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  • #556 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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    • #557 Collapse

      مائیں۔
      EUR/USD ANALYSIS
      Ittafaaqan, Japani yen se mutalliq market bohot zyada chalne lagay ga kyunkay mujhay dekhne ko mil raha hai ke bohot zyada high impact news jaari ki jaa rahi hain. Is ke ilawa, aaj raat America bhi high impact data jaari karega jo US dollar currency par bohot bada asar daalega. Bilkul tez izafa hone ke baad, Thursday ko Eurusd phir se gir gaya. Ye is baat ka saboot hai ke candle ne 1.0850 ke price tak pohanch kar girna shuru kar diya. Nikalta hai ke Eurusd ko mazeed barhne se rokne wala ek SBR pattern hai. Ab Eurusd ka apna muqami maamla 1.0735 ke price par trade kiya ja raha hai. Oopar se aapki tasveer mein dekha jata hai ke aap ke mutabiq Eurusd abhi bhi neeley Moving Average line ke neeche harkat kar raha hai, is liye aap kaafi sure hain ke Eurusd abhi tak neeche jaega.

      Maslan, is Jumma ko main ye paish karta hoon ke Eurusd barhne lagega kyunkay candle abhi tak 1.0734 ke price par shoulder area mein dakhil nahi ho saka hai. Jab tak yeh area neeche nahi dakhil hota, barhne ki mauqa mojud hai, khaaskar jab stochatic indicator bhi yeh darust karti hai ke halat oversold hain. Is liye, main dosto ko jo is pair mein trade karte hain unhe sirf buy positions kholne par tawajjo dene ki salahiyyat deta hoon. Aap maqsad ko qareebi resistance par rakh sakte hain jo 1.0851 ke price par hai.

      Roman Urdu mein aapki technical reference: Jab tak 1.08240 ke neeche hai toh bech de. Resistance 1: 1.08240
      Resistance 2: 1.08415
      Support 1: 1.07555
      Support 2: 1.07400

      EURUSD abhi bhi US trading session (13/6/4) mein bechnay ke dabao ke qabile bana hua hai, ye haalat is liye dekhi ja sakti hai ke price bearish channel mein phas gaya hai, ye ek pattern hai jo EURUSD ke liye kamzor outlook faraham karta hai. Is ke ilawa, OsMA ke histogram mein bhi negative area hai, jo bearish mauqa ko barhata hai.

      Upar diye gaye ghantay ke chart ke harkat ke tajziye ke mutabiq, 15 M chart par bhi EURUSD girne ka moqa dikhata hai kyunkay MACD indicator bearish potential dikhata hai kyunkay histogram theek negative area mein hai. Ye EURUSD ko 1.07555 ke support level ki taraf dhaakelne ki koi mumkin
       
      • #558 Collapse

        EUR/USD ki Technical Analysis

        Rozana chart ishara deta hai ke EUR/USD pair mein mazeed girawat ki mumkinat hain. Haal hi mein keemat ne daily chart par banayi gayi aham support level ko toor diya hai. Is mahine ke shuru mein, pair ne urooj ke price channels ke andar trade kiya aur monthly pivot level ke oopar raha. Lekin thora sa izafa hone ke baad aur peak banane ke baad, keemat gir gayi aur dono channels aur monthly pivot level ko kamiyabi se toor diya.

        Phir keemat ne monthly support level 1.0830 tak girne ke baad thori umer kar li aur ek bottom banaya. Umeed ki ja rahi thi ke yeh bottom keemat ko monthly pivot level par wapas le jayega, lekin instead, keemat apni girawat ko dobara shuru kar di hai, monthly support aur bottom levels ke neeche girte hue. Girawat ka silsila jari rahega.



        Trading Strategy:

        Sell:
        Mojud mauqa yeh hai ke pair ko becha jaye, jiske liye stop loss aaj ke sab se zyada trading price ke upar lagaya jaye.

        Buy: Sirf tab consider karen keemat 1.0750 ke support level ke upar trade karne ke liye wapas aaye.

        Additional Observations:

        Daily chart par, keemat aaj monthly resistance area 1.0880 mein trade kar rahi hai, jis ne ek correct decline ka silsila shuru kiya hai.

        EUR/USD pair ab weekly level 1.0860 ke neeche trade kar raha hai. Yeh weekly pivot level ke neeche aur 4-hour chart par tootay hue price channels ke neeche sideways movement follow kar raha hai. Pichle candle mein girawat ne haal hi mein ke 2 hafton ke bullish wave ke 50% Fibonacci retracement level tak pohancha. Is retracement level se wapas ki jane wali harkat ek potential bullish trend ka ishara deta hai, jis se keemat mutawassit tour par weekly pivot level ke taraf badhne ki koshish kar sakti hai aur phir upar ki taraf jaari rahegi.
           
        • #559 Collapse

          On the other hand, 169.00 ke price ceiling ne ek resistance level ko represent kia hai jahan bechne ki dabao ne mazeed price barhane se rok diya hai. Agar price is resistance level ko toor deti hai, to yeh bullish trend ki taraf ishara kar sakta hai aur mazeed izafa ki possibility dikhata hai. Lekin agar resistance qaim rehta hai, to yeh trading range ka upper limit ko reinforce karega, jisse pullbacks ya reversals ki sambhavnaen darshaate hain. Yeh levels static nahi hote aur changing market conditions ke saath evolve ho sakte hain. Support aur resistance levels ki ahmiyat aur taqat ko naye economic data, geopolitical events, aur market sentiment jaise mukhtalif factors prabhavit kar sakte hain. Is liye traders ko bade market trends ke baare mein updated rehna chahiye aur apni strategies ko usi ke anusaar adjust karna chahiye. EUR/JPY aaj aur kal kharidne ke liye prasang hai. Iske alawa, traders ko achanak market movements ke liye taiyar hona chahiye aur sudden price reversals ya significant economic news jaise scenarios ke liye planning karni chahiye. Isme stop-loss levels ko adjust karna ya temporary trading activities ko rukna shamil ho sakta hai. EUR/JPY traders ke liye economic news, market sentiment, aur price movements ke baare mein informed rehna zaroori hai. Real-time data aur alerts pradan karne wale tools aur platforms ka istemal karein, jo trade ko prabhavit karne wali changes ke liye tezi se response dene mein madad karte hain. Market conditions evolve hone par apni strategy ko modify karne ke liye taiyar rahein, kyunki flexibility ek dynamic market environment mein munafa banaye rakhne ke liye mukhya hai. Apne trading plan ko performance aur market analysis ke adhaar par niyamit roop se review aur adjust karein. Umeed ki jaati hai ki EUR/JPY ka market price aaj ya kal 161.34 zone ko cross kar sakega. Trading mein savdhani vyavasthit roop se istemal karein aur stop-loss orders ko effectively manage karein. Have a successful trading day!
             
          • #560 Collapse

            EUR/USD currency pair abhi 1.0732 ke ahem level ke aas paas ghoom raha hai. Yeh resistance level char ghante ke chart par haal hi ki trading range ke upper limit ke saath milta hai, jo ke market ke liye aik potential turning point darshata hai. 1.0732 level pair ke liye aik critical barrier hai jise paar karne mein mushkil ho rahi hai, aur is level ke aas paas ka rawaiya market ke agle rukh ko tay karne mein ahem hai. Kal ka trading session relatively quiet tha, jahan prices largely unchanged rahe. Is movement ki kami ko badi hadd tak bina kisi bari maaliyat se judi khabron ke mojoodgi ka zimmedar mana ja sakta hai, jo ke market ki volatility ko barhane mein ahmiyat rakhti hain. Taza data ya events ke bina jo market sentiment ko influence karte hain, traders ne seemab azar honay ka nazariya apnaya, jis se limited price action dekha gaya.

            Lekin aaj US market ke khulne ke saath, aik zyada active din hone ki umeed hai, jisme American taraf se ahem maaliyat ke bahtareen miqdaar aane wali hai. Yeh data ka influx EUR/USD pair ke rukh par ahem asar daal sakta hai. Aham maaliyat ke indicators jaise rozgar ke figures, mahangai ke data, ya Federal Reserve ke afraad ke bayanat, interest rates aur economic outlooks ke baray mein market ki umeedon ko badalne ka juzriyat rakhte hain. Agar aane wale US maaliyat ke data expectations se zyada mazboot hote hain, to yeh US dollar ko taqwiyat de sakta hai, jo keh EUR/USD pair par neeche ki taraf dabaav dal sakta hai aur 1.0732 resistance level se door kar sakta hai. Ulta agar expectations se kamzor data aaye, to dollar kamzor ho sakta hai, jisse EUR/USD ko resistance ke oopar break karne aur apni upar ki raftar ko jari rakhne ka moqa mil sakta hai.
               
            • #561 Collapse

              EUR/USD currency pair haal hi mein thora bullish trend dikha raha hai, jise kam volatility ke sath characterize kiya gaya hai. Is manzaray mein intraday traders ke liye badi mushkilat paida ho rahi hain, kyun ke bari miqdaar mein price movement ki kami nay profit ke liye moqaat kam kar diye hain. Aisi sakooni market environment mein, short-term trading ke aam tariqay kam asar andaz hone lagte hain, jis se kai log yeh sochte hain ke in doraan kaise guzar jaye aur munafa hasil kiya jaye.

              Volatility forex trading mein ek ahem factor hai, jo price fluctuations provide karta hai jinhe traders returns generate karne ke liye istemal karte hain. Jab volatility buhat kam ho jati hai, jaisa ke haal hi mein EUR/USD pair mein dekha gaya hai, to market environment challenging ho jata hai. Intraday traders jo short-term movements par depend karte hain unke liye profitable trades identify karna barh jata hai. Kam volatility ki wajah se EUR/USD pair ki price trading day ke andar significant tor par move nahi kar rahi hoti, jis se viable trading opportunities kam ho jati hain. Is ke ilawa, significant movements ki kami ko market-driving news ki bhi kami se jor diya jata hai. Eurozone aur U.S. economic calendars relatively quiet rahe hain, jin mein koi substantial reports ya announcements market sentiment par influence dalne ke liye mojood nahi hain. Economic indicators, policy decisions, aur geopolitical events typically currency movements ko influence karte hain. Lekin jab in factors ki kami hoti hai, to market stagnate hone ka tend hota hai.

              Mushkilat ke bawajood, kuch strategies hain jo traders low volatility markets mein istemal kar sakte hain. Aik approach yeh hai ke trading horizon ko extend kiya jaye. Intraday movements par focus karne ke bajaye, traders longer-term trends par nazar rakh sakte hain. Is tareeqe se wo potential opportunities ko identify kar sakte hain jo shorter time frames mein zahir nahi hote. Swing trading bhi ek option hai, jisme positions ko kai dinon ya hafton tak hold kiya jata hai, aur yeh periods ke liye zyada suitable ho sakta hai.
               
              • #562 Collapse


                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.
                EUR/USD ne temporary tor par fresh political concerns ko purani continent pe aside kar diya, khaaskar woh jo weekend tak aa rahi thi. European Parliament elections ke baad, yeh revive hui. Ittafaq se, ECB Vice President De Gendos ne Wednesday ko yeh argue kiya ke bank ko "bohot dheere" se interest rate cuts ke sath aage barhna chahiye kiun ke inflation outlook ke bare mein kafi uncertainty hai. Din ka key event Federal Reserve ka interest rates ko mustaqil rakhna tha aur yeh suggest kiya ke rate cuts December tak shuru nahi honge. Unhone saal ke liye quarterly percentage point decline ka forecast diya, jo ke rising inflation estimates ko reflect karta hai. Saal ke aakhir ka inflation estimate 2.6% revise kiya gaya hai, jo pehle 2.4% tha. Discussions yeh suggest karti hain ke neutral interest rate pehle ke andazay se zyada ho sakta hai,

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                • #563 Collapse

                  Euro Wednesday ke trading session mein decline continue kar raha hai, aur 1.07 level ek key area ke tor par ubhar raha hai jo market ke liye ek potential support aur interest ka maqam hai. Yeh market ek crossroads par hai aur aakhirkar long-term decision lena hoga. Agar euro 1.07 level ke neeche break karta hai, to bhi 1.06 level significant rahega kyunki yeh neeche ek bara consolidation area represent karta hai.

                  Dusri taraf, agar euro reverse karta hai aur upar move karta hai, to 1.0750 level agla target ho sakta hai, aur uske baad 1.08 level. Yeh yaad rakhna zaroori hai ke euro tend karta hai ke yeh trade tumultuous aur noisy ho, jo in dono currencies ke liye typical hai. European Central Bank (ECB) ne already interest rates cut kiye hain, jabke Federal Reserve ne nahi kiye, jo ke current market rally ka sabab hai.

                  Akhirkar, yeh pair apne behind-the-scenes aur boisterous behavior ke liye mashhoor hain, isliye koi expensive moves expect nahi kiye ja rahe. Aam tor par, markets strongly react karte hain Federal Reserve ke developments par, to yeh zaroori hai ke central bank in Washington ke words aur actions ko monitor kiya jaye. In conditions ke wajah se, euro mein volatility continue hone ke chances hain, aur traders ko apni strategies ke liye short-term plans maintain karne chahiye.

                  Mukhtasir mein, euro significant support face kar raha hai 1.07 level par, aur further possible support 1.06 level par hai. Upside targets mein 1.0750 aur 1.08 include hain agar change hota hai. Pair ka often noisy behavior aur ECB aur Federal Reserve ke divergent monetary policies ka matlab hai ke traders ko central bank deals ke liye vigilant rehna hoga aur volatility ke liye prepare rehna hoga. Is case mein, short-term trading strategies appropriate hain kyunki market ki volatility tend karti hai
                  EUR/USD Friday ke subah apni position maintain karne mein struggle kar raha hai, aur 1.0700 ke neeche trade kar raha hai jab Thursday ko negative territory mein close hua. Agar 1.0670 support level break nahi hota, to pair aur neeche gir sakta hai. Market mein risk aversion ne Thursday ko US dollar (USD) ko rally karne mein madad ki, jiski wajah se EUR/USD ko aur losses face karne pare. Germany aur eurozone ke disappointing PMI data ne Friday subah euro ko support milne ko mushkil bana diya. Germany ka HCOB composite PMI June mein 50.6 par aa gaya, jo May mein 52.4 tha, jabke eurozone ka HCOB composite PMI 50.8 par aa gaya, jo pehle 52.2 tha. Dono figures analysts ki expectations se neeche the, jo suggest karta hai ke private sector business activity dheere dheere grow kar rahi hai. Dr. Cyrus de la Rubia, chief economist at Hamburger Commerzbank, ne kaha: "PMI survey results ke base par, HCOB PMI ECB ko July mein interest rates cut karne ka reason nahi deta."
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                  Dusri half mein, S&P Global US manufacturing aur services PMIs ka preliminary data publish karega. Agar US PMI report expectations se strong aati hai, to US dollar weekend par strong reh sakta hai, jis se EUR/USD decrease hoga. Dusri taraf, agar manufacturing ya services PMI data mein bara decrease aata hai, to dollar ke gains limit ho sakte hain
                     
                  • #564 Collapse

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                    EUR/USD H4 Chart Analysis (Roman Urdu)


                    Is chart mein EUR/USD currency pair ka 4-hour timeframe dikhaya gaya hai. Hum different technical indicators ka istemal kar ke price action aur possible future movements ko analyze karte hain.
                    Moving Averages


                    Is chart mein multiple moving averages dikhayi de rahi hain:
                    1. 50-period EMA (Exponential Moving Average): Green line
                    2. 100-period EMA: Blue line
                    3. 200-period EMA: Red line

                    Yeh moving averages trend direction aur support/resistance levels ko identify karne mein madad karte hain. Abhi dekhne se lag raha hai ke:
                    • Price ne 50, 100 aur 200 EMAs ke neeche trade kar rahi hai, jo ke bearish trend ko indicate karta hai.
                    • 50 EMA ne 100 aur 200 EMAs ko neeche ki taraf cross kar liya hai, jo ke ek negative signal hai aur further downside momentum ko suggest karta hai.
                    MACD (Moving Average Convergence Divergence)


                    Chart mein MACD indicator bhi include kiya gaya hai:
                    • MACD Line: Red line
                    • Signal Line: Dark red line
                    • Histogram: Bar graphs

                    MACD indicator momentum aur trend direction ko analyze karne ke liye use hota hai. Abhi MACD line aur signal line dono negative territory mein hain aur histogram bars bhi neeche hain, jo ke bearish momentum ko indicate karta hai.
                    Price Action
                    • Current price approximately 1.0690 par trade kar rahi hai.
                    • Chart mein humein lower highs aur lower lows ka structure nazar aa raha hai, jo ke bearish trend ka sign hai.
                    • Price 1.0680 ke support level ke kareeb trade kar rahi hai, agar yeh level break hota hai, to next significant support level 1.0650 ke aas paas ho sakta hai.
                    • Resistance levels 1.0730 aur 1.0780 ke kareeb hain, jo ke price ko upside pe rok sakti hain.
                    Conclusion


                    Is chart analysis ke basis par, EUR/USD pair abhi bearish momentum mein hai. Moving averages aur MACD ke bearish signals ko dekhte hue, price aur neeche ja sakti hai, especially agar 1.0680 ka support level break hota hai. Traders ko cautious rehna chahiye aur price action ko closely monitor karna chahiye, specifically support aur resistance levels par. Agar price neeche jati hai, to next support level 1.0650 ho sakta hai, lekin agar price rebound karti hai to resistance levels 1.0730 aur 1.0780 ko test kar sakti hai. Risk management aur updated market information ke sath trading decisions lena zaroori hai.
                       
                    • #565 Collapse

                      Certainly! Here's the rewritten text:

                      "Yesterday, sellers attempted to build on their positions, but with less vigor compared to the previous day, as buyers managed to halt their advance. Overall, the target for further decline is around 1.06666. Breaking and consolidating below this level would set the stage for a move towards 1.06484; further downward momentum could extend to 1.06. On the upside, buyers need to breach and establish support above 1.07197 to aim for 1.07526.

                      EURUSD H4:

                      1 - On the 4-hour chart, the euro continues to trend along the lower band, with both bands widening outward, signaling potential further downside. We'll observe if this signal develops in the coming week. Regarding fractals, breaking below the nearest downward fractal would pave the way towards the May 1 fractal at 1.06484. Conversely, breaking above the nearest upward fractal could push the price towards the June 19 fractal at 1.07526.

                      2 - The AO indicator shows increasing negative momentum; a stronger acceleration would reinforce the signal for a price decline. Crossing above zero and entering the positive zone would signal potential upward movement."

                      If you have any more questions or need further assistance, feel free to ask!

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                      • #566 Collapse

                        EURUSD H4

                        EUR/USD currency pair ki price action hamari analysis aur discussion ka muzoo hai. EUR/USD ke girawat ne ek kaafi wide price channel ke andar viksit hokar is price ko is medium-term corridor ke lower boundary tak pohanchaya hai. Yeh downward impulse haftay ke trading ke end tak mukammal ho sakta hai. EUR/USD ne is decline corridor ke support limit tak pohanch kar thora sa rebound shuru kiya, trading week ko 1.0701 ke aas paas band karte hue, jo ke price channel ke support boundary ke thoda oopar tha. Is technical situation ke maabainay se hum is pair ke liye mazeed price correction ka intezar kar sakte hain, khaas taur par is current corridor ke andar growing pullback movement ka. Haftay ke akhri din ke technical markup ke maabainay, EUR/USD ke levels medium-term price chart aur chaar ghantay ke chart par is tarah hain.

                        Kya aap is analysis ke kisi khaas pehlu ko mazeed gahrai se samajhna chahte hain?

                        Jab 1.07185 ke level ko tor kar, sellers ne price ko mazeed nichay le jane mein kamiyabi haasil ki aur buyers is level ke oopar qadam jamane ki koshish kar rahe hain. Lekin abhi tak, mojooda izafa zyada tar ek correction jaisa lag raha hai, jis ke baad hum price ke mazeed girne par ummeed kar sakte hain. Is manzarnama ko tasdeeq karne ke liye, 1.06666 ke level par breakdown aur consolidation dekhna zaroori hai. Agar yeh haasil ho jaye, to target level 1.06484 consider kiya ja sakta hai.

                        Agar sellers is level par inertia ke tehet mazbooti se qaim ho sakte hain, to mazeed price girawat ka intezar kiya ja sakta hai, 1.06 ke level tak. Kijun line ke neeche gir gaya aur bearish "dead cross" ko confirm karte hue, niche ki taraf rukh jari raha, haftawarana aur rozana formats mein bearish raasta mustaqil ban gaya.

                        EUR/USD ke liye qareebi ahem resistance 1.0731 par badal gaya hai, jo ke abr ki lower border par hai. Agar yeh tor diya jaye, to bull pullback ko upper abr border par 1.0791 tak extend kiya ja sakta hai, lekin yeh trading ke doran wazeh ho jayega. Ek mumkin pullback ke baad, price support zone 1.0629/1.0589 ki taraf mazeed girne ka jari rahega ya shayad is se zyada nichay.

                        Yeh taraqqi isharay deti hai ke market indicators aur intraday levels ko tawajjo se dekha jaye, taake EUR/USD ke rukh ko behtar tareeqe se samajh saken. Mojooda technical indicators aur price patterns nichle trend ke jari rahne ki taraf ishara dete hain, lekin tarah tarah ke upar neeche hone ke imkaanat bhi mojood hain. In factors par tawajjo dete hue, traders muttafiq faislay kar sakte hain, mauqe ko faida uthate hue apne karobari maqsad ko poora kar sakte hain.
                           
                        • #567 Collapse

                          EURUSD H4
                          EUR/USD currency pair ke daamon ki harkat par humara tajziya aur guftagu hone wala hai. EUR/USD ki kami aik maqbul wusat ke daire mein tajawuz hui hai, jo ke daam ko is darmiyan muddat ke rukh ki had se neechay le aaya hai. Is girawat ka tasalsul haftay ke trading ke ikhtitam tak mukammal ho sakta hai. EUR/USD ne is girawat ke daire ke support hadood tak pohanch kar thora sa rebound shuru kiya, trading week ko qareeb 1.0701 ke qareeb band karte hue, jo ke is price channel ke support se thora oopar tha.

                          Is takneeki halaat ko madde nazar rakhte hue, hum is tasawwur mein hain ke is pair ke daamon mein mazeed price correction ka imkaan hai, khaas tor par is current corridor ke andar aik barhne wali pullback movement. Hafta ke mukhtasir hone ke liye, EUR/USD ke medium-term price chart aur chaar ghanton ki tasawwurat ke mutabiq, yeh darj zeel levels nazar aate hain.

                          market risks effectively.

                          **Roman Urdu Translation:**

                          Daamon ne 1.07185 ke level ko tor kar neechay jaane ki koshish ki hai aur khareedne walay is level ke oopar qadam jamane ki koshish kar rahe hain. Lekin abhi tak, mojooda izafa zyada tar aik correction ki nazar aata hai, jis ke baad hum daamon ke daam mein mazeed girawat par ummid kar sakte hain. Is manzar ko tasdiq karne ke liye, aapko 1.06666 ke level par tootne aur is par mazbooti se qaim hone ki zaroorat hai. Agar yeh kamyaab ho gaya, to maqsad ke tor par 1.06484 ke level ko samjha ja sakta hai. Agar bechare, apni inhiraf ke zor par is level par mazbooti se qaim ho sakte hain, to daamon mein mazeed girawat ka intezar kiya ja sakta hai, jo 1.06 ke level tak ja sakta hai. Kijun line ke neeche girne aur bearish "dead cross" ko tasdeeq karne ke baad, neechay ki taraf rawani jaari rahi, haftawar aur daily formats mein bearish rukh-e-sarhad jari hai. EUR/USD ke liye qareebi ahem rukhawat cloud ke lower border par 1.0731 ke qareeb hai. Agar yeh tor diya gaya, to bulls apne pullback ko upper cloud border tak 1.0791 tak barha sakte hain, lekin yeh trading ke dauran wazeh ho jayega. Aik mumkin pullback ke baad, daam neechay ki taraf rawani jari rahegi support zone 1.0629/1.0589 ke qareeb ya is se bhi neechay. Is taraqi ko samajhna is zaroorat ko batata hai ke market ke indicators aur intraday levels ko tawajjo se dekha jaye takay EUR/USD ke rukh ko kamyabi se samajha ja sake. Mojooda takneeki indicators aur daamon ke patterns neche ke rukh ko jari rakhne ki taraf ishara dete hain, lekin istarhan ke harkaton aur sudharon ki zaroorat ho sakti hai. In factors par tawajjo se rehkar traders maqbool faislay kar sakte hain aur market ke risk ko behtar tareeqe se manage kar sakte hain.
                             
                          • #568 Collapse

                            Eurusd ne pichle Jumme ko trading mein phir se girawat dekhi. France aur Germany ke poor PMI data release hone se European Union par pressure badh gaya, aur yeh pressure aur bhi intense ho gaya jab pichle Jumme shaam ko US PMI data release hua. US PMI data ke positive results se dollar mazboot hua, jis ne euro par phir se pressure dala. Yeh pressure 1.0667 ki support line tak pahunch gaya. Is haftay market ke close hone tak, price abhi bhi 1.0667 ke support area mein thi.

                            Eurusd ke agle movement ki prediction agar fundamentals se dekha jaye to, Eurusd ka agla movement ya Monday ke liye abhi bhi bearish hone ka potential hai, kyunki agle Monday ko koi high impact economic data release nahi hoga, isliye market pichle Jumme ko release hui PMI data ko response de sakta hai as the driving force. To, Eurusd ke girne ka potential abhi bhi hai kyunki kal ka US PMI data kaafi acha tha. Wahi agar technically dekha jaye, to Eurusd ka agla movement bhi girne ka potential rakhta hai, kyunki price abhi bhi SMA 50 line ke neeche hai aur SMA 50 aur 200 lines bearish position mein hain. Sellers ki power abhi bhi kaafi strong hai aur trend bias abhi bhi bearish hai, jo Eurusd ke aur girne ka support karta hai.
                            Upar diye gaye analysis aur predictions ke sath, Eurusd ka agla movement ab bhi bearish/down hone ka potential rakhta hai aur hum future mein Eurusd mein trading ke liye selling opportunities dekh sakte hain. Price ke 1.0667 support line ko break karne ka intezar ya price ka SMA 50 line 1.0722 tak correct hone ka intezar karna, trading ke liye ek achi sell entry opportunity ho sakti hai. Agar price phir se upar jaye aur SMA 50 line 1.0722 ko break kar le, to ehtiyat baratni chahiye. Kyunki agar price SMA 50 line ko break kar le, to price SMA 200 line 1.0815 tak ja sakti hai.

                            Agle Monday ke liye Eurusd trading opportunities yeh hain:

                            **Sell Opportunities:**
                            1. Hum sell opportunity le sakte hain agar price gir kar 1.0667 support line ko break kar de. Profit target 1.0602 support line par. Stop loss kuch pips upar 1.0667 support line se.
                            2. Agla sell opportunity tab le sakte hain jab price upar jaye aur 1.0722 SMA 50 line par price rejection form ho. Profit target 1.0602 support line par. Stop loss kuch pips upar 1.0722 line se.
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                            **Buy Opportunity:**
                            1. Hum buy opportunity le sakte hain agar price 1.0667 aur 1.0602 support line par rejection show kare. Profit target 1.0722 SMA 50 line aur resistance line ya SMA 200 at 1.0815 par. Stop loss kuch pips neeche 1.0667 aur 1.0602 support lines se.
                            2. Agla buy opportunity tab le sakte hain agar price phir se upar jaye aur SMA 50 line 1.0722 ko break kar le. Profit target resistance line ya SMA 200 at 1.0815 par. Stop loss kuch pips neeche 50 SMA line 1.0722 se
                             
                            • #569 Collapse

                              ۔ Eurodollar currency pair lagta hai ke kal ke bearish movement ko continue karega. Relative Strength Index jo ke 50.00 ke qareeb hai, yeh suggest karta hai ke bears ziada prices ko neeche dhakelne ki koshish karenge aane wale trading periods mein. Agar price accordingly move karti hai, to mujhe umeed hai ke 1.0800 ke psychologically significant support ke neeche break hoga, aur possible targets 1.0760 aur 1.0730 pe hain. In levels ke ooper 1.0700 ka psychologically significant support level hai. Agar bears 1.0800 ke neeche move karne mein nakam rehte hain, to quotes north ki taraf wapas jaane ke chances hain. Jab aisa hota hai, to mujhe umeed hai ke quotes 1.0850 level ki taraf jaayenge. Agar yeh level successfully cross ho gaya to price mark 1.0890 expose ho sakti hai. Iske aage 1.0900 aur 1.0930 ke levels hain. Abhi, daily trading diagram yeh dikhata hai ke risks downside ki taraf hain aur mein trading opportunities is direction mein dekhna pasand karunga. Aane wale periods mein pair ko sell karna ek acha faisla hoga
                              Yeh sab US CPI aur FOMC event ke baare mein tha Wednesday ko, jab ke EUR/USD ne temporarily naye political concerns ko old continent par aside rakh diya tha, khaaskar weekend ke waqt. European Parliament elections ke baad, yeh dobara zinda ho gaya. Is doran, ECB Vice President De Gendos ne Wednesday ko argue kiya ke bank ko interest rate cuts ke saath "bohot aahista" aage badhna chahiye due to considerable uncertainty around the inflation outlook. Us din ka key event yeh tha ke Federal Reserve ne interest rates ko steady rakha aur yeh suggest kiya ke rate cuts December tak shuru nahi honge. Unhone saal ka quarterly percentage point decline forecast kiya, jo ke rising inflation estimates ko reflect karta hai. Year-end inflation estimate ko revise karke 2.6% kar diya gaya, jo ke pehle 2.4% thi. Discussions se yeh pata chalta hai ke neutral interest rate pehle estimate se zyada ho sakta hai, isse 2024 ke end pe apne level ke ooper ek quarter of a percentage point ho sakta hai
                              Ham yeh bhi dekh rahe hain ke kabhi kabhi weak dollar euro ko greenback ke against support karta hai. Channel ke us paar, cable March peak ko test karne ke liye tayar hai despite electoral turmoil, kyunke UK mein possible Labor victory ko sterling aur British assets ke liye ek unusually positive outcome ke tor par dekha ja raha hai. Switzerland mein, further dollar weakness franc ke losses ko extend nahi kar sakta – jo ke Swiss National Bank (SNB) ke inflation ke khilaf fight ke liye necessarily bura nahi hoga
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                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #570 Collapse

                                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
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