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  • #1501 Collapse

    Australian dollar ne hafte ke aghaz mein thoda dip dekha aur pehle retreat kiya lekin phir 50-week EMA (Exponential Moving Average) par support milne ke baad recovery ki. Hafte ke baqi dinon mein Australian dollar mazeed recover kar gaya. Iss waqt market mein thodi be-yaqeeni nazar aa rahi hai, jahan ek longer-term direction tay karne ki koshish ho rahi hai. Australian dollar ke liye potential hai ke wo 200-week EMA tak recover kare, jo ke 0.6850 par hai – ye ek significant area hai jo pehle strong resistance ka kaam karta raha hai.
    Ye 0.6850 level sirf 200-week EMA ke sath aligned nahi hai, balki ye historically bhi ek mushkil barrier raha hai. Agar weekly close is level ke upar hota hai to ye is baat ki nishani hogi ke overall trend mein shift a raha hai, aur Australian dollar mazeed upar ja sakta hai. Lekin jab tak ye breakthrough nahi hota, market mein volatility barqarar rehne ki umeed hai. Yeh bhi yaad rakhna zaroori hai ke Australian dollar ko commodity currency samjha jata hai, iska matlab ye hai ke iska movement global demand for resources aur major Asian economies, khaaskar China, Malaysia, aur Indonesia ke health par depend karta hai.

    Is wajah se, Australian dollar aksar global risk ke asar se volatile ho sakta hai. Agar Australian dollar 50-week EMA ke neeche break karta hai, to yeh mazeed downside ko signal karega, jisse currency 0.6450 level tak gir sakti hai. Filhaal market consolidation mode mein hai aur yeh lagta hai ke higher resistance levels ko test karne ke liye tayar ho raha hai.

    Nateejay mein, Australian dollar ka future movement is baat par depend karega ke wo key resistance levels ko break karne mein kitna kaamyab hota hai. Agar breakout hota hai, to ek significant rally start ho sakti hai, lekin traders ko ehtiyaat baratni chahiye kyun ke yeh currency global economic factors aur commodity prices ke liye kaafi sensitive hoti hai.



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    • #1502 Collapse

      AUD/USD ke General Points:
      Kal humne dekha ke AUD/USD market 0.6740 level se neeche chali gayi. Yeh is wajah se hua kyun ke USA ka Empire State Manufacturing news kaafi positive thi, jo 11.5% tak pohch gayi thi. Aaj USA ki Core Retail Sales ki report bhi release hogi, jo AUD/USD market par kaafi asar dal sakti hai. Yeh data market ko ya to 0.6775 ke level se upar le ja sakti hai ya phir 0.6685 ke neeche gira sakti hai.

      Bari Tasveer Mein:

      Jab USA ka economic data acha hota hai, to aksar US dollar mazid mazboot hota hai kyun ke yeh demand aur economic growth ko darshata hai. 11.5% ka increase U.S. economy ke acha performance ka nishani tha, jis wajah se Australian dollar par downward pressure aaya aur AUD/USD pair 0.6740 ke neeche chali gayi.

      Aaj sab ki nigahain U.S. Core Retail Sales data par hain, jo consumer spending ko reflect karta hai, lekin food aur energy jaise volatile components ko exclude karta hai. Agar yeh data bhi expectations se behtar hoti hai, to U.S. dollar aur mazboot ho sakta hai, aur AUD/USD pair mazeed gir kar 0.6685 ke neeche ja sakti hai.

      Lekin agar Core Retail Sales data disappoint karti hai, to U.S. dollar kamzor ho sakta hai, jisse AUD/USD pair ko recovery ka mauqa milega aur wo 0.6775 ke level se upar ja sakta hai. Market iss waqt economic indicators ke liye kaafi sensitive hai, aur traders Core Retail Sales data ko closely monitor karenge taake AUD/USD pair ke agle move ka andaza lagaya ja sake. Dono outcomes mumkin hain, aur yeh data currency market ka agla rukh tay karegi.


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      • #1503 Collapse

        releases ke dauran market sharp aur unpredictable movements de sakti hai, jo agar theek se manage na kiya jaye to significant losses ka sabab ban sakti hai. Isliye, moderate volumes ke sath trade karna aur risk management strategies apply karna behtar hai, jaise ke stop-loss orders set karna aur profits ko predetermined levels par lena. Aaj ke liye ek buy order jiska short target 0.6622 ho, hamare liye kafi hai. Hamare trading approach ko diversify karna high volatility ke risks ko kam kar sakta hai. Sirf ek strategy par rely karne ke bajaye, hum technical aur fundamental analysis ka combination use kar sakte hain. Technical analysis price charts ko examine karne aur indicators ka use karke patterns aur trends ko identify karne ka amal hai, jabke fundamental analysis economic factors ko samajhne par focus karta hai jo market ko influence karte hain. Umeed hai ke technical analysis tools, jaise moving averages, trend lines, aur oscillators, hume potential entry aur exit points identify karne mein madad karenge. Moving averages, jaise 50-day aur 200-day moving averages, overall trend ke insights provide kar sakte hain aur ye bata sakte hain ke market bullish hai ya bearish. Trend lines support aur resistance levels identify karne mein madad karti hain, jabke oscillators jaise Relative Strength Index (RSI) overbought ya oversold conditions ko indicate karte hain. In tools ko price action ke thorough analysis ke sath combine karna accurate trading decisions lene mein madadgar hoga.

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        • #1504 Collapse

          ۔ AUD/USD currency pair continues to show a steady downward trend. MACD indicator pe bearish divergence aur ek reversal figure, specifically ek ascending wedge, dikhai de raha hai. Haal hi mein, price mein kaafi kami hui, jisme US dollar ki strength nazar aayi. Is girawat ke dauran, pehle ke waves ke bottoms par bana hua ascending support line tod diya gaya, jo 2024 ke liye sabse kam update ke saath coincide karta hai. Magar, market ne jaldi se recovery dikhayi, aur prices ne rebound kiya, pichle din ki girawat ka ek bada hissa wapas le liya. Isse ek false breakout bana aur uske baad growth formation hua. Wave structure lagta hai ke zyada downward hai, MACD indicator lower sales zone mein hai aur apni signal line ke neeche decrease ho raha hai. **Indicators aur Market Sentiment**

          Downward indicators ke bawajood, ek bullish divergence signal bhi ek aur indicator, CCI, par nazar aata hai. Yeh puri reversal ki guarantee nahi deta, lekin yeh upward move ki potential suggest karta hai towards resistance level 0.6577, jahan main filhal further downside nahi dekh raha. Kal ki daily candle bhi ek characteristic hammer ya pin bar formation ke saath close hui, jo potential reversal ka indication hai.

          Magar, growth thoda questionable hai due to allied pairs jaise EUR/USD aur GBP/USD ke downward pressure ke karan. Agar yeh pairs bhi rise kar rahe hote, to buying mein zyada confidence hota. Filhal, yeh pairs decline kar rahe hain, jo AUD/USD pair mein growth ke liye challenge create kar raha hai. Mere assessment ke mutabiq, sellers aur buyers ke chances balanced hain, aur traders short-term periods mein corresponding formations dekh kar kisi bhi direction mein operate kar sakte hain.

          **Economic Calendar aur Market News**

          Aaj ke economic calendar mein koi crucial news nahi hai, jo traders ko unki techniques ke mutabiq operate karne ki suvidha deti hai bina kisi unexpected movement ke risk ke. AUD/USD se related news data ka analysis karna zaroori hai. Economic indicators, geopolitical developments, aur other relevant news currency pair ke movement ko significant impact kar sakte hain, bullish trends ko reinforce kar sakte hain ya naye challenges present kar sakte hain. In updates ke saath informed aur responsive rahkar, buyers market shifts ka fayda utha sakte hain aur risks ko minimize kar sakte hain.

          **Future Market Outlook**

          Mujhe umeed hai ke market agle dino mein buyers ke liye favorable rahegi. Recent uptick aur short-term gains traders ke liye ek solid strategy present karti hai taake pichle mahine ke losses recover kiye ja sakein. Main expect karta hoon ke aane wale data is recovery process mein pivotal role play karega, buyers ko pehle ke setbacks ko overcome karne ke liye zaroori momentum provide karega.

          Jaise hamesha, vigilant aur adaptable rehna zaroori hai, strategies ko nayi information ke mutabiq adjust karna chahiye. Overall, current market environment AUD/USD buyers ke liye ek promising opportunity present karta hai, provided careful analysis aur strategic planning approach liya jaye


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          • #1505 Collapse

            AUD/USD

            Kal hum ne dekha ke AUD/USD market 0.6740 level se neeche gir gaya. Yeh is wajah se hua kyun ke USA ka Empire State Manufacturing news kaafi positive tha, jo 11.5% tak pohcha. Aaj USA ke Core Retail Sales data bhi release hoga. Yeh data AUD/USD market par significant asar daal sakta hai, aur market ya toh 0.6775 level se upar ja sakti hai ya phir 0.6685 ke neeche gir sakti hai.
            Bari tasveer mein dekha jaye, toh yeh data aksar U.S. dollar ko mazid strong banata hai, kyun ke yeh economic expansion aur demand ka izafa reflect karta hai. 11.5% ka izafa is baat ka wazeh ishara tha ke U.S. economy achi perform kar rahi hai, jis se Australian dollar par pressure aya aur AUD/USD pair 0.6740 ke neeche chala gaya. Aaj market participants U.S. Core Retail Sales data ka intezaar kar rahe hain, jo aik aur bara economic indicator hai. Core Retail Sales data consumer spending ko reflect karta hai, magar ismein food aur energy jese volatile components shaamil nahi hote.

            Empire State Manufacturing data ke zariye U.S. economy ki current strength ko dekhte hue yeh mumkin hai ke Core Retail Sales ka data bhi positive aaye. Agar yeh data expectations se zyada hota hai, toh U.S. dollar mazid strong ho sakta hai, jo AUD/USD pair ko neeche dhakel kar 0.6685 se neeche le ja sakta hai. Agar Core Retail Sales data disappoint karta hai, toh U.S. dollar kamzor ho sakta hai, jo AUD/USD pair ke liye recovery ka mauqa ho sakta hai aur yeh 0.6775 level se upar ja sakta hai.

            Market abhi bhi economic indicators ke liye kaafi sensitive hai, aur traders Core Retail Sales data ko closely monitor karenge taake AUD/USD pair ke short-term direction ka andaza lagaya ja sake. Dono outcomes mumkin hain, aur yeh data yeh decide karega ke is currency market ka agla move kya hoga.



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            • #1506 Collapse

              theek se manage na kiya jaye to significant losses ka sabab ban sakti hai. Isliye, moderate volumes ke sath trade karna aur risk management strategies apply karna behtar hai, jaise ke stop-loss orders set karna aur profits ko predetermined levels par lena. Aaj ke liye ek buy order jiska short target 0.6622 ho, hamare liye kafi hai.
              Hamare trading approach ko diversify karna high volatility ke risks ko kam kar sakta hai. Sirf ek strategy par rely karne ke bajaye, hum technical aur fundamental analysis ka combination use kar sakte hain. Technical analysis price charts ko examine karne aur indicators ka use karke patterns aur trends ko identify karne ka amal hai, jabke fundamental analysis economic factors ko samajhne par focus karta hai jo market ko influence karte hain. Umeed hai ke technical analysis tools, jaise moving averages, trend lines, aur oscillators, hume potential entry aur exit points identify karne mein madad karenge. Moving averages, jaise 50-day aur 200-day moving averages, overall trend ke insights provide kar sakte hain aur ye bata sakte hain ke market bullish hai ya bearish. Trend lines support aur resistance levels identify karne mein madad karti hain, jabke oscillators jaise Relative Strength Index (RSI) overbought ya oversold conditions ko indicate karte hain. In tools ko price action ke thorough analysis ke sath combine karna accurate trading decisions lene mein madadgar hoga.
              D ke liye humare paas zyada buying opportunities hain aur price baad mein 0.6622 zone ko cross kar sakti hai. Lekin, yaad rahe ke trading karte waqt zyada volumes ka istemal na karein, khaaskar jab news data release ho rahe ho. High trading volumes volatility aur risk ko barha sakte hain, jo trades ko effectively manage karna mushkil bana sakta hai. News releases ke dauran market sharp aur unpredictable movements de sakti hai, jo agar theek se manage na kiya jaye to significant losses ka sabab ban sakti hai. Isliye, moderate volumes ke sath trade karna aur risk management strategies apply karna behtar hai, jaise ke stop-loss orders set karna aur profits ko predetermined levels par lena. Aaj ke liye ek buy order jiska short target 0.6622 ho, hamare liye kafi hai.
              Hamare trading approach ko diversify karna high volatility ke risks ko kam kar sakta hai. Sirf ek strategy par rely karne ke bajaye, hum technical aur fundamental analysis ka combination use kar sakte hain. Technical analysis price charts ko examine karne aur indicators ka use karke patterns aur trends ko identify karne ka amal hai, jabke fundamental analysis economic factors ko samajhne par focus karta hai jo market ko influence karte hain. Umeed hai ke technical analysis tools, jaise moving averages, trend lines, aur oscillators, hume potential entry aur exit points identify karne mein madad karenge. Moving averages, jaise 50-day aur 200-day moving averages, overall trend ke insights provide kar sakte hain aur ye bata sakte hain ke market bullish hai ya bearish. Trend lines support aur resistance levels identify karne mein madad karti hain, jabke oscillators jaise Relative Strength Index (RSI) overbought ya oversold conditions ko indicate karte hain. In tools ko price action ke thorough analysis ke sath combine karna accurate trading decisions lene mein madadgar hoga.Click image for

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              • #1507 Collapse

                sakta hai. Sirf ek strategy par rely karne ke bajaye, hum technical aur fundamental analysis ka combination use kar sakte hain. Technical analysis price charts ko examine karne aur indicators ka use karke patterns aur trends ko identify karne ka amal hai, jabke fundamental analysis economic factors ko samajhne par focus karta hai jo market ko influence karte hain. Umeed hai ke technical analysis tools, jaise moving averages, trend lines, aur oscillators, hume potential entry aur exit points identify karne mein madad karenge. Moving averages, jaise 50-day aur 200-day moving averages, overall trend ke insights provide kar sakte hain aur ye bata sakte hain ke market bullish hai ya bearish. Trend lines support aur resistance levels identify karne mein madad karti hain, jabke oscillators jaise Relative Strength Index (RSI) overbought ya oversold conditions ko indicate karte hain. In tools ko price action ke thorough analysis ke sath combine karna accurate trading decisions lene mein madadgar hoga.
                D ke liye humare paas zyada buying opportunities hain aur price baad mein 0.6622 zone ko cross kar sakti hai. Lekin, yaad rahe ke trading karte waqt zyada volumes ka istemal na karein, khaaskar jab news data release ho rahe ho. High trading volumes volatility aur risk ko barha sakte hain, jo trades ko effectively manage karna mushkil bana sakta hai. News releases ke dauran market sharp aur unpredictable movements de sakti hai, jo agar theek se manage na kiya jaye to significant losses ka sabab ban sakti hai. Isliye, moderate volumes ke sath trade karna aur risk management strategies apply karna behtar hai, jaise ke stop-loss orders set karna aur profits ko predetermined levels par lena. Aaj ke liye ek buy order jiska short target 0.6622 ho, hamare liye kafi hai.
                Hamare trading approach ko diversify karna high volatility ke risks ko kam kar sakta hai. Sirf ek strategy par rely karne ke bajaye, hum technical aur fundamental analysis ka combination use kar sakte hain. Technical analysis price charts ko examine karne aur indicators ka use karke patterns aur trends ko identify karne ka amal hai, jabke fundamental analysis economic factors ko samajhne par focus karta hai jo market ko influence karte hain. Umeed hai ke technical analysis tools, jaise moving averages, trend lines, aur oscillators, hume potential entry aur exit points identify karne mein madad karenge. Moving averages, jaise 50-day aur 200-day moving averages, overall trend ke insights provide kar sakte hain aur ye bata sakte hain ke market bullish hai ya bearish. Trend lines support aur resistance levels identify karne mein madad karti hain, jabke oscillators jaise Relative Strength Index (RSI) overbought ya oversold conditions ko indicate karte hain. In tools ko price action ke thorough analysis ke sath combine karna accurate trading decisions lene mein madadgar hoga.Click image for

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                • #1508 Collapse

                  Jab hum H4 time frame ka jaiza lete hain, toh yeh baat saaf hoti hai ke market mein bullish reversal ke asaar nazar aa rahe hain. Yeh shift khas tor par tab dekhnay mein aati hai jab price ne daily trend line se bounce kiya, jo ke ek potential buying opportunity ko indicate karta hai. Is ke ilawa, 0.6589 ke qareeb aik strategic buy zone hai, jo pehle resistance ka kaam kar raha tha lekin ab yeh mazboot support ka role ada kar sakta hai. Is area mein buy limit order place karna fayda mand ho sakta hai. Agar potential downside risks se bachna hai, toh stop-loss ko effectively solid support level 0.6615 ke neeche position karna chahiye. Yeh development yeh suggest karti hai ke AUD/USD pair short term mein apni downward trajectory continue karegi. Lekin, price mein girawat tabhi aayegi jab yeh buyers ke kuch resistance se takraayegi. Yeh ongoing tug-of-war ko highlight karta hai jo buyers aur sellers ke darmiyan market mein chal rahi hai. Aam tor par, jab global uncertainty ya conflict hoti hai, toh commodities ki prices barh jaati hain, jo ke Australian dollar ki strength ko mazid barha deti hai. Magar, yeh zaroori hai ke hum US dollar par bhi nazar rakhein, kyunki yeh bhi global economic conditions ke doran strength gain kar sakta hai.

                  Maujooda market environment bohot zyada volatile hai, jismein conditions rapidly change ho sakti hain. Is liye, aik well-thought-out technical analysis strategy apply karna aur strict risk management practices ko follow karna, jismein appropriate stop-loss levels set karna shamil hai, bohot zaroori hai. Is liye, market changes ke liye adaptable aur responsive rehna ahem hai taake is landscape ko effectively navigate kiya ja sake. Traders ko potential market swings ke liye tayar rehna chahiye aur apni strategies ko accordingly adjust karna chahiye taake opportunities ko capitalize kar sakein aur risks ko minimize kar sakein. Yeh cautious lekin proactive approach is dynamic trading environment mein positions ko manage karne aur success hasil karne mein critical role ada karegi

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                  • #1509 Collapse

                    AUDUSD ne wo trend line tor di jo main ne traders ke liye indicate ki thi. AUDUSD ne trend direction is liye badla kyun ke us din ke trading session mein hi moving average lines ko downside par cross kar liya tha. Trend change hone ke baad, price kuch trading days ke liye tezi se neeche gir gayi, magar RSI indicator par oversold level ko bhi touch kar liya. Is wajah se, AUDUSD ne is haftay range movement dikhai hai jo ke general price adjustment se mutaliq hai. Jald hi price correction complete hone ke baad, AUDUSD ki price further neeche gi, aur un support levels ko test karegi jo main ne diagram mein indicate kiye hain. AUD/USD pair short term mein apni downward trajectory continue karegi. Lekin, price mein girawat tabhi aayegi jab yeh buyers ke kuch resistance se takraayegi. Yeh ongoing tug-of-war ko highlight karta hai jo buyers aur sellers ke darmiyan market mein chal rahi hai. Aam tor par, jab global uncertainty ya conflict hoti hai, toh commodities ki prices barh jaati hain, jo ke Australian dollar ki strength ko mazid barha deti hai. Magar, yeh zaroori hai ke hum US dollar par bhi nazar rakhein, kyunki yeh bhi global economic conditions ke doran strength gain kar sakta hai.
                    Maujooda market environment bohot zyada volatile hai, jismein conditions rapidly change ho sakti hain. Is liye, aik well-thought-out technical analysis strategy apply karna aur strict risk management practices ko follow karna, jismein appropriate stop-loss levels set karna shamil hai, bohot zaroori hai. Is liye, market changes ke liye adaptable aur responsive rehna ahem hai taake is landscape ko effectively navigate kiya ja sake. Traders ko potential market swings ke liye tayar rehna chahiye aur apni strategies ko accordingly adjust karna chahiye taake opportunities ko capitalize kar sakein aur risks ko minimize kar sakein. Yeh cautious lekin proactive approach is dynamic trading environment mein positions ko manage karne aur success hasil karne mein critical role ada karegi
                    Traders ko market conditions mein kisi bhi tabdeeli ke liye vigilant aur responsive rehna zaroori hai. Agar reversal ya contrary signal ka indication milta hai, to existing position ko close karna behtar hai taake potential risks ko mitigate kiya ja sake. Ek adaptable trading strategy se favorable trends ka faida utha sakte hain aur unfavorable movements se exposure ko minimize kar sakte hain.


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                    • #1510 Collapse

                      AUDUSD ne wo trend line tor di jo main ne traders ke liye indicate ki thi. AUDUSD ne trend direction is liye badla kyun ke us din ke trading session mein hi moving average lines ko downside par cross kar liya tha. Trend change hone ke baad, price kuch trading days ke liye tezi se neeche gir gayi, magar RSI indicator par oversold level ko bhi touch kar liya. Is wajah se, AUDUSD ne is haftay range movement dikhai hai jo ke general price adjustment se mutaliq hai. Jald hi price correction complete hone ke baad, AUDUSD ki price further neeche gi, aur un support levels ko test karegi jo main ne diagram mein indicate kiye hain.
                      AUD/USD pair short term mein apni downward trajectory continue karegi. Lekin, price mein girawat tabhi aayegi jab yeh buyers ke kuch resistance se takraayegi. Yeh ongoing tug-of-war ko highlight karta hai jo buyers aur sellers ke darmiyan market mein chal rahi hai. Aam tor par, jab global uncertainty ya conflict hoti hai, toh commodities ki prices barh jaati hain, jo ke Australian dollar ki strength ko mazid barha deti hai. Magar, yeh zaroori hai ke hum US dollar par bhi nazar rakhein, kyunki yeh bhi global economic conditions ke doran strength gain kar sakta hai.
                      Maujooda market environment bohot zyada volatile hai, jismein conditions rapidly change ho sakti hain. Is liye, aik well-thought-out technical analysis strategy apply karna aur strict risk management practices ko follow karna, jismein appropriate stop-loss levels set karna shamil hai, bohot zaroori hai. Is liye, market changes ke liye adaptable aur responsive rehna ahem hai taake is landscape ko effectively navigate kiya ja sake. Traders ko potential market swings ke liye tayar rehna chahiye aur apni strategies ko accordingly adjust karna chahiye taake opportunities ko capitalize kar sakein aur risks ko minimize kar sakein. Yeh cautious lekin proactive approach is dynamic trading environment mein positions ko manage karne aur success hasil karne mein critical role ada karegi
                      Traders ko market conditions mein kisi bhi tabdeeli ke liye vigilant aur responsive rehna zaroori hai. Agar reversal ya contrary signal ka indication milta hai, to existing position ko close karna behtar hai taake potential risks ko mitigate kiya ja sake. Ek adaptable trading strategy se favorable trends ka faida utha sakte hain aur unfavorable movements se exposure ko minimize kar sakte hain


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                      • #1511 Collapse

                        AUDUSD ne wo trend line tor di jo main ne traders ke liye indicate ki thi. AUDUSD ne trend direction is liye badla kyun ke us din ke trading session mein hi moving average lines ko downside par cross kar liya tha. Trend change hone ke baad, price kuch trading days ke liye tezi se neeche gir gayi, magar RSI indicator par oversold level ko bhi touch kar liya. Is wajah se, AUDUSD ne is haftay range movement dikhai hai jo ke general price adjustment se mutaliq hai. Jald hi price correction complete hone ke baad, AUDUSD ki price further neeche gi, aur un support levels ko test karegi jo main ne diagram mein indicate kiye hain.
                        Weekly time frame chart par AUDUSD ki price do distinct trend lines ke darmiyan fluctuate karti rahi hai, jaisa ke main ne diagram mein dikhaya hai. Do haftay pehle, AUDUSD ne upper trend line ko cross karne ke baad bearish trend shuru kiya tha. Is haftay AUDUSD ne bottom side trend line ko touch kiya. Agar yeh next week mein break hoti hai, to price un crucial support levels ko test karne ke liye giray gi, jo main ne diagram mein indicate kiye hain. Lekin agar price current level se upar jaati hai, to AUDUSD ka goal upper side trend line ko dobara test karna hoga.
                        AUD/USD pair short term mein apni downward trajectory continue karegi. Lekin, price mein girawat tabhi aayegi jab yeh buyers ke kuch resistance se takraayegi. Yeh ongoing tug-of-war ko highlight karta hai jo buyers aur sellers ke darmiyan market mein chal rahi hai. Aam tor par, jab global uncertainty ya conflict hoti hai, toh commodities ki prices barh jaati hain, jo ke Australian dollar ki strength ko mazid barha deti hai. Magar, yeh zaroori hai ke hum US dollar par bhi nazar rakhein, kyunki yeh bhi global economic conditions ke doran strength gain kar sakta hai.
                        Maujooda market environment bohot zyada volatile hai, jismein conditions rapidly change ho sakti hain. Is liye, aik well-thought-out technical analysis strategy apply karna aur strict risk management practices ko follow karna, jismein appropriate stop-loss levels set karna shamil hai, bohot zaroori hai. Is liye, market changes ke liye adaptable aur responsive rehna ahem hai taake is landscape ko effectively navigate kiya ja sake. Traders ko potential market swings ke liye tayar rehna chahiye aur apni strategies ko accordingly adjust karna chahiye taake opportunities ko capitalize kar sakein aur risks ko minimize kar sakein.


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                        • #1512 Collapse

                          ### AUD/USD Market Update

                          **Kal Ka Market Movement:**

                          Kal humne dekha ke AUD/USD market 0.6740 ke level se neeche gir gaya. Yeh girawat USA ke Empire State Manufacturing data ke positive hone ki wajah se hui, jo 11.5% tak pohnch gaya. Aaj USA ke Core Retail Sales data bhi release honge jo AUD/USD market par significant asar daal sakte hain. Yeh data ya to 0.6775 ke level se upar le ja sakta hai ya phir 0.6685 ke level se neeche le ja sakta hai.

                          **U.S. Dollar Ki Taaqat:**

                          Agar hum broader view se dekhen, to yeh aam tor par U.S. dollar ko majbooti deta hai, kyunki yeh badhti hui demand aur economic expansion ka indication hota hai. 11.5% ka index mein izafa yeh clear sign tha ke U.S. economy achi performance de rahi hai, jo Australian dollar par downward pressure bana raha hai. Is wajah se AUD/USD pair 0.6740 ke level se neeche chala gaya.

                          **Core Retail Sales Data Ka Intezaar:**

                          Aaj market participants U.S. Core Retail Sales data ka intezaar kar rahe hain, jo ek aur significant economic indicator hai. Core Retail Sales data consumer spending ko reflect karta hai, lekin food aur energy ke volatile components ko exclude karta hai. U.S. economy ki current strength, jo Empire State Manufacturing data se indicate hoti hai, ke madde nazar, Core Retail Sales figures bhi positive ho sakte hain.

                          Agar Core Retail Sales data expectations se zyada positive hota hai, to yeh U.S. dollar ko aur majbooti de sakta hai, jo AUD/USD pair ko aur neeche le ja sakta hai, shayad 0.6685 ke level se bhi neeche. Is case mein, U.S. dollar ki taqat ke bawajood, agar Core Retail Sales data disappoint karta hai, to U.S. dollar kamzor ho sakta hai, jo AUD/USD pair ko 0.6775 ke level se upar le jane ka mauka dega.

                          **Market Ka Reaction Aur Short-Term Outlook:**

                          Market economic indicators ke liye bohot sensitive hai, aur traders closely Core Retail Sales data ko monitor karenge taake AUD/USD pair ki short-term direction ko gauge kiya ja sake. Dono outcomes possible hain, aur yeh data agle move ko determine karega.

                          **Possible Scenarios:**

                          1. **Positive Core Retail Sales Data:**
                          - Agar Core Retail Sales data expectations se zyada achha hota hai, to U.S. dollar ko support mil sakta hai aur AUD/USD pair aur neeche ja sakta hai, shayad 0.6685 ke level se bhi neeche. Yeh scenario U.S. dollar ki strength ko indicate karega aur market ko yeh signal dega ke economy strong hai.

                          2. **Disappointing Core Retail Sales Data:**
                          - Agar Core Retail Sales data expectations ko meet nahi karta, to U.S. dollar weak ho sakta hai. Yeh AUD/USD pair ko 0.6775 ke level se upar le ja sakta hai aur recovery ka chance provide kar sakta hai.

                          **Conclusion:**

                          Overall, Core Retail Sales data AUD/USD pair ke direction ko significantly impact karega. Market ke mood aur future trends ko samajhne ke liye traders ko data release ka intezaar hai. Har possible outcome market ke reaction ko define karega aur currency pair ke short-term movements ko direct karega.
                             
                          • #1513 Collapse

                            AUDUSD ne wo trend line tor di jo main ne traders ke liye indicate ki thi. AUDUSD ne trend direction is liye badla kyun ke us din ke trading session mein hi moving average lines ko downside par cross kar liya tha. Trend change hone ke baad, price kuch trading days ke liye tezi se neeche gir gayi, magar RSI indicator par oversold level ko bhi touch kar liya. Is wajah se, AUDUSD ne is haftay range movement dikhai hai jo ke general price adjustment se mutaliq hai. Jald hi price correction complete hone ke baad, AUDUSD ki price further neeche gi, aur un support levels ko test karegi jo main ne diagram mein indicate kiye hain. AUD/USD pair short term mein apni downward trajectory continue karegi. Lekin, price mein girawat tabhi aayegi jab yeh buyers ke kuch resistance se takraayegi. Yeh ongoing tug-of-war ko highlight karta hai jo buyers aur sellers ke darmiyan market mein chal rahi hai. Aam tor par, jab global uncertainty ya conflict hoti hai, toh commodities ki prices barh jaati hain, jo ke Australian dollar ki strength ko mazid barha deti hai. Magar, yeh zaroori hai ke hum US dollar par bhi nazar rakhein, kyunki yeh bhi global economic conditions ke doran strength gain kar sakta hai. Maujooda market environment bohot zyada volatile hai, jismein conditions rapidly change ho sakti hain. Is liye, aik well-thought-out technical analysis strategy apply karna aur strict risk management practices ko follow karna, jismein appropriate stop-loss levels set karna shamil hai, bohot zaroori hai. Is liye, market changes ke liye adaptable aur responsive rehna ahem hai taake is landscape ko effectively navigate kiya ja sake. Traders ko potential market swings ke liye tayar rehna chahiye aur apni strategies ko accordingly adjust karna chahiye taake opportunities ko capitalize kar sakein aur risks ko minimize kar sakein. Yeh cautious lekin proactive approach is dynamic trading environment mein positions ko manage karne aur success hasil karne mein critical role ada karegi
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                            • #1514 Collapse

                              AUD/USD currency pair k four-hour chart par, upar ki taraf trend abhi bhi qaim hai aur wave structure bhi upward momentum bana raha hai. MACD indicator upper purchase zone mein hai lekin triple bearish divergence dikha raha hai, jo ke CCI indicator par bhi nazar aa raha hai. Iske ilawa, ek reversal pattern, jo ke ek ascending wedge hai, wo bhi successfully niche break ho chuka hai. Ye bearish divergence ka signal confirm ho chuka hai aur iska play out hone ka achi chance hai.

                              Lekin, price iss waqt horizontal support level 0.6754 par ruk gayi hai. Agar selling pressure continue raha, toh yeh level zyada dair tak hold nahi karega aur niche break hone ke imkaanat hain. Sale position ke liye sab se behtar entry point yeh hoga ke jab yeh level break ho jaye aur phir neeche se retest kare as resistance. Iss bearish scenario mein key targets 0.6698 aur 0.6640 hain.

                              CCI indicator abhi neeche ke overheating zone se upar jane ka ishara kar raha hai, lekin yeh signal sellers ki intention ko price niche le jane ke liye shayad itna mazboot na ho. Is liye iss point par koi growth minor hogi, zyada se zyada sideways, aur uske baad level break hoga. In sab observations ke base par, abhi buying positions lena behtar nahi samjha ja raha.

                              Broader market context mein bhi, doosri major currency pairs USD ke mazboot hone ki taraf geared hain. AUD/USD ne ek strong upward wave experience ki hai, jo ke 5 waves par mushtamil thi aur iska ant ek bearish divergence se hua. July maximum se bhi breakout hua jo ke price target growth ke completion ko confirm karta hai aur ab yeh zone potential sale area ban gaya hai. 0.6754 ke break hone ke strong imkaanat hain, toh level ke break hone ka intizar kiye baghair hi sell positions lena ek strategic move ho sakta hai.
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                              Weekly chart par dekha jaye toh AUD/USD pair ne recent mein diagonal resistance ko 0.6830 par touch kiya, jis ki wajah se corrective decline hui aur price week close karte hue local support 0.6755 ke qareeb aa gayi. Aane wale steps yeh samajhne ke hain ke kya uptrend wapis se resume hoga ya pair 0.6705 aur 0.6640 ki subsequent support levels ki taraf decrease karegi.

                              Halaat chaahe bearish signal dikha rahe hain lekin pair mein abhi bhi growth ki potential mojood hai, khaaskar agar Federal Reserve September mein rates cut karta hai, jisse risk assets ko boost milega aur dollar ki qeemat neeche aayegi. Lekin practical outcomes theory se farq rakh sakte hain, isliye September 17-18 ki Fed ki decision aur uske market par asrat ko dekhna zaroori hoga.

                              Iss waqt 0.6754 level aur broader market environment ko nazar mein rakhna AUD/USD pair par effective trades execute karne mein important rahega.
                              Like tu banta hay ik🙏
                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #1515 Collapse




                                sakta hai. News releases ke dauran market sharp aur unpredictable movements de sakti hai, jo agar theek se manage na kiya jaye to significant losses ka sabab ban sakti hai. Isliye, moderate volumes ke sath trade karna aur risk management strategies apply karna behtar hai, jaise ke stop-loss orders set karna aur profits ko predetermined levels par lena. Aaj ke liye ek buy order jiska short target 0.6622 ho, hamare liye kafi hai.
                                Hamare trading approach ko diversify karna high volatility ke risks ko kam kar sakta hai. Sirf ek strategy par rely karne ke bajaye, hum technical aur fundamental analysis ka combination use kar sakte hain. Technical analysis price charts ko examine karne aur indicators ka use karke patterns aur trends ko identify karne ka amal hai, jabke fundamental analysis economic factors ko samajhne par focus karta hai jo market ko influence karte hain. Umeed hai ke technical analysis tools, jaise moving averages, trend lines, aur oscillators, hume potential entry aur exit points identify karne mein madad karenge. Moving averages, jaise 50-day aur 200-day moving averages, overall trend ke insights provide kar sakte hain aur ye bata sakte hain ke market bullish hai ya bearish. Trend lines support aur resistance levels identify karne mein madad karti hain, jabke oscillators jaise Relative Strength Index (RSI) overbought ya oversold conditions ko indicate karte hain. In tools ko price action ke thorough analysis ke sath combine karna accurate trading decisions lene mein madadgar hoga.
                                D ke liye humare paas zyada buying opportunities hain aur price baad mein 0.6622 zone ko cross kar sakti hai. Lekin, yaad rahe ke trading karte waqt zyada volumes ka istemal na karein, khaaskar jab news data release ho rahe ho. High trading volumes volatility aur risk ko barha sakte hain, jo trades ko effectively manage karna mushkil bana sakta hai. News releases ke dauran market sharp aur unpredictable movements de sakti hai, jo agar theek se manage na kiya jaye to significant losses ka sabab ban sakti hai. Isliye, moderate volumes ke sath trade karna aur risk management strategies apply karna behtar hai, jaise ke stop-loss orders set karna aur profits ko predetermined levels par lena. Aaj ke liye ek buy order jiska short target 0.6622 ho, hamare liye kafi hai.

                                Hamare trading approach ko diversify karna high volatility ke risks ko kam kar sakta hai. Sirf ek strategy par rely karne ke bajaye, hum technical aur fundamental analysis ka combination use kar sakte hain. Technical analysis price charts ko examine karne aur indicators ka use karke patterns aur trends ko identify karne ka amal hai, jabke fundamental analysis economic factors ko samajhne par focus karta hai jo market ko influence karte hain. Umeed hai ke technical analysis tools, jaise moving averages, trend lines, aur oscillators, hume potential entry aur exit points identify karne mein madad karenge. Moving averages, jaise 50-day aur 200-day moving averages, overall trend ke insights provide kar sakte hain aur ye bata sakte hain ke market bullish hai ya bearish. Trend lines support aur resistance levels identify karne mein madad karti hain, jabke oscillators jaise Relative Strength Index (RSI) overbought ya oversold conditions ko indicate karte hain. In tools ko price action ke thorough analysis ke sath combine karna accurate trading decisions lene mein madadgar hoga.Click image for larger version
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