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  • #1606 Collapse

    Kal, Jumme ko EurUsd market pair par trading ka waqt phir se buyers ke control mein tha, jo ke support area ko 1.0785-1.0787 ke daam par banaye rakhne mein kamiyab rahe. Is se buyers ko pura control mil gaya tha aur unhone price ko upar le jaane mein madad ki, bullish pressure barhane se.

    Daily time window par Moving Average indicator ka muraa karte huye, yeh dekha ja sakta hai ke buyers price ko upar le jane mein kamiyab rahe hain, Yellow MA 200 area ko paar karte hue ek mazboot bullish candlestick bana rahe hain. Yeh is baat ka indhakaar hai ke EurUsd market pair phir se bullish trend mein hai aur agle hafte mein target strong seller supply resistance area 1.0938-1.0940 ki taraf hai.

    Agle Monday ko trading mein bullish trend ka barhna ummeed hai, jab tak buyers zyada entry karte rahenge aur apne bullish momentum ko banaye rakhte hain. Kal market close dekhte hue, sellers ne resistance area ko maintain kiya, toh yeh mumkin hai ke pehle bearish correction aaye jo ke price ko 1.0897-1.0895 support area ko test karne ke liye le jayega. Agar yeh support area bhi break hota hai, toh price aur kamzor ho sakti hai aur agla target buyers ke demand support area 1.0875-1.0872 hoga.

    Nateejah:

    Buy trading options tab kiye ja sakte hain jab price seller ke resistance area ko successfully break kare, pending buy stop order ko 1.0920-1.0925 ke daam par lagakar aur TP area ko 1.0943-1.0945 ke daam par rakhen.

    Sell trading options tab kiye ja sakte hain jab price buyer ke support area ko successfully break kare, pending sell stop order ko 1.0897-1.0895 ke daam par lagakar aur TP area ko 1.0875-1.0872 ke daam par rakhen.
       
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    • #1607 Collapse

      EurUsd Market Pair Ka Daily Analysis

      Kal, Jumma ko EurUsd market pair ke trading time window mein buyers ne phir se ghalib rahe jo ke support area 1.0785-1.0787 par control banaye rakha. Yeh cheez ne price ko poori tarah se buyers ke qaboo mein rakha, jo ke price ko kafi upar le gaye aur bullish pressure ko barhawa diya.

      Daily time window mein Moving Average indicator ka istemal karte hue, yeh dekha gaya ke price ya candle ko buyers ne upar ki taraf move karwaya, Yellow MA 200 area ke upar le jaate hue aur ek bohot solid bullish candlestick banaya. Yeh is baat ka ishara hai ke EurUsd market pair wapas apne bullish trend mein aa gaya hai aur agla target strong seller supply resistance area 1.0938-1.0940 ko dekhta hai jo ke agle hafte ke trading mein ho sakta hai.

      Agle Monday ke trading ke dauran bullish momentum barqarar rehne ki umeed hai agar buyers mazeed enter ho kar apne bullish momentum ko maintain rakh sakein. Market close ko dekhte hue kal, sellers ne resistance area ko maintain rakha, is baat ka imkaan hai ke pehle bearish correction hoga aur price support area 1.0897-1.0895 ko test karega, jo agar successfully penetrate ho jaye, to price mazid kamzor ho sakti hai aur agla target buyer demand support area 1.0875-1.0872 hoga.

      Nateeja:

      Buy trading options tab ki ja sakti hain agar price successfully seller's resistance area ko penetrate kar jaye, pending buy stop order area 1.0920-1.0925 par rakh kar, TP area 1.0943-1.0945 par set karen.

      Sell trading options tab ki ja sakti hain agar price successfully buyer's support area ko penetrate kar jaye, pending sell stop order area 1.0897-1.0895 par rakh kar, TP area 1.0875-1.0872 par set karen.
       
      • #1608 Collapse

        EurUsd market pair ka daily time window ka tajziya:

        Kal, Jumme ke din, EurUsd market pair mein buyers ne phir se dominance banaye rakha. Unhon ne 1.0785-1.0787 ke support area ko banaye rakha, jisse price puri tarah buyers ke control mein rahi aur bullish pressure ko barhawa mil gaya.

        Daily time window par Moving Average indicator ke zariye dekha jaaye to, price ya candle ko buyers ne upar le jana continue rakha aur Yellow MA 200 ke area ko paar kar diya, jisse ek mazboot bullish candlestick ban gayi. Yeh indicate karta hai ke EurUsd market pair phir se bullish trend mein hai aur agle hafte ke trading mein next target strong seller supply resistance area 1.0938-1.0940 ki taraf ho sakta hai.

        Agle Monday ko trading mein bullish strength barhne ki umeed hai, agar buyers apna bullish momentum barqarar rakh sakein. Kal ke market close ko dekhte hue, sellers ne resistance area ko maintain kiya, isliye pehle bearish correction hone ke imkaan hai. Yeh correction 1.0897-1.0895 ke support area ko test karne ka target ho sakta hai. Agar yeh area bhi penetrate ho jaye, to price aur kamzor ho sakti hai aur agla goal buyer demand support area 1.0875-1.0872 ho sakta hai.

        Nateejah:

        Buy trading options tab kiye jaa sakte hain jab price seller's resistance area ko successfully penetrate kar le. Iske liye pending buy stop order 1.0920-1.0925 ke area mein place karein aur TP area 1.0943-1.0945 rakhein.

        Sell trading options tab kiye jaa sakte hain jab price buyer's support area ko successfully penetrate kar le. Iske liye pending sell stop order 1.0897-1.0895 ke area mein place karein aur TP area 1.0875-1.0872 rakhein.
           
        • #1609 Collapse

          EUR/USD ANALYSIS 3 JULY 2024

          EUR/USD ki qeemat mein izafa Non-Farm Payroll ke news ke baad dekha gaya, aur iske baad buyers ki taqat ne qeemat ko dheere-dheere upar push karna shuru kiya. Agar hum 4-hour chart ko dekhen, to humara main maqsad yeh andaza lagana hai ke kya qeemat uptrend ko barqarar rakh sakegi. Is hafte ka market ka jor lagbhag Downtrend ki taraf tha, jab tak yeh 100-period simple moving average zone ko paar nahi kar gaya. Kal raat ke drastic izafe ke bawajood, is hafte ki trading bullish candlestick ke sath close hui hai. Ab market ki qeemat 1.0910 par ruk gayi hai aur lagta hai ke yeh pichle mahine ke uptrend ko continue kar sakti hai.

          Market ka momentum barhne ki taraf hai. Agar qeemat 100-period simple moving average zone ke upar rehti hai, to yeh ek nishani ho sakti hai ke uptrend jari rehne wala hai. Mera khayal hai ke agle hafte traders ko strong fundamentals ka intezaar karna chahiye, taake candlestick bullish trend ko continue kar sake. Pichle hafte ke shuruat mein EUR/USD pair downtrend mein tha, lekin kal raat ke drastic izafe ke bawajood, agle hafte upar ki taraf bhi ja sakta hai.

          Agli trading reference ke liye, main tajwez deta hoon ke jaldi se position open na karein. Technical taur par, trading plan yeh kehta hai ke jab tak qeemat 100-period simple moving average zone ke upar hai, buy position kholni chahiye. Stochastic indicator 80 level ko touch kar raha hai jo ke market trend ke strong bullish side ka izhaar hai. Mera andaza hai ke qeemat kuch waqt ke liye 1.0882 ke aas-paas niche aa sakti hai, phir uptrend continue kar sakti hai. Behtar hai ke jab tak koi aur bullish signal na mile, tab tak intezaar karein. Market upar ki taraf move kar rahi hai, lekin aapko ehtiyaat rakhni chahiye kyunki qeemat reverse ho kar bearish side bhi ja sakti hai.
           
          • #1610 Collapse

            **EUR/USD Technical Analysis**

            Ab jab ke price weekly pivot 1.0820 aur lower channel lines ke upar trade kar rahi hai, yeh support area mein hai. Is pair ka ek ascending pattern hai jahan price price channels mein trading kar rahi hai, jo ke upward trend ko represent karta hai jo pichle do hafton se chal raha hai. Jab price gir gayi aur weekly pivot level tak pahuncha, ab price ko upar uthane ka support mil raha hai. Yeh mumkin hai ke yeh weekly resistance level 1.0850 tak pahunche aur phir 1.0790 level tak bhi is haftay. Is liye, yeh pair kharidne ka behtareen waqt lag raha hai. Agar price girti hai aur dono price channels aur weekly pivot level ko break kar deti hai, toh bechnay ke mauqe ho sakte hain, kyun ke price decline weekly support level 1.0790 tak pahuncha sakti hai. EUR/USD price pichle hafte lower-than-expected US inflation numbers ke baad recover hui, aur yeh 1.0855 resistance level tak pahunchi aur hafte ke aakhri din 1.0830 ke aas-paas close hui. Aaj ke din, price sideways aur ascending pattern mein move kar rahi hai, jo ke pichle do hafton ka price trend hai.

            Ab price abhi bhi red channel ke andar trade kar rahi hai, jo ke sirf pichle hafte ke price movement ka direction represent karta hai, aur lower channel line price ko rise ka support de sakti hai kyun ke resistance levels 1.0885 hain, jo ke rise ka pehla target hai. Yeh price is hafte ke trading ke dauran in levels tak pahunchnay ki ummeed hai, sath hi 1.0845 bhi. Agar price sideways move karti rahi aur red channel se bahar nikalti hai, toh hume downward correction wave dekhne ko mil sakti hai, kyun ke weekly pivot level 1.0805 us waqt price ke kareeb support level hoga.
             
            • #1611 Collapse

              **مارکیٹ کا جائزہ**

              EURJPY جوڑا اس وقت D1 ٹائم فریم پر مضبوط مچھلی کے رجحان کا مظاہرہ کر رہا ہے۔ قیمت کی کارروائی مسلسل کم ہائیز اور کم لووز بنا رہی ہے، جو ایک پائیدار نیچے کی طرف رجحان کی نشاندہی کرتی ہے۔

              **سپورٹ اور مزاحمت کی سطحیں**

              - **فوری سپورٹ:** 159.81 کی سطح ماضی میں مضبوط سپورٹ کے طور پر کام آئی ہے، لیکن موجودہ مچھلی کے رجحان کے پیش نظر، یہ طویل عرصے تک برقرار نہیں رہ سکتی۔ اس سطح کے نیچے بریک ہونے سے نیچے کی طرف رجحان تیز ہو سکتا ہے۔
              - **فوری مزاحمت:** 164.95 کی سطح مزاحمت کے طور پر کام کر رہی ہے، جو کسی بھی قابلِ ذکر اوپر کی حرکت کو روک رہی ہے۔ اس سطح کے اوپر بریک آؤٹ ممکنہ رجحان کی تبدیلی کا اشارہ دے سکتا ہے، لیکن مجموعی مچھلی کے جذبات کے پیش نظر، یہ کم ممکن ہے۔

              **اشارے**

              - **RSI (14):** فی الحال 14.95 پر ہے، جو oversold حالت کی نشاندہی کرتا ہے۔ یہ قریب کے مستقبل میں پل بیک یا رجحان کی تبدیلی کی نشاندہی کر سکتا ہے۔ تاہم، مضبوط نیچے کی طرف رجحان کے پیش نظر، کوئی بھی باؤنس مختصر مدت کے لیے ہو سکتا ہے۔
              - **MACD (12,26,9):** MACD لائن سگنل لائن کے نیچے ہے، اور دونوں لائنیں منفی علاقے میں ہیں۔ یہ مچھلی کے رجحان کی تصدیق کرتا ہے اور مضبوط نیچے کی طرف رجحان کو ظاہر کرتا ہے۔

              **آرڈر بلاکس**

              - **ممکنہ آرڈر بلاک:** 159.81 کی سپورٹ سطح کے ارد گرد ایک ممکنہ آرڈر بلاک موجود ہے۔ تاہم، مضبوط مچھلی کے دباؤ کے پیش نظر، یہ آرڈر بلاک ٹوٹنے کے خطرے میں ہو سکتا ہے۔

              **خریداری اور فروخت کے بہترین علاقے**

              - **خریداری:** مضبوط مچھلی کے رجحان کے پیش نظر، خریداری کے مواقع محدود ہیں۔ اگر قیمت 159.81 کی سپورٹ سطح پر واپس آتی ہے اور مضبوط بلش ریورسل سگنلز ظاہر کرتی ہے، جیسے کہ بڑھتی ہوئی حجم کے ساتھ بلش اینگلفنگ پیٹرن، تو خریداری پر غور کیا جا سکتا ہے۔ تاہم، یہ ایک اعلیٰ خطرے کا منظرنامہ ہے۔
              - **فروخت:** اگر قیمت 159.81 کی سپورٹ سطح کے نیچے ٹوٹ جاتی ہے، تو فروخت پر غور کیا جا سکتا ہے، جو نیچے کی طرف رجحان کی تصدیق کرے گا۔ خطرے کے انتظام کے لیے اسٹاپ لاس آرڈر حالیہ سوئنگ ہائی کے اوپر رکھا جانا چاہیے۔

              **اضافی غور و فکر**

              EURJPY جوڑا فی الحال مضبوط نیچے کی طرف رجحان میں ہے، اور کوئی فوری علامات تبدیلی کی نہیں ہیں۔ تاجروں کو طویل پوزیشنز پر غور کرتے وقت احتیاط برتنی چاہیے اور ممکنہ شارٹ سیلنگ کے مواقع پر توجہ مرکوز کرنی چاہیے۔ تجارتی درستگی کو بہتر بنانے اور سرمایہ کی حفاظت کرنے کے لیے اضافی تکنیکی اشارے اور خطرے کے انتظام کی حکمت عملیوں کا استعمال کرنا اہم ہے۔ Click image for larger version

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              • #1612 Collapse


                EUR/USD Trading Opportunities


                EUR/USD ke price fluctuations ka analysis karte hain. EUR/USD ka trend ab shift hota nazar aa raha hai, jo ke downward trend ke khatam hone ka ishara de raha hai. Iske bawajood, buying interest ab bhi mazboot hai, aur mujhe lagta hai ke ek zaroori correction aayegi. Agar price 1.0851 tak retrace hoti hai, to yeh theek rahega, lekin perspectives alag ho sakti hain. Hal hi mein, kharab labor market data aur unemployment ki badhoti ne dollar ko kamzor kiya hai, jo ke Federal Reserve ko easing policies par gaur karne ke liye majboor kar sakta hai. Is waqt, targets 1.0943 ke upar aur shayad 1.101 ki taraf set kiye ja sakte hain. Mera focus abhi bhi buying side par hai; isliye, main 1.0851 ke area mein market ke pullback par buy karne ka plan bana raha hoon.

                Chart Analysis:
                • Downward Trend Analysis: Downward trend continued raha, sellers ne 1.0951 se bearish structure banaya. Is level par peak ne bearish correction ko shape diya. Minor pauses 1.0891 aur 1.0841 ke aas-paas dekhi gayi. Hourly chart par EUR/USD ne 1.080 ke qareeb sideways movement kiya, jahan buyers ne 1.0846-51 ke resistance levels ko resist kiya. Bears ne in levels ke upar breakout ko rok diya.
                • Recent Market Behavior: Friday ko, euro ke recovery ke doubts khatam ho gaye jab ek upward breakout stable growth ke saath hua. Buyers ne 1.081 par support banaye rakha aur 1.0781 ke low ko defend kiya, jis se bullish traders ne positions build ki. Side channel se breakout ne bulls ko week ko positive closing dene mein madad kiya, aur aage ki upside potential 1.0936 tak retest ki taraf dekhte hain.
                • Bullish Shift: Downward-sloping channel ke break hone se dynamics shift hone ka ishara mil raha hai, jo ke EUR/USD ke bullish trend ki taraf indicate karta hai. Immediate target 1.0951 level ka retest hai, aur continued growth ke liye possibility 1.1010 figure tak bhi ho sakti hai, chahe directly ya minor pullback ke baad.
                Trading Strategy
                1. Buy Zone: Agar market 1.0851 ke area mein pullback karti hai, to yeh buying opportunity provide kar sakti hai. Is area mein buy karna potential upside ke liye achi strategy ho sakti hai.
                2. Sell Points: Agar bearish pressure wapas aata hai aur price 1.0851 se niche girti hai, to selling opportunities consider ki ja sakti hain, lekin current trend bullish hai, isliye selling ko caution ke saath handle karna chahiye.
                3. Resistance and Targets: Current resistance levels 1.0943 aur 1.1010 hain. Agar price in levels ko break karti hai, to aage ki growth ki possibilities hain. Retest aur minor pullback ke baad bhi growth potential hai.
                4. Market Monitoring: Market ko closely monitor karein aur technical indicators ki madad se informed decisions lein. Economic data aur market sentiment ko bhi consider karein, jo trading decisions ko influence kar sakte hain.

                Yeh strategy aur analysis aapko EUR/USD ke price movement ko samajhne aur trade opportunities ko identify karne mein madad karega. Trading decisions lete waqt careful planning aur risk management zaroori hai.



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                • #1613 Collapse


                  EUR/USD Weekly Analysis: Market Reactions and Technical Outlook

                  Pichle hafte EUR/USD pair mein significant movement dekha gaya, jo ke US ke disappointing economic data aur Europe mein political scenarios ke wajah se hua. Friday ko, pair ek bullish channel mein chala gaya, aur 1.0910 mark ko briefly cross kiya. Yeh spike tab aaya jab weaker-than-expected US economic figures ne economy slowdown ka ishara diya, aur Federal Reserve ke possible aggressive rate cuts ke speculation ko janm diya. Is market sentiment shift ke wajah se investors ne safe-haven US Dollar se door hote hue Euro mein optimism inject kiya.

                  France Ki Political Developments Ka Euro Par Asar

                  France mein political developments ne market ko aur complex banaya hai. Recent reports ke mutabiq, electoral races se substantial withdrawal dekha gaya hai, jahan 214 se 218 candidates ne back-off kiya hai. Yeh move Marine Le Pen ki strategy ka hissa hai, jo National Assembly mein absolute majority secure karna chahti hai, 289 seats ki target par hain. Agar yeh successful hoti hain, to woh individual MPs ke sath negotiate karengi coalition banane ke liye agar 270 deputies secure kar leti hain. Yeh political maneuvers Euro traders ke liye closely monitored hain, jo ke other key indicators ko bhi observe kar rahe hain.

                  European Economic Data Aur Market Volatility

                  Broad European context mein, Euro traders aane wale German economic data ko closely dekh rahe hain, jo ke previous decline ke baad May mein 0.5% recovery expected hai. UK ke Parliamentary Elections ke potential impact bhi radar par hai, jo market volatility ko introduce kar sakta hai aur EUR/USD dynamics ko influence kar sakta hai.

                  EUR/USD Ka Technical Analysis

                  Technical front par, EUR/USD pair ne notable rally experience ki, aur week ke end par 1.0929 tak peak kiya. Yeh surge largely French elections ke first round ke wajah se hui, jo Euro ko boost mili. Lekin, pair baad mein approximately 1.0780 tak retreat kar gayi aur phir 1.0930 tak rebound kiya. Yeh volatility shifting market sentiment ko reflect karta hai amidst ongoing geopolitical developments.

                  Daily chart dikhata hai ke momentum bullish shift ho raha hai, jahan Relative Strength Index (RSI) increasing upward pressure ko indicate kar raha hai. Key resistance levels 1.0949 hain, jo ke 2024 high se low tak ka 38.2% Fibonacci retracement hai, aur 100-day moving average bhi. Agar 1.0930 ke upar decisive close hota hai, to yeh further upward movement ko signal kar sakta hai, jo 1.0950 (50% Fibonacci level) ya phir 1.0933 (61.8% Fibonacci level) tak bhi ja sakta hai.

                  Summary

                  EUR/USD pair economic data, political developments, aur technical indicators ke blend se influence ho raha hai. Traders ko in factors par nazar rakhni chahiye jab wo market navigate karte hain, resistance levels aur momentum shifts ko dekhte hue.


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                  • #1614 Collapse




                    EUR/USD Technical Analysis: Weekly Outlook

                    Aaj ki analysis mein, hum EUR/USD currency pair ki weekly movements par nazar daalenge. Sirf ek Friday ke growth candle ne news ke zariye EUR/USD ki weekly picture ko bulls ke favor mein badal diya. Is growth candle ne bullish engulfing pattern ko highlight kiya hai, jo ke pin bar ki tarah lag raha hai, lekin is case mein yeh pattern further growth ke signal ke liye bana hai.

                    Current Market Sentiment and Expected Movement

                    Abhi ke situation ko dekhte hue, mujhe lagta hai ke pair ki upward movement continue karegi. Agle hafte hum 1.0950 aur 1.1000 ki taraf price movement expect kar sakte hain. Yeh upward movement technical indicators ke saath align karti hai jo ke bullish trend ko support karte hain. Lekin, political factors ko bhi nazarandaz nahi kiya ja sakta. Middle East mein abhi bhi instability hai, jo ke market sentiment ko affect kar sakti hai.

                    Technical indicators aur price action ki madad se, humne observe kiya ke EUR/USD ne apni resistance levels ko break kiya hai aur ab yeh pair bullish momentum ke sath trade kar raha hai. Bullish engulfing pattern ne price ke upward movement ko confirm kiya hai, lekin market conditions ko dekhte hue, mujhe lagta hai ke humein buying aur selling ke decisions ko carefully consider karna chahiye.

                    Resistance and Support Levels

                    Resistance level 1.1000 par humne dekha ke price ne pehle bhi attempt kiya hai. Agar price wahan tak pahunche, to main selling consider karunga. Yahan se selling ki wajah yeh hai ke 1.1000 ek strong resistance level hai, aur agar price is level ko break nahi karti, to correction ya pullback ka potential increase ho sakta hai.

                    Buying ki situation thodi complicated hai, kyunki pullback ka risk hai. Agar pullback hota hai, to iske extent ka andaza lagana mushkil hai. Pullback ke dauran buying ka decision lene ke liye, mujhe price action aur technical indicators par closely nazar rakhni hogi.

                    Technical Indicators and Market Conditions

                    Technical indicators, jaise ke Moving Averages, RSI, aur MACD, bullish trend ko support karte hain. Yeh indicators price ki upward movement ko confirm karte hain aur suggest karte hain ke short-term mein growth continue ho sakti hai. Lekin, hamesha market ke broader context ko samajhna zaroori hai.

                    Conclusion

                    Filhal ke situation mein, main selling ke liye 1.1000 level ko target kar raha hoon. Agar price is level ko touch karti hai, to main selling ka option consider karunga. Buying ke liye, mujhe market ki movement aur technical indicators par nazar rakhni hogi. Pullback ka extent uncertain hai, isliye main buying ke decision ko situation ke hisaab se adjust karunga.

                    Yeh analysis kehti hai ke current technical setup bullish hai, lekin market conditions aur political factors ko bhi dhyan mein rakhna zaroori hai. Aapko bhi apne trading decisions mein careful approach rakhni hogi aur market ki fluctuations ko closely monitor karna hoga.




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                    • #1615 Collapse


                      Charts Mein Kahani: EUR/USD

                      Aaj hum EUR/USD currency pair ki price action analysis par nazar daalenge. Jab price movement dheere hoti hai, to hum pehle se kuch predictions kar sakte hain, khaaskar Murray's levels ke hawale se, jo stable rahte hain agar unhein dobara calculate na kiya jaye. H1 chart par, EUR/USD pair ne Friday ko 1.0926 par resistance ka samna kiya aur iske baad thoda pullback shuru kiya. Macro diver jaldi saamne aaya aur Bollinger Bands ab bhi upward trend ko indicate karte hain, jo ke Murray level 1.0957 ki taraf target kar rahe hain. Aane wale Monday ko, naye local highs ko reach karne ki koshish ki ja sakti hai, jiska target resistances 1.0942-1.0957 ke aas-paas ho sakta hai. Iske baad ek potential correction bhi ho sakta hai. Yeh situation ek aur expansion ki taraf bhi le ja sakti hai, jo aam tor par significant 50-76% pullbacks ke saath hoti hai, kabhi-kabhi naye lows tak bhi pahunchti hai. Typically, aise speculative price movements ko kam se kam 51% tak correct kiya jata hai. Isliye, ek decline support level 1.0865 tak dekhne ko mil sakti hai, aur further drops 1.0835 aur 1.0804 tak bhi ho sakti hain, lekin yeh ek ya do din ke andar nahi hoga.

                      EUR/USD Pair Ka Momentum Aur Resistance Levels

                      EUR/USD pair ne kal bullish momentum experience kiya, trading 1.0901 ke upar hui aur week ko positive ending ki taraf aim kiya. US dollar ko disappointing employment data ke wajah se significant selling pressure ka samna karna pada, jisne EUR/USD ki growth ko support kiya. EUR/USD pair ek strong resistance zone ka samna kar raha hai jo 1.0811 aur 1.0821 ke beech hai. Agar pair is range ke upar stabilize hota hai aur ise support mein convert kar deta hai, to aage ke resistance levels 1.0851 (9-day moving average) aur 1.0881 ho sakte hain. Niche ki taraf, pehla support 1.0781 par hai, jiske baad 1.0741 aur 1.0701 aate hain. Bulls lead kar rahe hain aur pennant pattern ya to continuation ya reversal signal de sakta hai.

                      Price Movement Ki Potential Scenarios

                      Current levels se, EUR/USD pair breakout kar sakta hai aur 1.0991 tak rise kar sakta hai, ya fir niche ki taraf gir sakta hai, 1.0871 aur phir 1.0841 tak. Lekin, preferred scenario continued growth hai, kyunki price downward channel se bahar aa chuki hai aur H4 trend upward ho chuka hai.

                      Yeh bullish momentum aur resistance levels ka analysis market ki current situation ko samajhne mein madad karta hai. Agar price 1.0930 ke upar close hoti hai, to yeh further upward movement ka signal ho sakta hai, jisme potential targets 1.0950 aur 1.1010 tak ho sakte hain. Lekin, agar price pullback karti hai, to 1.0871 aur 1.0841 jaise lower levels bhi consider kiye ja sakte hain. Traders ko chahiye ke woh in resistance aur support levels ko dhyan mein rakhte hue apni trading decisions lein aur market ke changes ko closely monitor karein.

                      Yeh analysis aapko EUR/USD pair ke potential movements aur trading opportunities ko samajhne mein madad karega, aur aapko behtar trading decisions lene ke liye zaroori insights provide karega.




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                      • #1616 Collapse



                        EUR/USD Currency Pair Ki Challenging Environment

                        EUR/USD currency pair ek challenging environment ka samna kar raha hai, jahan iska upward trajectory impulse resistance se roka gaya hai. Is term ka matlab hai wo level jahan currency pair ko upar move karne mein mushkil hoti hai, selling pressure ya buying interest ki kami ke wajah se. EUR/USD ko is resistance ko overcome karne aur apni upward path ko continue karne ke liye ek substantial catalyst ki zaroorat hai.

                        Economic Statistics Ka Role

                        Ek aisa catalyst significant economic statistics ya Eurozone se positive data ho sakta hai. Economic indicators jaise GDP growth, employment rates, inflation figures, aur consumer confidence reports currency values ko influence karte hain. In areas mein positive data ek strong economy ka signal deti hai, jo investor confidence ko boost kar sakta hai. Jab investors Eurozone economy ko strong dekhte hain, to wo euros kharidne lagte hain, jo currency ki value ko US dollar ke muqablay mein barhata hai.

                        Examples of Economic Indicators

                        Agar Eurozone higher-than-expected GDP growth report karta hai, to iska matlab hai ke economy healthy rate par expand ho rahi hai. Isse investments aur spending barh sakti hai, jo economic activity ko stimulate karega. Similarly, agar unemployment rates girti hain, to iska matlab hai ke labor market stronger hai, jahan zyada log employed hain aur wages earn kar rahe hain, jo consumer spending aur overall economic growth ko barhata hai.

                        Inflation figures bhi critical hain. Agar inflation European Central Bank (ECB) ke target range mein barh rahi hai, to future mein tighter monetary policy ki expectations ho sakti hain. Higher interest rates foreign investment ko attract karte hain, jahan investors better returns ki talash mein hote hain, aur isse euro ki demand barhti hai. Consumer confidence reports bhi important hain. High consumer confidence ka matlab hai ke consumers zyada paise spend karne ke liye tayar hain, jo economic growth ko drive karta hai.

                        Other Influencing Factors

                        In economic indicators ke ilawa, political stability, trade balances, aur global economic conditions bhi EUR/USD pair ko influence karte hain. Eurozone mein political stability ek conducive environment create kar sakti hai economic growth ke liye, jabke favorable trade balance yeh indicate karta hai ke region zyada export kar raha hai jitna import kar raha hai, jo euro ke liye positive ho sakta hai.

                        US Dollar Ka Role

                        Lekin, US dollar bhi is dynamic mein significant role play karta hai. Agar US economy weakness ka sign dikhati hai ya Federal Reserve interest rates par dovish stance apnata hai, to dollar ki depreciation ho sakti hai, jo euro ko relatively stronger bana sakti hai. Iske opposite, agar US mein strong economic performance ho ya Federal Reserve hawkish monetary policy apnata hai, to dollar strengthen ho sakta hai, jo EUR/USD pair par additional pressure daal sakta hai.

                        Conclusion

                        Aakhir mein, EUR/USD pair ko apni current impulse resistance ko break karne ke liye strong economic performance aur Eurozone se positive data ki zaroorat hogi. Aise data euro mein confidence ko instill karenge, jo ek bullish move ko prompt karega aur resistance ko overcome karte hue currency pair ko upward trajectory continue karne ki ijaazat dega.
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                        • #1617 Collapse

                          France mein hal hi ke parliamentary elections ke baad siyasi be-yaqini ka mahaul barqarar hai. Isi be-yaqini ke dore mein EUR/USD pair apni buniyad 1.0930 mark ke qareeb rakh raha hai, khaas tor par Friday ke aaghaaz mein US trading hours ke dauran. In elections ke nateeje ne Euro (EUR) par kuch selling pressure daala hai, jo ke aane wale waqt mein market sentiment par asar daal sakta hai. Jis waqt traders Eurozone Sentix Investor Confidence report ka intezaar kar rahe thay, EUR/USD ne 1.0910 ke qareeb trading band ki, jo ke cautious investor sentiment ko zahir karta hai.

                          EUR/USD ke Fundamentals:

                          Elections ne France mein ek mutafarriq siyasi soorat-e-haal ko zahir kiya, kyunke projections ne hung parliament ke imkaanat ko dikhaya. Marine Le Pen ki party, pehle ke doron mein majboot position ke bawajood, 142 seats ke sath teesri position par aa gayi, jabke President Emmanuel Macron ki centrist Ensemble alliance ne 146 seats hasil ki. Yeh soorat-e-haal 289 seats ki aksariyat se kam thi, jo ke lower house mein aksariyat ke liye darkaar thi. Yeh soorat-e-haal shetra mein be-yaqini ko barhati hai aur Euro ke performance par asar daalti hai.

                          Market ka reaction foran aaya, traders ne September ke liye rate-cut expectations ko adjust kiya. Is adjustment ka asar Federal Reserve Chair Jerome Powell ke optimistic remarks ke baad mehsoos hua, jo ke inflation progress aur mixed economic indicators jaise ke June ADP Employment Change report ke mutabiq private sector hiring mein kami ko zahir karta hai. Iske ilawa, Services PMI data ne contraction ko highlight kiya, jo ke sector mein challenges ko zahir karta hai.

                          Daily Time Frame Technical Outlook:

                          Euro pair ne mazboot performance dikhai, jo ke early recommendations ke qareeb 1.0930 se steadily barh raha tha. Pair ne haftay mein 1.25% ka notable increase dikhaya, aur seven consecutive trading sessions tak positive closure kiya. Yeh upward momentum ne EUR/USD ko 200-day Exponential Moving Average (EMA) 1.0805 par breach karne mein madad di, halanke technical pressures ne 1.0860 ke neeche downside risks ka ishara diya jo ke descending channel pattern ke andar aate hain.

                          Market ke shirka haal hone wale economic data releases aur geopolitical developments par nazar banaye huye hain. EUR/USD ka resilience political uncertainties ke bawajood iska status market sentiment ka ek aham paimana banata hai. Jis tarah se investors central bank policies aur economic indicators ke hawale se evolving narratives ko samajhne ki koshish kar rahe hain, pair ki movements broader market dynamics ko reflect karne ke liye tayar hain. Click image for larger version

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                          • #1618 Collapse



                            EUR/USD Currency Pair Analysis: Post-Friday Rally Aur Monday Ke Trading Strategy


                            Ta'aruf:

                            Friday ko EUR/USD currency pair ne ek zabardast rally ka izhar kiya, jo ke US ke labor market aur unemployment data ke kharab honay ki wajah se hua. July ke Nonfarm Payrolls sirf 114,000 the, jo ke forecasts se bohot kam tha. Iske ilawa, unemployment rate 4.1% se barh kar 4.3% ho gaya. Is wajah se Friday ko dollar ke panic sell-off ka sabab bana. Yeh maqala in events ke EUR/USD pair par asar aur aane wale hafte ke liye trading insights provide karta hai.

                            Friday Ki Market Reaction:

                            Recent data ne forex market mein ek significant reaction generate kiya. EUR/USD pair ne descending channel ke upar consolidate kiya, aur short-term downward trend ko break kiya. Is rally ke bawajood, yeh dekhna zaroori hai ke kya yeh upward movement sustain ho sakti hai. Humare nazariye se, fundamental backdrop zyada tabdeel nahi hua. Jabke US economic reports ke kharab hone ne dollar ko kamzor kiya, yeh Federal Reserve ke tight monetary policy se offset hota hai. Yeh sawal ke Fed September mein easing shuru karega ya nahi, iska jawab aane wale mahine mein milega.

                            Trading Signals Aur Analysis:
                            1. Friday Ke Buy Signals:
                              • Friday ko 5-minute time frame ne kuch clear trading signals provide kiye. Pehla buy signal subah tab aaya jab price 1.0797-1.0804 ke range ko cross kar gayi. Yeh long positions open karne ka mauka tha.
                              • American session ke dauran, jab important US data release hui, traders apni Stop Loss ko break even par move kar sakte the, aur long trade ko maintain kar sakte the.
                              • Din ke end tak, pair 1.0911 tak barh gaya, jahan se profit takreeban 100 pips ka ho sakta tha.
                            2. Monday Ki Trading Tips:
                              • Hourly time frame par EUR/USD ne sharp rise dekha, downward trend ko break kar diya. Lekin humare nazariye se, euro ne already sab bullish factors ko price mein include kar liya hai, aur hum upward movement ki continued expectation nahi karte.
                              • Haan, US data ne dollar ko Friday ko phir se disappoint kiya, lekin iska matlab yeh nahi ke greenback daily basis par depreciate karega. 24-hour timeframe ek flat range dikhata hai jo 1.06 se 1.10 ke beech hai. Isliye, abhi is range se bahar nikalne ki zaroorat nahi hai.

                            Trading Strategy For Monday:
                            1. Potential Trading Areas:
                              • Beginners Monday ko 1.0888-1.0896 ke area se trading consider kar sakte hain. Lekin, volatility phir se sharply decrease ho sakti hai, aur downward correction ka signal aa sakta hai.
                              • Key levels jo 5-minute timeframe par dekhne chahiye woh hain: 1.0526, 1.0568, 1.0611, 1.0678, 1.0726-1.0733, 1.0797-1.0804, 1.0838-1.0856, 1.0888-1.0896, 1.0940, aur 1.0971-1.0981.
                            2. Economic Indicators:
                              • Monday ko European Union, Germany, aur US ke service sector business activity indices for July publish honge. Traders ko US ISM index par focus karna chahiye, jo market movements ko influence kar sakta hai.

                            Nateejah:

                            EUR/USD pair ki recent rally, jo ke US ke disappointing economic data ke bawajood hui, ne short-term downward trend ko break kiya. Lekin, fundamental factors zyada tabdeel nahi hue, Federal Reserve ke monetary policy ke saath balance banaye rakhna. Jaise market naye hafte mein enter hota hai, traders ko cautious rehna chahiye aur key levels aur economic indicators par nazar rakhni chahiye jo pair ke direction ko impact kar sakte hain.

                            Monday ke liye, identified key levels ke andar trading consider karna aur potential volatility changes aur corrective movements par nazar rakhna behtar hoga. Service sector indices aur ISM index par nazar rakhna additional insights provide karega jo trading decisions mein madadgar sabit hoga.

                            In factors ko analyze karke, traders forex market ko behtar tareeqay se navigate kar sakte hain aur EUR/USD currency pair ke evolving trends par strategically position kar sakte hain.

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                            • #1619 Collapse



                              Trading Ke Liye Aaj Ki News: Detailed Analysis


                              Aaj forex market mein high-impact news ka aana zaroori hai jo mukhtalif currencies ko impact karegi. Iske sath hi kuch low aur medium-impact news bhi scheduled hain. Yeh news market mein kaafi volatility la sakti hai aur jin currency pairs ka in currencies se taluq hai, unmein bhi substantial fluctuations dekhi ja sakti hain. Aaj ki trading mein success paane ke liye, traders ko apni money management skills ko behtar tareeqe se istemal karna hoga. Forex market mein trading karte waqt ehtiyaat aur hosla afzai zaroori hai, aur aaj ke news updates ko madde nazar rakhna bhi ahem hai. Is analysis ke zariye, hum aapko trading ki strategies aur key levels ke bare mein maloomat faraham karenge jo aapke trading decisions ko behtar bana sakti hain.

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                              EUR/USD Pair Ka Analysis:

                              Friday ko EUR/USD pair ne market mein ek strong rally dikhayi, jo ke US labor market aur unemployment data ke disappointing results ke wajah se hui. July ke Nonfarm Payrolls sirf 114,000 the, jo ke kafi zyada forecasts se kam tha. Iske ilawa, unemployment rate 4.1% se badh kar 4.3% tak chala gaya. Yeh news dollar ke liye panic selling ka sabab bani aur EUR/USD pair ne upar ki taraf move kiya.

                              EUR/USD pair ne high areas mein trading ki aur price 1.0910 tak pahunchi. Aaj, price ne 1.0925 ki taraf niche move kiya hai. Hourly chart ko dekhein to yeh nazar aata hai ke EUR/USD moving average line MA (200) H1 ke upar trading kar raha hai jo ke 1.0835 par hai. Yeh situation four-hour chart par bhi similar hai, jahan EUR/USD moving average line MA (200) H4 ke neeche trading kar raha hai. Iske madde nazar, traders ko correction ke baad achi buy entry point ke liye dekhna chahiye. Aapko niche diye gaye chart aur picture se zyada behtar maloomat milegi.

                              Resistance Aur Support Levels:
                              • Resistance Levels: 1.0925, 1.0935, aur 1.0945
                              • Support Levels: 1.0885, 1.0815, aur 1.0785

                              Expected Price Movements:
                              1. Agar Price Barhti Hai: Agar EUR/USD ki price resistance level 1.0925 tak barhti hai, to ismein continuous growth dekhne ko mil sakti hai. Yeh growth market ke bullish sentiment ko reflect karegi aur price ko aage resistance levels ki taraf push kar sakti hai.
                              2. Agar Price Girti Hai: Agar price moving average line MA (200) H1 ke neeche girti hai, to 1.0775 tak drop dekhne ko mil sakta hai. Yeh scenario bearish trend ko indicate karta hai aur market mein selling pressure ko reflect kar sakta hai.

                              Trading Tips Aur Strategy:
                              • Correction ke Baad Entry Points: Correction ke baad buy entry points ko dekhte hue, traders ko market ke current trend aur price action ko observe karna chahiye. Agar price moving average line MA (200) H1 ke upar consolidate karti hai, to yeh buy signals ka indicator ho sakta hai.
                              • Risk Management: Risk management zaroori hai, aur traders ko apne stop loss aur take profit levels ko clearly define karna chahiye. Yeh ensure karega ke market fluctuations se maximum benefit mil sake aur potential losses ko control kiya ja sake.
                              • Volatility Ka Dhyan Rakhein: Aaj ki high-impact news ke wajah se market mein volatility barh sakti hai. Traders ko is volatility ko manage karne ke liye apni strategies ko adjust karna chahiye aur sudden price movements se bachne ke liye alert rehna chahiye.

                              Future Market Trends:

                              Market mein future trends ko dekhte hue, traders ko economic reports aur market sentiments ko closely monitor karna chahiye. US ke economic reports jo disappointing results dikhate hain, unka impact market mein long-term trends ko affect kar sakta hai. Federal Reserve ke monetary policy decisions bhi market ki direction ko influence kar sakte hain. September mein Fed ka easing ka decision bhi market sentiments ko change kar sakta hai.

                              Monday Ki Trading Tips:

                              Monday ko beginners ko EUR/USD ke 1.0888-1.0896 ke area se trade karna chahiye. Yeh area market mein potential entry points provide kar sakta hai. Lekin volatility ke kam hone aur downward correction ke chances ko bhi consider karna chahiye.

                              Key Levels Aur Indicators:

                              5M timeframe par key levels ko monitor karna zaroori hai. In levels ka analysis traders ko market ki direction aur potential price movements ko samajhne mein madad karega. Key levels hain:
                              • 1.0526
                              • 1.0568
                              • 1.0611
                              • 1.0678
                              • 1.0726-1.0733
                              • 1.0797-1.0804
                              • 1.0838-1.0856
                              • 1.0888-1.0896
                              • 1.0940
                              • 1.0971-1.0981

                              Aaj July ke service sector business activity indices bhi publish honge jo European Union, Germany, aur US mein aayenge. Traders ko US ISM index par focus rakhna chahiye jo market ke short-term movements aur trends ko influence kar sakta hai.

                              Conclusion:

                              Aaj ki news aur volatility forex trading ko kafi impact kar sakti hai. EUR/USD pair ka analysis market ke current trends aur future price movements ko samajhne mein madadgar hai. Resistance aur support levels ko monitor karte hue, traders ko risk management aur trading strategies ko adjust karna zaroori hai.

                              Yeh analysis aapke trading decisions ko behtar banane mein madadgar ho sakti hai. Apne thoughts aur contributions comments section mein zaroor share karein. Aapka din acha guzre!

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                              • #1620 Collapse


                                EUR/USD Analysis: H1 Timeframe Trading Strategy


                                Market Overview:

                                Aaj ke din EUR/USD pair ke liye H1 timeframe par market situation ka tajziya karne se pata chalta hai ke favorable long position ke entry point kaafi high probability ke sath mil sakta hai. Optimal entry point chunne ke process mein kuch essential conditions hain jo zaroori hain. Sabse pehle, current trend ke direction ko higher timeframe H4 par determine karna zaroori hai, taake market sentiment ko galat na samjha jaye. Is analysis ke liye, hum H4 chart open karenge aur check karenge ke trend movements H1 aur H4 timeframes par align karti hain ya nahi. Agar pehla rule fulfill hota hai, to aaj market mein long position open karna ek acha mauka lagta hai. Is analysis mein hum teen indicators par reliance rakhte hain - HamaSystem, RSI Trend, aur Magnetic_Levels_Color.

                                Trend Analysis on H4 Timeframe:

                                H4 timeframe par EUR/USD pair ke trend movements ko dekhna zaroori hai. Is se hume pata chalega ke current market trend kya hai aur kya H1 timeframe par trend movements ke sath align karti hain. Agar H4 timeframe par trend bullish hai aur H1 timeframe par bhi bullish trend hai, to yeh confirmation hota hai ke long position open karna faydemand ho sakta hai.

                                Indicators Analysis:
                                1. HamaSystem Indicator: HamaSystem indicator ko dekhte hue, hum expect kar rahe hain ke iska color blue ho jaye. Yeh blue color indicate karta hai ke buyers sellers se zyada strong hain aur market mein upward momentum hai.
                                2. RSI Trend Indicator: RSI Trend indicator bhi green color change ka indication dena chahiye. Green color indicate karta hai ke market overbought condition mein nahi hai aur bullish trend ka indication mil raha hai.
                                3. Magnetic_Levels_Color Indicator: Magnetic_Levels_Color indicator ka signal entry aur exit points determine karne mein madad karta hai. Hum aaj ke liye most probable magnetic level ko 1.09629 par dekh rahe hain.

                                Entry and Exit Strategy:
                                1. Entry Point: Jab HamaSystem aur RSI Trend indicators apni colors ko blue aur green mein change karte hain, tab buy order place kiya jaye. Yeh indicators ke signals confirm karte hain ke buyers current market mein dominant hain aur long position open karna sahi rahega.
                                2. Exit Point: Trade se exit karne ke liye, Magnetic_Levels_Color indicator ke signals ka istemal kiya jaye. Jab price magnetic level 1.09629 ke paas pohanchti hai, tab price action ko closely monitor karna zaroori hai. Yahan se decision lena padega ke position ko market mein hold karna hai ya profit book karna hai.
                                3. Trailing Stop: Potential earnings ko miss na karne ke liye, trailing stop ko implement kiya ja sakta hai. Yeh trailing stop aapko market ke fluctuations ke sath adjust karne ki flexibility deta hai aur profit ko maximize karne mein madad karta hai.

                                Key Considerations:
                                • Trend Alignment: H1 aur H4 timeframes par trend alignment dekhna crucial hai. Agar dono timeframes par bullish trend align kar raha hai, to long position open karne ka decision strong hota hai.
                                • Indicator Signals: HamaSystem aur RSI Trend indicators ka color change important hai aur yeh confirm karta hai ke market mein bullish momentum hai. Magnetic_Levels_Color indicator ka signal exit points ko determine karta hai.
                                • Price Action Monitoring: Price action ko magnetic levels ke paas monitor karna zaroori hai. Yeh dekhna hoga ke price level ko cross kar rahi hai ya nahi aur uske basis par decision lena hoga.
                                • Risk Management: Risk management ko bhi dhyan mein rakhna zaroori hai. Aapko stop loss aur trailing stop ko strategically set karna chahiye taake potential losses ko control kiya ja sake aur profits ko maximize kiya ja sake.

                                Conclusion:

                                Aaj ke trading scenario mein EUR/USD pair ke liye long position open karne ka ek strong opportunity nazar aa raha hai. H1 timeframe par trend analysis aur indicators ke signals ke basis par, long position ke entry aur exit points ko clearly define kiya gaya hai. HamaSystem aur RSI Trend indicators ka color change bullish momentum ko indicate karta hai, aur Magnetic_Levels_Color indicator price levels ko monitor karne mein madad karta hai.

                                Traders ko price action aur magnetic levels ke signals ko closely monitor karna chahiye aur trailing stop ko implement karke potential earnings ko maximize karna chahiye. Market volatility aur trend alignment ko dhyan mein rakhte hue, trading decisions ko strategically execute karna zaroori hai.

                                Agar aap trading strategy ko follow karte hain aur risk management ko dhyan mein rakhte hain, to aapko EUR/USD pair ke sath successful trading ka acha mauka mil sakta hai. Yeh analysis aapke trading decisions ko guide karne mein madadgar sabit ho sakta hai.

                                Apne thoughts aur feedback comments section mein zaroor share karein. Happy trading!


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