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  • #511 Collapse

    EUR/USD pair neeche gir gaya, 1.0670 tak pohanch gaya aur phir US trading session mein 1.0700 ka milestone hasil kiya. Haal hi mein European parliamentary elections mein voter mood ke right-of-centre political parties ki taraf significant movement ke baad France mein snap election ka nateeja nikalne par Euro par siyasi dabao barh gaya hai. University of Michigan's (UoM) Consumer Sentiment Survey Index mein lower-than-expected reading ne US mein economic slump ka dar naya kar diya hai.

    Is hafte Euro doosri badi currencies ke muqable mein kamzor raha hai, is liye European Central Bank (ECB) ke representatives market ko tasalli dene ki koshish kar rahe hain. French President Emmanuel Macron ne French cabinet ko dissolve kar diya aur early election ka elan kiya hai taake right-wing candidate Marine Le Pen ke ubarte hue asar se nipta ja sake, jinhone European parliamentary elections jeet kar sab ko hairan kar diya.
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    President Macron ki unpopular budgetary policies ke khilaf public dissatisfaction ke wajah se unki support kam ho rahi hai, aur Le Pen—jo 2012 se French presidency ke liye teen nakam koshish kar chuki hain—chothi koshish kar rahi hain. France mein siyasi beqarari financial markets ko pareshan kar rahi hai kyun ke Le Pen ke proposed tax cuts aur lower retirement age EU ki economy par dabao daal sakti hain
    Abhi ke liye, EUR/USD 1.0743 level ke aas-paas trade kar raha hai. Mazboot bearish momentum ko dekhte hue, strategy yeh hogi ke naye sell trade mein enter karne se pehle price ke niche girne ka intezar kiya jaye. Yeh approach ensure karti hai ke trade current market trend ke sath align ho, jo ke profitable outcome ke chances badhata hai. Ideal sell entry ke liye, yeh prudent hoga ke price ko apne current level se significant tor par break karne ka intezar kiya jaye. Yeh confirm karega ke bearish trend ab bhi play mein hai aur market sirf temporary pullback experience nahi kar raha. Key levels jo dekhne honge unmein 1.0743 ke niche koi bhi support zones shamil hain, jahan breach hone par further downward movement ka signal mil sakta hai
     
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    • #512 Collapse

      EUR/USD/D1
      Yahan maine pair mein purchases open ki hain is umeed ke saath ke kam az kam ek corrective rebound 1.0830 ki taraf dekhnay ko milega, lekin agar kismat achi rahi, toh pair yahan se growth resume kar sakta hai. Upar janay ka trend abhi bhi apni structure ko barqarar rakhta hai. Unho ne bhi 1.0835 par debt level chhod diya hai, aur ek Gartley butterfly bhi nazar aayi hai, jo pair ko kaafi upar bhej sakti hai. Magar phir se, sab kuch aglay budh ko aane wali news par depend karega, jab Fed ka meeting hoga aur inflation data publish hoga, aur us se pehle main sideways trend ka intezar kar raha hoon, aur shayad 1.0800 is corridor ka lower limit hoga. Naye hafta se shuru hote hue, main assume kar raha hoon ke EUR/USD pair rollback shuru kar sakta hai, main fall continuation ko 1.0930 tak exclude nahi kar raha, lekin mujhe lagta hai ke rollback 1.0830-1.0850 tak ho sakta hai kyunke main purchases par choti si profit rakh raha hoon, natija yeh ke pair mein rollback ke baad, main umeed karta hoon ke yeh dobara niche jaye ga, provided ke technical resistance 1.0865 break nahi hoti, warna hume growth ko dobara consider karna padega, aur is dafa resistance 1.0930 ke upar, possible increase 1.0980 tak, aur yeh medium-term trend ko growth ki taraf reverse karega. Abhi ke liye main south ki taraf dekh raha hoon aur Monday ke baad rollback ke baad, hum umeed karte hain ke pair 1.0730 tak decline karega; naye hafta ke pehle do din mein woh support tak pohoch sakte hain
      Aaj subah, hamari keen analysis ne EURUSD pair mein ek significant increase ka observation kiya. Badqismati se, main trade miss kar gaya kyunke price meri target zone tak nahi pohoch saki. Yeh hatta ke 1.0787 support level tak chali gayi. Yeh D1 chart par ek strong reversal zone hai. Koi corrections zarurat nahi. Positive news ne price ko sharply upar drive kiya. Ab kya? Shayad yeh wise hoga ke market ke stabilize hone tak wait kiya jaye future trends ke liye. Typically, ek correction ho sakta hai kuch gains ko offset karne ke liye. Price ne D1 chart ka 1.0835 gap area touch kiya, suggesting a possible correction agar ek reversal pattern nazar aata hai. Trading ko recent bullish price movement ke saath align karna chahiye optimal results hasil karne ke liye
      Ainday interest rate reductions ke chances kaafi likely hain ya phir woh unchanged reh sakti hain. Agar daily trading chart ek closing price 1.0774 ke upar dikhaye, yeh positive market trend suggest kar sakta hai, medium-term price increases ke prospect ko raise karte hue
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      • #513 Collapse

        EUR/USD currency pair ke price behavior ka analysis filhal discussion mein hai. EUR/USD pair ne hourly descending channel ke lower boundary aur local minimum 1.0719 ko test kiya tha, phir ek correction start hui. Aaj, yeh resistance 1.0774 ki taraf badhne ki koshish kar raha hai. Agle US inflation data ke sath, agar figures expected se kam aate hain, toh hum 1.0804-1.0819 levels tak ek upward impulse dekh sakte hain, jiske baad potential price pullbacks bhi ho sakte hain. Doosra impulse Fed ke rate announcement aur press conference ke baad ho sakta hai.

        Kal bazar ne ek strong upward trend indication dikhaya, jisme significant liquidity accumulation aur projected performance ko surpass karna shamil tha. Despite favorable conditions for trading, maine hissa nahi liya aur potential profits miss kar diye
        Ye pattern consolidation periods ko zahir karta hai, jahan price ek defined range mein move karti hai, jo buyers aur sellers ke darmiyan balance ko reflect karta hai. Channels ascending, descending, ya horizontal ho sakte hain, overall trend ke direction par depend karta hai. Jab price is channel se breakout karti hai, toh aksar substantial price movements hoti hain, jo traders ke liye lucrative opportunities paida karti hain. EUR/USD pair ne apna established channel chhod diya, jo consolidation pattern se ek significant deviation ko mark karta hai. Ye breakout market dynamics mein shift ko suggest karta hai, kyun ke price parallel lines ke confines se bahar move ki.

        Channel se exit karne ke baad price ne extended period ke liye wapas channel mein re-enter nahi kiya, jo established trading pattern se temporary departure ko indicate karta hai.
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        Is behavior ne traders ke darmiyan heightened anticipation ko janam diya. Channel se breakout aksar nayi market activity phase ko signal karta hai, kyun ke ye strong directional movements se pehle hota hai. Traders in breakouts ko closely watch karte hain kyun ke ye potential trends ke early indications de sakte hain. Ek upside breakout bullish trend ke start ko suggest kar sakta hai, jab ke downside breakout bearish trend ke start ko indicate kar sakta hai. Breakout ke baad substantial price movements ki potential ki wajah se traders mein heightened anticipation hui. Jab price ek consolidation channel se breakout karti hai, toh aksar increased volatility aur momentum hoti hai, kyun ke clear signal ka intezar karne wale traders jaldi se positions enter karte hain. Ye activity surge price movement ko amplify kar sakti hai, jo sharp gains ya losses ko lead karti hai, breakout ke direction par depend karta hai.r
           
        • #514 Collapse

          Yeh pattern consolidation ke periods ko signify karta hai, jahan price ek defined range ke andar move karti hai, buyers aur sellers ke darmiyan balance ko reflect karte hue. Channels ascending, descending, ya horizontal ho sakte hain, jo overall trend ke direction par depend karte hain. Jab price is channel se breakout karti hai, yeh aksar substantial price movements ko lead karti hai, jo traders ke liye lucrative opportunities create karti hai. EUR/USD pair ne apne established channel se exit kiya, jo consolidation ke prior pattern se significant deviation ko mark karta hai. Yeh breakout market dynamics mein shift ko suggest karta hai, jahan price un parallel lines se bahar move hui jo pehle uske movement ko contain karte the. Channel se exit ke baad price wapas nahi aayi, jo established trading pattern se temporary departure ko indicate karta hai.
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          Is behavior ne traders mein heightened anticipation ko lead kiya. Ek channel se breakout aksar naye phase of market activity ko signal karta hai, kyunki yeh strong directional movements ke pehle aata hai. Traders in breakouts ko closely watch karte hain kyunki yeh potential trends ke early indications provide kar sakte hain. Ek upside breakout bullish trend ke start ko suggest kar sakta hai, jabke downside breakout bearish trend ke shuru hone ko indicate kar sakta hai. Traders mein heightened anticipation potential substantial price movements se stem karti hai following the breakout. Jab price consolidation channel se breakout karti hai, yeh aksar increased volatility aur momentum ko lead karti hai, kyunki traders jo clear signal ka wait kar rahe the ab positions enter karne rush karte hain. Yeh activity surge price movement ko amplify kar sakti hai, jo sharp gains ya losses ko lead kar sakti hai, breakout ke direction par depend karte hue.

          In conclusion, channel ka concept traders ke liye ek essential tool hai, jo consolidation ke periods ko indicate karta hai jahan price do parallel lines ke darmiyan oscillate karti hai. Ek breakout from this channel, jaisa ke EUR/USD pair ke sath do haftay pehle hua, aksar significant price movements ko lead karta hai, jo traders ke liye opportunities create karta hai. Recent behavior of EUR/USD, apne prolonged exit ke sath channel se, ne traders mein heightened anticipation ko generate kiya hai, jo market dynamics mein potential shift aur naye trend ke onset ko signal karta hai. In breakouts ko closely monitor karke aur robust technical analysis employ karke, traders aise significant market events se presented opportunities ko capitalize kar sakte hain.
             
          Last edited by ; 20-06-2024, 01:59 AM.
          • #515 Collapse

            EUR/USD

            Yeh pattern woh periods ko darshata hai jab price ek defined range mein move karti hai, jo buyers aur sellers ke darmiyan balance ko reflect karta hai. Channels ascending, descending, ya horizontal ho sakte hain, overall trend ke direction par depend karta hai. Jab price is channel se breakout karti hai, yeh aksar bohot zyada price movements ko janam deti hai, jo traders ke liye lucrative opportunities banati hai. EUR/USD pair ne apna established channel chhod diya, jo consolidation ke prior pattern se ek significant deviation tha. Is breakout ne market dynamics mein shift ko suggest kiya, kyunki price ne un parallel lines ke confines se bahar move kiya jo pehle iski movement ko contain karti thi. Channel se exit karne ke baad price wapas lambe arse ke liye usmein nahi aayi, jo ke established trading pattern se temporary departure ko indicate karta hai.

            Is behavior ne traders mein heightened anticipation ko janam diya. Channel se breakout aksar market activity ke naye phase ko signal karta hai, kyunki yeh aksar strong directional movements se pehle hota hai. Traders in breakouts ko closely watch karte hain kyunki yeh potential trends ke early indications de sakte hain. Agar breakout upside ko hota hai, to yeh bullish trend ki shuruaat ko suggest kar sakta hai, jabke downside breakout bearish trend ke aaghaz ko indicate kar sakta hai. Traders ki heightened anticipation is wajah se thi ke breakout ke baad substantial price movements ka potential hota hai. Jab price consolidation channel se breakout karti hai, to aksar increased volatility aur momentum hota hai, kyunki traders jo ek clear signal ka wait kar rahe hote hain, woh positions mein enter karne ke liye rush karte hain. Yeh activity ka surge price movement ko amplify kar sakta hai, jisse sharp gains ya losses ho sakte hain, depending on breakout direction.

            Conclusion mein, channel ka concept traders ke liye ek essential tool hai, jo consolidation ke periods ko indicate karta hai jahan price do parallel lines ke darmiyan oscillate karti hai. EUR/USD pair ka recent behavior, jo ke channel se prolonged exit hai, ne traders mein heightened anticipation ko janam diya, jo market dynamics mein potential shift aur naye trend ke aaghaz ko signal karta hai. In breakouts ko closely monitor karke aur robust technical analysis ko employ karke, traders in significant market events se presented opportunities ka faida utha sakte hain.

             
            • #516 Collapse

              EUR/USD

              Ek bechain budh ka din EUR/USD pair ka intezar kar raha tha jabke American markets midweek holiday ke liye band thi. Badi market movers ki kami ne investors ka dhyan Friday ke aham data releases ki taraf laga diya, khaaskar Purchasing Managers' Index (PMI) figures jo economic activity par guidance de sakti hain. Iss doran, Thursday ne kuch chhitey economic updates diye. US ne apni initial unemployment claims report unveil ki, jo thodi si barh gayi lekin phir bhi char hafton ki average ke qareeb thi. European Central Bank (ECB) ne bhi apna latest economic bulletin jari kiya, magar yeh ziada tar pehle se announce ki gayi interest rate decisions ka dohra tha. Asal event Friday ke liye slated hai, jo PMI data releases se bhara hoga. Sab ki nigahen Eurozone aur US mein manufacturing aur service sectors ki sehat par hongi. Forecasts European manufacturing aur services PMI mein chhoti si barh dekh rahe hain, jabke US mein dono sectors mein kami ki umeed hai.



              Technical standpoint se dekha jaye, to EUR/USD pair ko ek critical level (200 hourly EMA at 1.0767) par resistance ka samna hai, jo 1.0750 barrier ke upar surge ko mushkil banata hai. Halanki recent lows ke qareeb 1.0670 se rebound hua hai, upward momentum fade hota hua nazar aa raha hai. Daily chart ek mumkin climb ki taraf ishara karta hai jo 200-day EMA ke qareeb 1.0800 tak ja sakti hai. Magar, formidable resistance late December highs (1.1140 ke aas-paas) ke qareeb mojood hai, jo kisi bhi significant upward movement ke liye ceiling ka kaam kar rahi hai. Agar current trend jaari rehti hai, to EUR/USD bearish reversal dekh sakti hai, jo 2024 ke naye lows establish kar sakti hai, aur shayad 1.0600 ke niche bhi dip kar sakti hai. Fauri concerns ke ilawa, investors geopolital aur monetary developments ko bhi ghor se dekh rahe hain jo currency pair ko influence kar sakti hain. Ukraine mein chalte huye jang ab bhi global economic growth par uncertainty ka saya daal rahi hai, jo risk sentiment aur currency valuations ko affect kar sakti hai. Mazeed, central bank policies, khaaskar ECB aur Federal Reserve ke upcoming interest rate decisions ko closely monitor kiya ja raha hai kyunke yeh Euro aur US Dollar ki value par significant asar daal sakti hain.
                 
              • #517 Collapse

                EUR/USD


                Aik bayaanbardar Wednesday EUR/USD pair ke liye tha jab ke America ke markets midweek holiday ke liye bekaar the. Is badi market ke movers ki kami ne investors ka tawajjo Friday ke crucial data releases, khaas tor par Purchasing Managers' Index (PMI) figures, ki taraf mod diya, jo ummeed hai ke economic activity par hidaayat dene mein madadgar sabit honge. Is doran, Thursday ne kuch scattered economic updates laaye. Amreeka ne apna initial unemployment claims report unveil kiya, jo thoda sa barhav dikhata hai lekin chaar hafton ka average qareeb qareeb hi hai. European Central Bank (ECB) ne bhi apna latest economic bulletin jaari kiya, lekin yeh mainly pehle announce ki gayi interest rate decisions ki dohrana thi.

                Sab se bada event Friday ke liye taayyar hai, jisme PMI data releases shamil hain. Sab nigahein Eurozone aur US ke manufacturing aur service sectors ke sehat par hogi. Estimates ke mutabiq European manufacturing aur services PMI mein thoda sa izafa ki ummeed hai, jabke US mein dono sectors mein girawat ki aas hai.



                Teknik nazar se dekha jaaye to EUR/USD pair ko aik ahem level par resistance ka saamna hai (200 hourly EMA at 1.0767), jo 1.0750 barrier ke upar surge ko challenging banata hai. 1.0670 ke qareeb se haal hi mein aaye low se rebound hone ke bawajood, upar ki taraf jaane ki momentum mein kami nazar aa rahi hai. Daily chart mein aik mumkin climb ka ishara hai 200-day EMA ke qareeb jo 1.0800 ke nazdeek hai. Lekin late December highs ke qareeb mazboot resistance hai (qareeb 1.1140), jo kisi bhi significant upward movement ke liye ceiling ka kaam karta hai. Agar mojooda trend jaari rahe to EUR/USD bearish reversal ka shikaar ho sakta hai, jis mein 2024 ke naye lows establish ho sakte hain aur 1.0600 ke neeche bhi gir sakta hai.

                Is ke ilawa, investors bhi cautious taur par geopolitical aur monetary developments par nigaah daal rahe hain jo currency pair ko influence kar sakte hain. Ukraine mein jaari jung global economic growth par uncertainty ka saya daal rahi hai, jo risk sentiment aur currency valuations ko mutasir karne ki sambhavna hai. Is ke alawa, central bank policies, khaas kar ECB aur Federal Reserve ke upcoming interest rate decisions, ko bhi nazdeek se dekha ja raha hai kyunki yeh Euro aur US Dollar ke value par sakht asar daal sakte hain.
                   
                • #518 Collapse

                  Tijarati instrument ki mojooda tehreek ko technical tashreeh ke zariye samajhna tijarati asar ke liye aam taur par bohat faidaymand sabit hota hai. Teen mashhoor nishanat jo aksar istemal hoti hain wo Extended Regression StopAndReverse (ERSAR), Relative Strength Index (RSI), aur Moving Average Convergence Divergence (MACD) hain. Har ek nishanaat apne maqasid ke liye khaas nazar aur tajziyaat faraham karti hain, jo tijarati maqam ke hawale se behtar faislay lene mein madad deti hain.

                  Extended Regression StopAndReverse (ERSAR) ek maharat angaiz technical analysis ka aala hai jo linear regression aur stop-and-reverse techniques ko jama karta hai. Ye nishanat trend reversals ko pehchan'ne aur qeemat ki harkaton ke istatistiati sifat par base kar ke khareed ya farokht ke signals generate karta hai. Regression line aur is ki qeemat data se taluqat ko tajziya kar ke ERSAR tijaratiyon ko andar dakhil ya bahar nikalne ke liye behtareen points mukarrar karta hai. Stop-and-reverse mechanisms shamil hone se is ki aitmaad mein izafa hota hai, jo market ke rukh badalne par positions tabdeel karne ke liye saaf shara'it faraham karta hai.

                  Relative Strength Index (RSI) ek momentum oscillator hai jo qeemat ki tehreek ki raftaar aur tabdeeli ko napta hai. J. Welles Wilder ne isay tashkeel di hai. RSI 0 se 100 tak range rakhta hai aur market mein overbought ya oversold shara'it ko pehchan'ne ke liye istemal hota hai. RSI ki qeemat 70 se oopar hone par aksar ishara deta hai ke maal bohat ziyada khareeda gaya hai aur ab durusti ki taraf aamad ke liye tayyar hai, jabke 30 se kam hone par yeh ishara deta hai ke wo oversold hai aur ab isharaat ke liye tayyar hai. RSI ki tashreeh se traders trend ki taqat ko samajh sakte hain aur dakhil ya bahar ke points ke hawale se faislay kar sakte hain.

                  Moving Average Convergence Divergence (MACD) ek trend-following momentum indicator hai jo ek maal ki qeemat ki do moving averages ke darmiyan talluq ko dikhata hai. MACD 26-period Exponential Moving Average (EMA) ko 12-period EMA se munhasir kar ke calculate kiya jata hai. Is se MACD line hasil hoti hai jo fir MACD line ki nine-day EMA (signal line) ke sath plot ki jati hai. MACD line aur signal line ke darmiyan farq buy ya sell signals faraham kar sakta hai. Jab MACD line signal line se oopar cross karti hai, yeh bullish signal deta hai, kehne ka matlab hai ke ab maal khareedne ka sahi waqt ho sakta hai. Umooman, jab MACD line signal line se neeche cross karti hai, yeh bearish signal deta hai, kehne ka matlab hai ke maal bechne ka sahi waqt ho sakta hai. Is ke ilawa, MACD histogram jo MACD line aur signal line ke darmiyan farq ko darshata hai, traders ko momentum ki taqat ko tasawwur karne mein madad deta hai.

                  ERSAR, RSI, aur MACD nishanat ko mila kar traders ko market ke halat ki ziada comprehensive tashreeh hasil karne mein madad milti hai. Har nishanaat aik mukhtalif nazar faraham karta hai jo doosri nishanaat ke signals ko tasdeeq ya inkaar kar sakta hai, jo trading ke faislay ki aitmaad ko izafa karta hai. Masalan, agar ERSAR trend reversal ka signal deta hai, aur isay overbought ya oversold RSI reading aur MACD cross confirm karte hain, to trading mein kamiyabi ke imkanat bohat barh jate hain. Is tajziye ki approach se traders galat signals ko jhankar high-probability trading opportunities par tawajjo dene mein kamiyab ho sakte hain.

                  Ikhtitami tor par, Extended Regression StopAndReverse, Relative Strength Index, aur Moving Average Convergence Divergence nishanat ko mila kar tijarati maal ki mojooda tehreek ko tashreeh karne ke liye aik mustehkam framework faraham karta hai. Har nishanaat aik mukhtalif nazariya pesh karta hai, aur jab aik sath istemal ki jayein to wo traders ko tijarati maqasid mein kamiyabi ke imkanat faraham karte hain. In tools ke istemal se, traders apne faislay ko behtar aur pur itminan andazi ke sath le sakte hain, jis se unki tijarati maqasid mein kamiyabi ke chances mein izafa hota hai.

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                  • #519 Collapse

                    EUR/USD H-4 Timeframe Analysis:

                    Aaj, price ne neeche move karte hue ascending channel ke lower border ko touch kiya, jo ke level 1.0729 hai, iske baad pair mein reversal aaya aur price ne upar move karna shuru kiya. Ab mujhe umeed hai ke price upar move karte hue channel ke upper border tak pohonch sakti hai. Lekin, yeh bhi mumkin hai ke yeh growth na ho, agar price abhi turn le kar ascending channel se neeche nikal jaye, to kam az kam 1.0668 tak decline ho sakta hai, ya phir pair yeh level break karte hue neeche jaari reh sakta hai.
                    Ho sakta hai ke level 1.0760 ka breakdown ho, jo ke buy ka signal hoga. Agar humein breakout milta hai aur price 1.0765 mark ke upar confidently consolidate hoti hai, to yeh medium term mein further growth ko confirm karega. Rate mein mazeed izafa aur level 1.0850 ke upar breakdown aur consolidation additional signal hoga buying continue rakhne ka. Shayed aaj humein ek downward correction mile aur growth ke resumption ki umeed hai. Level 1.0850 ke breakdown aur consolidation se additional purchases open karna aur positions par profit increase karna possible hoga. Agar level 1.0820 ka breakdown aur consolidation hota hai, to yeh rate ko increase karne ka signal hoga. Level 1.0830 ka breakdown aur consolidation key benchmark banega long positions ko increase karne ka. Stochastic indicator ke mutabiq ek choti si correction mumkin hai, lekin iske baad growth phir se continue hogi.
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                    Shayed level 1.0760 ka breakdown ho, jo ke buy ka signal hoga. Agar humein breakout milta hai aur price 1.0765 ke upar confidently consolidate hoti hai, to yeh medium term mein further growth ko confirm karega. Mazeed izafa aur level 1.0850 ke upar breakdown aur consolidation se additional buying ka signal milega. Aaj downward correction aur phir growth ka resumption mumkin hai. Level 1.0850 ka breakdown aur consolidation se additional purchases open karna aur positions par profit increase karna mumkin hoga. Agar level 1.0820 ka breakdown aur consolidation hota hai, to yeh rate ko increase karne ka signal hoga. Level 1.0830 ka breakout aur consolidation key benchmark banega long positions ko increase karne ke liye. Stochastic indicator ke mutabiq choti si correction mumkin hai, lekin iske baad growth phir se continue hogi.







                       
                    • #520 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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                      • #521 Collapse

                        EURUSD pair ki Daily timeframe par trading jo Jumma ko hui, wo kamyabi se buyers ne sambhala, jo bearish sellers ke koshishon ko kamzor kar diya tha jo support area ko 1.0840-1.0835 ki qeemat par mazboot kiya tha, jo ke sellers ko phir se kamiyabi se qeemat ko niche dabaane se rok gaya tha aur ulte rukh kar gaya tha taake bullish ban jaye kyun ke buyers ne mazboot kharidari dabao dala jo ke sellers ko push karne mein nakami hasil hui thi.
                        Daily timeframe par Bollinger Bands indicator ka istemaal karke dekha gaya ke qeemat ko buyers dobara Upper Bollinger Bands area mein qaim rakha ja raha hai, khaaskar ke jab buyer ko mazboot bullish candle ke jhurmat ka saath mil raha hai taake jo faida buyer ka hai wo barh jaye aur buyer ko trading par qabza karne ka mauqa milta hai. EURUSD pair par Jumma ko ghaarat, jis ka bullish target hai seller supply resistance area jo ke 1.0930-1.0925 ki qeemat par hai aur mustaqbil mein mazeed bulish rahnumai ke liye ek bulish raasta kholne ka mauqa hai.

                        Somvar ko trading ki surat mein pehle bearish correction dekhne ko mil sakta hai jab sellers ne market band hone ke qareeb bullish buyers ko rokne mein kamiyab rahe, jo ke dynamic resistance area ko mazboot kar rahe the jo ke 1.0880-1.0875 ki qeemat par hai. Seller ka maqsood qeemat ko neeche daba kar buyer support area ko test karna hai jo ke 1.0840-1.0830 ki qeemat par hai jo ke kamiyabi se tooti, to phir EURUSD pair ki qeemat dobara bearish taur par kamzor ho sakti hai. Lekin, agar buyers selling pressure ko kam karne mein kamiyab ho gaye, to qeemat dobara bullish rukh mein buland hone ka bara mauqa hai Upper Bollinger Bands area ke upar le jane ke liye.

                        RSI indicator bhi dikhata hai ke qeemat jo pehle 62 ke level par thi, wo ab 63 ke level par chali gayi hai, is ka matlab hai ke bullish buyers ke koshishen ab bhi aagayi hai aur agle haftay ke trading mein RSI level 75 ke area tak mazeed mazbooti haasil karne ka mauqa hai.

                        Nateeja:

                        Sell entries ki ja sakti hain agar seller ko support area ko 1.0840-1.0835 ki qeemat par toorna mein kamiyab hoti hai jahan TP area 1.0810-1.0800 ki qeemat par hai.

                        Buy entry ki ja sakti hai agar buyer ko resistance area ko toorna mein kamiyab hoti hai jahan ek pending buy-stop order lagaya ja sakta hai jo 1.0890-1.0895 ki qeemat par hai aur TP target 1.0930-1.0925 par hai.
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                        • #522 Collapse

                          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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                          • #523 Collapse

                            EUR/USD

                            Pichle budh ko, EUR/USD currency pair mein kafi significant market activity dekhi gayi jo zyada tar sellers ke influence mein thi. In sellers ne market par bohot pressure dala, aur price ko bearish direction mein niche le jane ki koshish ki. Lekin, wo price ko ek critical support area se niche nahi le ja sake jo buyers ne establish kiya tha, aur jo 1.0740 se 1.0734 ke range mein tha. Yeh support zone ek mazboot barrier sabit hui jo sellers breach nahi kar sake.

                            Trading session ke doran, sellers ne multiple attempts kiye ke is buyer support area ko tor saken. Har koshish strong defensive maneuvers ke sath buyers ke taraf se mili jo is crucial price level ko maintain karne ke liye determined the. Buyers ke taraf se support zone ko defend karne ki resilience significant thi, kyun ke yeh demand ka solid foundation dikhata tha in price levels par.

                            Jaise jaise trading din progress karta gaya, sellers ke inability ke support area ko torne mein market dynamics ko shift karna shuru kar diya. Buyers, apni successful defense se emboldened ho kar, apni buying activity ko barhane lage. Is shift in momentum ko ek gradual increase in bullish pressure ke sath mark kiya gaya. Market ne ek transition dekha jahan buyers ne price action ko zyada decisively dominate karna shuru kar diya.

                            Control ka yeh change sellers se buyers ki taraf aur zyada apparent hua jaise price upward move karne lagi. Buyers ke increased dominance ne additional bullish pressure apply kiya, jo pehle ke bearish trend ko reverse kar diya. Yeh upward movement sirf sellers ke support area ko torne mein failure ka reaction nahi thi, balki buyers ki growing confidence aur market mein strength ka demonstration bhi thi.

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                            • #524 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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                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #525 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

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Views:	37
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ID:	13010529

                                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
                                 

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