange rate dunya bhar ke traders aur investors ke liye important hai.

    EUR/USD ka exchange rate taraqqi ya mandi ke dauran asar dikhata hai. Agar Eurozone mein taraqqi hoti hai aur Euro strong hota hai to EUR/USD ka exchange rate barh sakta hai. Lekin, agar kisi bhi wajah se Eurozone mein mandi aati hai to EUR/USD gir sakta hai aur US Dollar strong ho sakta hai.

    United States ke economic indicators, jaise ke GDP growth, employment data, aur inflation rates, bhi EUR/USD ke movement ko influence karte hain. Federal Reserve ke monetary policies, jaise ke interest rate decisions aur quantitative easing, bhi EUR/USD par asar dalte hain.

    Geopolitical events bhi EUR/USD ko prabhavit karte hain. Maslan, trade tensions, political instability, ya global conflicts, in sab cheezon ka EUR/USD par seedha asar hota hai aur iska exchange rate fluctuate hota hai.

    EUR/USD ka trading volume bhi important factor hai. High trading volume wale waqt mein EUR/USD ka movement zyada predictable ho sakta hai, jabke low volume waqt mein unexpected swings ho sakte hain.

    EUR/USD ke technical analysis mein various tools ka istemal hota hai jaise ke moving averages, Fibonacci retracements, aur MACD (Moving Average Convergence Divergence). In tools ki madad se traders EUR/USD ke future price movements ka anuman laga sakte hain.

    EUR/USD mein trading karne wale investors ke liye risk management zaroori hai. Yeh currency pair volatile ho sakta hai, khaaskar jab market mein unexpected events hote hain. Stop-loss orders aur hedging strategies ka istemal EUR/USD trading mein common hota hai.

    Overall, EUR/USD ek ahem currency pair hai jo global economic conditions aur monetary policies ko reflect karta hai. Iske movement ko samajhna aur analyze karna traders ke liye zaroori hai jo is pair mein trading karte hain.

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    • #407 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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      • #408 Collapse

        Euro US Dollar ke khilaf Jumeraat ko gir gaya, jab ek sath acha US economic data aur European Central Bank (ECB) ke cautious comments ka double whammy aya. Sabse pehle, May ke US nonfarm payrolls expectations ko tor kar aye, 272,000 tak ponch gaye, forecasts ke 185,000 ke mukable. Yeh strong performance April ke data ka pehle se hi positive revision ke sath mil kar US labor market ko aur bhi mazboot kar diya. Dusra, ECB President Christine Lagarde ne June mein significant interest rate cut ke umeedon par paani pher diya. Unki tajwezat ne investor expectations par shak ki surat mein dala, Euro ke liye utsaah ko daba diya. Yeh ek doosra punch Euro ko kamzor kar gaya. Mazboot US jobs data ne US economy mein confidence ko barhaya, Dollar ko stability ki talash mein investors ke liye zyada attractive banaya. Mazeed, Lagarde ki interest rates ke hawale se caution Euro ki attraction ko kamzor kar gaya. Euro ka giravat wazeh tha. Yeh lagbhag aik pura percent gir gaya, 1.0900 se 1.0800 tak. Yeh giravat Euro ko uski 200-day Exponential Moving Average (EMA) tak pohancha diya, aik ahem technical indicator tak. Jab kuch log agle haftay mein rebound ki ummeed karte hain, key technical levels par potential buying ke saath, overall trend bearish rehta hai. Haal ki downtrend line pattern mein rukawat ka break Euro ki aur weakness ka ishara deta hai, bids potentialy 1.0750 tak girne se pehle market mein re-enter ho sakte hain.
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        Technical indicators ek mix picture offer karte hain. 4-hour chart par Relative Strength Index (RSI) direction ki kami ko dikha raha hai, jo neutral 50 level ke aas paas ghoom raha hai. Usi tarah, Moving Average Convergence Divergence (MACD) zero line ke qareeb hai, indecision ka ishara deta hai. Lekin, aik potential umeed ki kiran maujood hai. Agar Euro 1.0894 ko tor leta hai, to wo phir se 1.0915 ke neday unchiyon tak chadh sakta hai. Is level ke sustained move se buying interest phir se jal sakti hai, Euro ko 1.0940-1.0960 resistance zone ki taraf le jane ke liye. Aik bullish scenario mein, uptrend mazeed barh sakta hai, 1.0988-1.1000 trendline area aur September 2023 ke lows se uthne wali trendline ke saath 1.1030 level bhi potential targets ban sakte hain. Euro ke future ka rasta US economic data, ECB monetary policy decisions, aur technical factors ke interplay par nirbhar karta hai. Jumeraat ki tezi se giravat ek chinta janak manzar paint karti hai, lekin ek rebound ki sambhavna bani rehti hai.
           
        • #409 Collapse

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          EUR/USD Pair Analysis


          As Salam O Alaikum! Aaj main EUR/USD currency pair ka analysis karunga.

          Current Market Behavior: Aaj ka chart dekh kar yeh lagta hai ke Euro ne US Dollar ke against achi girawat dikhai hai. Yeh girawat double whammy ke wajah se hui hai: pehle toh US economic data positive aaya hai aur doosra, European Central Bank (ECB) ke cautious comments. Nonfarm payrolls ke May data ne expectations ko smash kar diya, 272,000 ka figure aaya jo forecast 185,000 se kaafi zyada tha. Saath hi, ECB President Christine Lagarde ne interest rate cut ki umeedon ko thanda kar diya, jis se Euro pe negative asar pada.

          Technical Analysis: Chart par dekha jaye toh Euro ne 1.0900 se 1.0800 tak plunge kiya hai, lagbhag 1 percent girawat dikhayi di hai. Yeh girawat Euro ko 200-day Exponential Moving Average (EMA) tak le aayi hai, jo ek ahem technical indicator hai. Is waqt RSI indicator bhi neutral level ke ird gird hi hai, jo direction ka clear signal nahi de raha.

          Resistance and Support Levels: Is waqt resistance level 1.0894 par hai, agar yeh breach hota hai toh Euro waapas recent highs 1.0915 tak pahunch sakta hai. Is se upar sustain karta hai toh 1.0940-1.0960 resistance zone ko target kar sakta hai. Bearish scenario mein, agar Euro neeche girta hai toh 1.0750 tak decline ho sakta hai.

          Market Sentiment: Market sentiment overall bearish hai, lekin kuch traders ko ummeed hai ke key technical levels par buying interest dekhne ko milega. Aaj ka US services PMI data bhi market sentiment ko affect kar sakta hai. ADP private payroll data ke baad Non-Farm Payroll (NFP) report bhi aane wali hai, jo intraday volatility ko badha sakti hai.

          Conclusion: Summing up, Euro ke recent sharp decline ne forex trading ki complexities aur risks ko ujaagar kar diya hai. Effective risk management aur dynamic market conditions ko dekhte hue traders ko apni strategies ko continuously adapt karna hoga.

          Mujhe umeed hai ke yeh analysis Instaforex traders ke liye informative aur useful rahega. Successful trading week ki dua ke saath!
             
          • #410 Collapse

            EURUSD technical analysis

            Yeh 1.0760 ka level monthly level hai jo ke har month ke shuruaat mein price ko support karta hai, aur yeh pivot indicator ke first support level ke tor par kaam karta hai. Do mahine ke upward movement ke baad, EURUSD pair ne abhi haal hi mein ek significant trend reversal dekha hai. Yeh downward movement ke period se nikal kar ascending price channels mein trade kar raha hai, jo ke market sentiment mein potential shift ko signal kar raha hai. Shuruaat mein, yeh month ke aaghaz par bara, lekin jab yeh channels ke middle line ke resistance se takraya, to price correct hone laga aur sab price channels ko tod diya. Price ne top ko retest karte hue phir se giri aur downward wave mein chalte hue 1.0775 support level tak pohanchi, is tarah price ko correct hone diya aur top tak pahuch gaye.

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            Magar, downward trend ki strength ki wajah se, daily chart par downward trend ke wapas shuru hone se pehle ek minor correction ho sakta hai. 4-hour chart par EURUSD pair ke current price behavior ne bearish trend ko indicate kiya hai. Magar, price lower channel lines se support pa rahi hai, jo ke price movement mein potential correction ka ishara de raha hai. Yeh information traders ko zyada informed trading decisions lene mein madad kar sakti hai. Iss week, pair ka price descending price channels mein aur weekly pivot level ke neeche trade kar rahi thi, jo ke price par negative asar dal rahi thi jab ke decline shuru hua. Price pehla support level 1.0745 tak pohanchi, jo ke ek price bottom ka formation ka sabab bana, aur ab price rising hai kyunke correction nearest resistance tak pohunch rahi hai phir se girne se pehle. Yeh best time ho sakta hai pair ko sell karne ka, kyunke aap 4-hour chart par ek price peak form hone ka intezar kar sakte hain aur phir market mein enter kar ke profit ka mouka le sakte hain.
               
            • #411 Collapse

              EUR/USD currency pair ki haalat ka tajziya karte hue, hum ne rozana ka chart dekha aur dekha ke keemat ne uzarne wala channel tor diya, phir girne wala channel bhi tor diya aur 1.0824 ki resistance line ko par kiya. EUR/USD pair ab 1.0858 par ek naye bullish channel mein operate kar raha hai. In staron ke mutabiq, euro/dollar khareedne ko safe samjha jata hai, buyers ko naye growith ke wave ko shuru karne aur ascending price channel ke upper boundary tak pohanchne ke liye, jo ke 1.0953 ke qareeb qaim hai. Magar is ke liye ek shart hai ke pehle kiya gaya test karna aur peechle unchaai ko 1.0892 (1.0910) ko paar karna.Euro phir se raasta palat gaya hai, jo ke bayan ki gayi left corrections ki peaks ko trace karne wali inclined line ko torne ka gawah hai, kuch consolidation ke baad aur baad mein upar ki taraf raftar pakarne ka gawah hai. Is tarah se hilwat 1.0897 se neeche kaun par jana bhi 1.0605 se shuru hui bullish trend ko kharab nahi kiya hai, jo ke mazeed upar ki taraf impulse formation ka aagey barhne ka ishaara hai, jo ke shayad lateral boundary ki upper limit tak pohanch sakta hai, jo ke 1.1277 se shuru hoti hai, shayad ek horizontal triangle banaye. Magar 1.06 se teen-wave structure banane ke liye kisi limited space ki wajah se yeh namumkin nazar ata hai, haalanki haal ke neeche aane wale pullback ke incomplete correction ke bawajood, jo ke mazeed rally ki wus'at ki taraf ishara karta hai. Jitni mushkil hai, chalte raho jab tak bullish movement jaari hai. Shuru mein, daily peak 1.0836 ka update karna, aur phir potential substantial bullish movement, agar local trend mein raftar barkarar rahe. 1.1272 se sambandhit aurat ek aur supporting argument hai sustained consolidation ke liye, jo ke price movement structure ke andar is douran ke dauran, late 2023 pattern ki yaad dilaata hai, shayad ek aur correction ki taraf ishara karta hai, halanki significant magnitude aur duration ke saath
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              • #412 Collapse

                is rukawat ka sabab ban sakti hai wo aane wale 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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                • #413 Collapse

                  EURUSD Pair ka Technical Analysis
                  Daily Chart


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                  Jumma ke din trading ke doran, EURUSD pair ki price gir gayi aur uchti hui red channel ko tor dia. Is mahine ke doran, price ne ooper janay wale trend ke price channels ke andar trading shuru ki, jo ke peechlay do mahino ke doran price movement ko represent karta hai.

                  Is mahine ke pehle trading din ne pair ke upward trend ko support kiya, kyun ke price ko monthly pivot level aur lower red channel line se support mila. Jab price monthly resistance level 1.0945 ke qareeb pohanchi, to wahan se price ne bounce kiya aur jumma ke din US dollar ke strong rise ne euro ko bohot ziada giraya. Jaisa ke hum chart pe dekh sakte hain.

                  Is liye, kal ke din naye trading week ke shuruat ke sath, aur is strong candle ke baad, humein pehle ghanton ke doran price behavior ko monitor karna hoga trading mein enter hone se pehle. Yeh hain kuch possibilities jo price movement ke liye ho sakti hain.

                  Agar price jumma ke din monthly pivot level ke ooper close hoti hai, to yeh price ko support milne aur wapas ooper janay ka sabab ban sakti hai, ya to broken channel ko retest karne ke liye, ya upward trend mein wapas jane ke liye. Is surat mein, trader 4-hour chart pe ek bullish price action formation ka intizar aur observation kar sakte hain monthly pivot level 1.0797 par. Aap yahan buy kar sakte hain aur stop loss level ko monthly pivot level ke neeche set kar sakte hain.

                  Is hafte ke doran selling opportunities do levels par available hain. Pehla level tab hai jab price red channel line tak ooper jati hai aur phir neeche bounce karti hai. Yeh broken channel ko retest karne ke baad pair ke downward trend ke continue hone ka matlab hai, aur yeh next week mein sell karne ka acha level hoga. Dusra level sell karne ka tab hai jab price monthly pivot level ke neeche girti hai aur wahan 4 trading hours ke liye stabilize hoti hai.

                  Is analysis ke madad se traders ko market movement ko behtar samajhne aur trading decisions lene mein madad milti hai. Jab tak price monthly pivot level ke neeche hai, downward pressure dominate kar sakta hai, lekin agar price is level ke ooper rise hoti hai, to bullish momentum return kar sakta hai.

                  Ab 4-hour chart ko bhi dekhna zaroori hai, kyun ke short-term price movements yahan se clear honge. Yeh 4-hour chart humein minor fluctuations aur trading opportunities ko identify karne mein madad dega. Is par traders ko upper aur lower boundaries ko observe karna hoga jo ke support aur resistance levels ke tor par kaam karte hain.

                  Agar humein consistent bearish candles milti hain jo monthly pivot level ke neeche hain, to yeh strong bearish trend ko indicate karega. Is point par, selling positions ko hold karna aur profit targets ko neeche set karna samajhdari hogi. Wahan par traders short positions ko initiate kar sakte hain aur stop loss ko slightly ooper adjust kar sakte hain taake unnecessary losses se bacha ja sake.

                  Is tarah ka detailed analysis ek trader ko logical aur data-driven decisions lene mein madad deta hai, jo ke trading mein success ke liye bohot zaroori hai. Market ki volatility ko dekhte hue, hamesha risk management strategies ko apply karna chahiye aur market updates ko regularly monitor karna chahiye.

                  Is technical analysis ke zariye aap trading opportunities ko effectively utilize kar sakte hain aur potential profits ko maximize kar sakte hain. Trading discipline aur strategy follow karne se hi consistent success mil sakti hai.
                     
                  • #414 Collapse

                    EURUSD H4 Analysis
                    EUR/USD

                    Kal, EUR/USD ne choti si southern pullback ke baad price ko reverse kiya aur confidently north ki taraf push kiya. Is ke natije mein ek puri bullish candle bani, jis ki northern shadow ne peechlay daily range ka high update kar dia. Main yeh maan leta hoon ke aaj yeh growth continue kar sakti hai aur is surat mein, jaise ke main pehle bhi keh chuka hoon, main 1.09425 ke resistance level par nazar rakhne ka plan banaya hai ya phir 1.09812 ke resistance level par.

                    In resistance levels ke qareeb do scenarios develop ho sakte hain. Pehla scenario yeh hai ke price in levels ke ooper consolidate kare aur aage northward move kare. Agar yeh plan kaam karta hai, to main price ko 1.11393 ke resistance level ki taraf move hote hue dekhoonga. Agar price is resistance level ke ooper fix hoti hai, to main expect karoon ga ke yeh further northward move karegi, 1.12757 ke resistance level tak. Is resistance level ke qareeb main ek trading setup ki formation ka intizar karoon ga jo trading ke further direction ko determine karne mein madad degi.

                    Of course, main maan leta hoon ke jab price designated northern target ki taraf move karegi, to southern pullbacks bhi form ho sakti hain, jinko main bullish signals ko dhoondhne ke liye use karoon ga nearest support levels se, taake upward price movement ka restoration ho sake, jo ke global bullish trend ka hissa hai.

                    Price movement ka ek alternative option yeh hoga ke jab price 1.09425 ya 1.09812 ke resistance level ke qareeb aaye, to ek turning candle form ho aur southern movement resume ho. Agar yeh plan kaam karta hai, to main price ko 1.08543 ke support level tak wapas aate hue dekhoonga ya phir 1.07882 ke support level tak. Main in support levels ke qareeb bullish signals ko dhoondhunga, upward price movement ke resumption ke anticipation mein.


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                    Mukhtasir tor par, aaj main yeh maan leta hoon ke price northward push kar sakti hai nearest resistance level tak, aur phir market situation se move hogi, northern scenarios ko priority dete hue. Ya phir price lower move kar sakti hai pivot point (PP) 1.0842 tak. Prices ke support (S1) 1.0794 ya SMA 200 tak jane ka bhi imkan hai as dynamic support jab fundamental support milta hai NFP data aur US Unemployment Rate ki release se, jinka natija optimistic hai. Agar natija ulta hota hai, to upward rally bullish trend ke direction mein continue karegi aur 1.0900 level ke ooper move karegi.

                    Awesome Oscillator (AO) indicator ke perspective se dekha jaye, to uptrend momentum upward price rally ko support karta hai. Kyun ke ab tak histogram level 0 ya positive area ke ooper hai, chahe volume expand na bhi ho raha ho. Stochastic indicator bhi yahi dikhata hai kyun ke parameter level 50 cross kar gaya hai lekin ab tak overbought zone mein nahi gaya. Is ka matlab yeh hai ke upward rally ke continue hone ka chance abhi bhi hai, jab tak parameters cross karke overbought point ko nahi pohanchte.

                    Jo cheez dekhne ki zarurat hai wo price development ke qareeb hai resistance (R1) 1.0896 ke upar economic data reports ke fundamental influence ke sath.
                       
                    • #415 Collapse

                      EUR/USD ka Daily Timeframe par Tajziya:
                      Jab hum EUR/USD pair ko daily (D1) timeframe par dekhte hain, to yeh wazeh hota hai ke mojudah candlestick 1.0810-1.0820 ke price range mein demand zone ko torhne ki koshish kar rahi hai. Yeh area ek mazboot support level ka kaam kar raha hai, aur jab tak yeh torha nahi jata, EUR/USD ke phir se barhne ka imkaan hai. Magar, yeh yaad rehna chahiye ke is maqam par koi bhi upward movement zyada tarah ek correction hogi na ke bullish trend ka continuation. Kul mila kar EUR/USD ka trend bearish lag raha hai, jo ke qareebi support level 1.0853 ke torte se wazeh hota hai.

                      Price ka 1.0810-1.0820 demand area ko torhne mein nakam rehna yeh dikhata hai ke buyers ab bhi mojud hain aur is level ko defend kar rahe hain. Agar price is zone ke neeche nahi torh pati, to ek corrective rise dekha ja sakta hai. Yeh possible rise EUR/USD pair ko 1.0850-1.0880 ke range tak le ja sakta hai. Yeh corrective movement taqreeban 80 pips tak ho sakti hai, mojudah position aur resistance levels ko dekhte hue.


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                      Is potential upward correction ke bawajood, bearish sentiment ab bhi dominant hai. Support level 1.0853 ka torhna is bearish trend ka mazboot indication hai. Mere khayal mein market EUR/USD ko 1.0850-1.0880 range tak barhne de sakta hai, uske baad phir se neeche ki taraf jane ka imkaan hai. Yeh rise sirf ek short-term correction hoga, jo recent downward pressure se kuch relief dega, magar overall bearish outlook ko tabdeel nahi karega. Is liye traders ko ehtiyat baratni chahiye aur kisi bhi short-term corrective rise ke baad further decline ke signs dekhne chahiye. Key levels ko monitor karna, jaise demand zone aur potential corrective target 1.0850-1.0880, trading decisions lene mein bohot ahem hoga.

                      Agar EUR/USD 1.0837 ke around zone tak ponchta hai, to bohot mumkin hai ke yeh phir se decline karega. Iska matlab yeh ho sakta hai ke pair lower support levels ko test kare, shaayad mojudah demand zone se bhi neeche. Traders ko yeh dekhna chahiye ke price 1.0837 level ke aas paas kaise behave karti hai. Agar is level par significant selling pressure hota hai, to yeh bearish trend ke continuation aur EUR/USD pair mein aur gehray decline ka sabab ban sakta hai. Demand zone 1.0810-1.0820 ki wajah se ek corrective rise ka chance hai, magar overall trend bearish hi rahega. Support level 1.0853 ka breach downward trend ke liye ek strong indication hai.
                         
                      • #416 Collapse

                        rukawat ka sabab ban sakti hai wo aane wale 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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                        • #417 Collapse

                          is rukawat ka sabab ban sakti hai wo aane wale 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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                          • #418 Collapse

                            EUR/USD Roman Urdu Analysis


                            Good evening to all!

                            EUR/USD ka chart jo dikhaya gaya hai, ismein humein clear trends nazar aa rahe hain. Price Bollinger Bands ke niche ki taraf move kar rahi hai aur MACD bhi downward momentum ko indicate kar raha hai. Yeh signals humein bearish trend ke bare mein batate hain.

                            Analysis:
                            • Bollinger Bands: Bollinger Bands ke niche ki taraf movement indicate karti hai ke price volatility badh rahi hai aur market mein downward pressure hai.
                            • MACD Indicator: MACD mein red bars aur downward direction momentum ki kami aur selling pressure ko dikhate hain.
                            • Price Movement: Current price movement downward hai, jo ke ek strong bearish sentiment ko dikhata hai.
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                            Potential Scenarios:
                            1. Downward Trend Continuation: Agar price isi tarah niche move karti rehti hai, to humein ek strong bearish trend ka samna hoga aur price further lower levels ko test kar sakti hai.
                            2. Reversal Possibility: Agar price support levels ko hold karti hai aur bullish candlestick patterns banati hai, to ek potential reversal ka bhi chance hai.

                            Key Levels to Watch:
                            • Support Levels: Price ko pehle support levels pe nazar rakhnay ki zarurat hai jahan buyers potentially price ko support de sakte hain.
                            • Resistance Levels: Agar koi reversal aata hai, to upper resistance levels pe nazar rakhnay ki zarurat hai jahan sellers wapas market mein active ho sakte hain.

                            Traders ko current market conditions aur indicators ko closely monitor karna chahiye. Effective risk management aur stop-loss orders lagana bohot zaroori hai. Is bearish trend ke hawale se, agar downward momentum continue hota hai, to short positions consider kar sakte hain. Lekin agar reversal signs miltay hain, to cautious trading approach adopt karain.


                            Note: Yeh analysis sirf educational aur informational purposes ke liye hai aur kisi bhi trading decision se pehle apne financial advisor se mashwara zaroor karain.
                               
                            • #419 Collapse

                              **EUR/USD Analysis**

                              EUR/USD pair ne significant upswing dekhi hai US dollar ke kamzor hone ki wajah se aur ab yeh 1.0860 ke qareeb hover kar rahi hai. Germany aur US ke bond rates mein bhi improvement hui hai mukhtalif maturities par, magar monetary policy process abhi tak unchanged hai. Federal Reserve aur European Central Bank dono ke expected hain ke June mein policy easing cycle shuru karen, magar dono alag alag tactics use kar sakte hain rate cuts ke pace ke farq ki wajah se. Magar ECB expect kiya ja raha hai ke zyada piche nahi rehne wali. CME FedWatch Tool ke mutabiq, June mein rate cut ka imkanaat 62% se kam hokar 51% ho gaya hai.

                              ECB ke March 6-7 meeting ke minutes jo pichle hafta release hue, yeh dikhate hain ke officials inflation ke 2% target ki taraf rujhan par zyada optimistic ho gaye hain, jo lower interest rates ka case banata hai. Psychological resistance points EUR/USD ke upward move ke liye 1.1000 level, weekly high 1.0998 (Jan 11), aur March high 1.0981 (March 8) par expected hain. Agar EUR/USD mazid mazboot hoti hai, to yeh December 28, 2023 high 1.1139 ko test kar sakti hai. Magar, yeh mumkin hai ke 2024 mein yeh pair 1.0724 (April 2) aur 1.0694 (Feb 14) ke lows ko test kare. Agle lowest points hain weekly low 1.0495 (Oct 13, 2023), 2023 low 1.0448 (Oct 3), round number 1.0400, aur November 2023 low 1.0516 (Nov 1).


                              4-hour chart ko dekhne par uptrend ki wapsi nazar aati hai, jahan pehla target EUR/USD ka 1.0876 se 1.0942 ke range mein expected hai. Agla clear downside barrier 1.0724 lagta hai, uske baad 1.0694 aur 1.0656. Relative Strength Index (RSI) 61 ke qareeb hai, jab ke Moving Average Convergence Divergence (MACD) indicator positive hai.
                               
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                              • #420 Collapse

                                Is rukawat ka sabab ban sakti hai wo aane wale 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. Click image for larger version

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