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  • #346 Collapse

    EUR/USD Prices Ke Sath Winning Trades

    EUR/USD currency pair ke current price behavior ka analysis debatable hai. Aayiye is mahine ke EUR/USD pair ke technical analysis ka jaiza lete hain. Humne dekha ke 61.8% Fibonacci level ke thoda upar ek correction hui hai. Iss dauran, cycle ne re-zone ke upar move kiya hai, jo kuch dinon mein previous trend par wapas jane ka indication hai. Magar, hum April ke daily resistance zone ko ya us period ke last selling zone ko surpass nahi kar sake. Jab tak yeh zone likely hai, bullish trend consider karna premature hoga.

    Friday ko, M15 time frame par EUR/USD currency pair ne teen bearish absorption signals dikhaye, jo short positions indicate karte hain. Magar, price 1.0862 target level tak nahi pohanch saka, jo 1.0843 se potential long position development ko suggest karta hai. 1.0862 ko retest karne ke baad, mein predict karta hoon ke rebound 1.0815 tak hoga, phir wapas 1.0847 aur phir push 1.0807 tak hoga.

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    M15 time frame par, price ne do martaba 1.0805 ko touch kiya, jo critical level hai jahan sirf long positions upar honi chahiye. Is time frame par double bottom likely unfinished hai, aur 1.0862-1.0885 zone ka retest probable hai. Abhi, EUR/USD 1.0833 par trade kar raha hai aur selling zone 1.0844 ki taraf jaane ka imkan hai. Price ko 1.0826 zone ke upar break karna hoga aur foothold gain karna hoga, jo buyers ki strength ko confirm karega. Jab tak price is range mein rehta hai, buying relevant hai. Agar currency is zone ke upar hai, to buy signal form hoga. Is case mein, stop order ko nearest price curve ke thoda neeche place karein. Agar currency pair critical 1.0842 zone ke neeche drop hota hai aur trend line break karta hai, to bull apni range hold nahi kar sakega, aur initiative bears ke paas chala jayega.
       
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    • #347 Collapse

      Euro/Dollar Ka Istihkam, US Dollar Pressure Mein

      Euro/Dollar apni rally ko teesri martaba barqaraar rakhta hua 1.0850 resistance level ke qareeb pohanch gaya. Yeh movement aslan US Dollar par barqarar selling pressure ki wajah se hai. European Central Bank ke Financial Stability Review ke jari hone se domestic front par dynamics aur bhi zyadah mazboot hui hain.

      US Economic Data Aur Dollar Par Asar:

      America mein price pressures ke anticipated reductions aur Retail Sales data ke weak hone se USD Index aur bond yields par negative asar pada. USD Index, jo ke Greenback ko chay baray currencies ke against track karta hai, apne aik mahine ke lowest point par settle hua, jo ke 104.70 ke qareeb tha.

      US mein inflation outlook ab weak nazar aa rahi hai, jahan Retail Sales April mein stagnate ho gayi hain, jab ke March mein yeh 0.6% increase hui thi. Economists ne 0.4% rise ki umeed ki thi. Weak Retail Sales data yeh show karta hai ke Federal Reserve ke imposed high inflation aur elevated interest rates ne consumer spending power ko squeeze kar diya hai.

      EUR/USD Ka Technical Pattern, Potential Breakout Signal Kar Raha Hai:

      Iske nateeje mein, pair ne 1.1032 ke critical resistance level ko paar kar liya hai, aur daily chart par Symmetrical Triangle pattern ke descending boundary ke qareeb pohanch gaya hai, jo December 28 ke high of around 1.1141 se originate hota hai. Yeh pattern ka ascending boundary, jo ke October 3 ke low of 1.0447 se trace hota hai, market volatility mein notable decrease ko indicate karta hai.

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      Symmetrical Triangle pattern se breakout Euro bulls ko aik sustained period ke liye empower kar sakta hai. Dusri taraf, substantial selling pressure pair ko wapas upward-sloping boundary ki taraf le ja sakta hai. 14-period Relative Strength Index (RSI) 60.00 tak climb kar gaya hai, jo suggest karta hai ke bullish momentum strengthen ho sakta hai agar RSI is level ke upar rehta hai.
         
      • #348 Collapse

        EUR/USD Price Movement

        Hamari behas EUR/USD currency pair ki mojooda price behaviour analysis par markooz hai. EUR/USD chart par sell scenario wazeh hai. Market ne faisla kar liya hai, narrowing triangle se breakout karte hue. Aaj sell karna tab relevant hoga agar price 1.0853 tak wapas aaye, aur phir target levels 1.0802 aur 1.0775 ke darmiyan ho. Sales cancellation tab hogi jab price 1.0873 ke upar chali jaye aur 1.0895 ko surpass karne ki koshish kare. Waqti decline ke saath mazboot downward candle nazar aa rahi hai, jo yeh suggest karti hai ke decline tab tak jari rahega jab tak ek indicator par oversold condition nahi milti. Yeh noteworthy hai ke markets hil gayi hain, EUR/USD mein volatility le aayi hain. Halat tabdeel nahi hui hai kyun ke hum decline ko 1.0835 ke neechay sustain kar rahe hain, jahan false breakdown abhi bhi valid hai. Yeh abhi bhi mumkin hai ke upward movement disrupt ho gayi hai, aaj ke dollar trading aur subsequent statistics aur protocols ke intezar mein.

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        Maine apne sales close kar diye hain, anticipate karte hue further decline ko below 1.0838, magar mujhe aur downward movement ki umeed hai. Is liye, mai short positions par focus kar raha hoon aur sell consider karunga agar price dubara 1.0865 ke upar chali jaye. Meri daily chart par, upward trend abhi bhi barqarar hai, jahan blue lines long-standing supports hain. In lines mein se kisi ek ka breakdown ek potential upward movement ka aghaz suggest karta hai, jo ke horizontal red line se indicated hai. Aaj humne 44 points ka overall decline dekha, spreads ko exclude karte hue. Ek significant MA ke settings 500 hain, jo retest ka imply karti hai pehle ek upward move ke. ADR indicator ka working range 1.0813-1.0865 hai, jo upcoming fundamental analysis aur Federal Reserve minutes ke publication ki wajah se potential breakouts ka subject hai. Eurozone mein aise impactful events nahi hain, jo shaam mein potentially high volatility ko indicate karte hain.
         
        • #349 Collapse

          EUR/USD


          Aaj, ECB Governing Council ke rukn Olli Rehn ne ek taqreer mein kaha ke chal rahe disinflation process ne inflation ko 1.5% target ke qareeb le jaane ka silsila jaari hai, agar disinflationary trend jari rahe aur koi geopolitical shocks ya energy prices mein kisi naye tabdeeli na aaye. Rehn ne zor diya ke ECB apni monetary policy tay karte waqt data-driven approach ko apnaaye ga, kisi khaas interest rate raste se band na ho kar. Rehn ke mutabiq, aise expectations par trading faisley jaanib se anjaan nateeje paida kar sakte hain.

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          Unhe market ki haalat ka seedha mushaahida karna pasand hai. Pehle ki trading strategy mein, yeh muzakkar kiya gaya tha ke agar ek din ka band price 1.0868 se oopar pohanch jaaye, to yeh ek naye long position ko tasdeeq karega, umeed hai ke aage chalkar mukhya resistance level 1.0910 ki taraf ek aur rebound ho. Haalaanki, pichle Jumma ko dekhe gaye musbat EURUSD trend ke bawajood, analysts chhotay arsay mein ek rebound ke liye mumkinat par optimistic hain. EURUSD ka intraday trend ab neutral taur par qaraar diya ja raha hai, jahan se 1.0837 ke level se ek mazeed rebound ka jari rahega.


          Musbat pehlu mein, 1.0872 ke upar ek tooti se pehle ki resistance level 1.0968 ko dobara test karne ka intezar hai. Magar, 1.0821 ke neeche girne se trend fir se manfi ho jayega, pehle ki resistance level ab 1.0733 par support ban jaayega. Aik bara perspective se, 1.1249 se shuru hone wale price trend ko aik correctiv pattern samjha jata hai. 1.1105 ke level se giravat ko correctiv phase ki teesri stage samjha jaata hai jo ab mukammal ho chuki hai. 1.1105 ke mazboot toot par kiya gaya aik tooti ishaara karega ke bara uptrend, jo 2022 mein 0.9850 se shuru hua tha, phir se 1.1253 ke bulandiyon ki taraf bahal hone ke liye tayar hai. Lekin, 1.0580 ke neeche giravat correctiv pattern ko lamba kar degi.
           
          • #350 Collapse

            EUR/USD pair abhi bhi 1.08 se bounce hua hai, aur main ise ek ahem lamha samajhta hoon. Yeh ek baar phir ek kharidari ki ird gird ek urooj paida kar raha hai. Maine samjha ki bailon ne 1.0880 ko qabza nahi kiya aur 1.0895 ke urooj ke baad, uttar mein isthirata aur barhav bhi nahi tha. Is baar, temporary rukawat ke saath, jari rakhne ka faisla kiya gaya.

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            Jodi ke baghair, aur kisi hichkichahat ke bina, kharidar jodi gayi. Humne phir se 1.08 se ek rally hasil ki, aur agar aap chaar ghante ka chart dekhein, toh hum keh sakte hain ki rally sahi thi. Pehle 1.08 ke liye kharidaron ke liye ise paar karne mein mumkin nahi tha, lekin baad ki khabrein traders ki madad ki. Ek nayi kharidari aur jodi shuru karne ke liye 1.08 se oopar jaane ke liye 8 ke upar jaana hoga, aur phir bina rukawat ke 1.0860 ki taraf jaari rakhna hoga, yeh pehla rukawat ka ilaaka hai, lekin jaise hum dekh sakte hain, yeh ab bhi kaam kar raha hai. Kuch koshishen, 1.0880 ko hasil karne ke liye bhi mojood hain, aaiye keh dete hain.Mujhe samajh aya ke aap ki baat kya hai. Agar aap keh rahe hain ke kisi currency pair ka price gir raha hai aur ab woh phir se badhne ki taraf ja sakta hai, toh aap yeh keh rahe hain ke 1.0900 ke qareeb ja sakta hai. Shayad price is channel ke oopar bhi ja sake. Ab price moving average line ko test kar raha hai, jo 1.0848 par hai. Yeh moving average green hogaya hai, jiska matlab hai ke kharidne walon ka zyada faida hai.
               
            • #351 Collapse

              EUR/USD H-1 Timeframe Analysis:

              Aaj, ooper ki taraf barh kar, jodi ne is channel ke upper border tak barhav kiya, yani ke 1.0859 ke daraje tak, uske baad jodi mein ek ulat pher hui aur qeemat ne neeche jaane ka aghaaz kiya. Ab mujhe umeed hai ke jodi neeche ki taraf jaari rahegi aur qeemat neeche is channel ke lower border tak ja sakti hai, yani ke 1.0801 ke daraje tak. Jab yeh darja neeche pohanch jaye, to yeh mumkin hai ke jodi ka giravat ruk jaye, qeemat palat kar uparward barhne ka aghaaz karegi. Agar jodi barhne lagti hai, to ooper ki taraf barhne par, qeemat neeche ke channel ke upper border tak ja sakti hai, yeh darja 1.0848 ho sakta hai. Agar aaj 1.0870 ke range ka jhoota tor saabit hota hai, to uske baad barhav jari rahega. Abhi, main umeed karta hoon ke darja barhne ka silsila jaari rahega aur 1.0885 ke range ko tor kar bahar niklega. Agar iske upar se bahar nikalne aur us par mazbooti se qayam ho jata hai, to barhav aur bhi jaari rahega. Mumkin hai ke 1.0868 ke range ko tor diya ja sake, is halat mein barhav aur bhi jaari rahega. Jab ek chhote neeche ke sudhar ke baad, barhav jaari rahega. Shayad 1.0880 ke range ke torne ke baad, barhav jaari rahega aur aap kharid sakte hain. Main bhi umeed karta hoon ke 1.0945 ke range ke torne ka silsila jaari rahega aur jab hum us par mazbooti se qayam ho jata hai, to yeh ek kharidne ka signal hoga. Jab aap 1.0900 ko tor kar us par mazbooti se qayam ho jata hai, to yeh ek aur kharidne ka signal hoga. 1.0865 ke range se, barhav jaari rahega. Ek halki giraawat ke baad, barhav jaari rahega.

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              • #352 Collapse

                EUR/USD Analysis


                EUR/USD pair ne significant upswing dekhi hai US dollar ke weakening ki wajah se aur ab yeh 1.0860 area ke around hover kar raha hai. German aur US bond rates ki various maturities mein bhi improvement hui hai, lekin monetary policy process abhi bhi unchanged hai. Federal Reserve aur European Central Bank dono expected hain ke June mein policy easing cycle shuru karenge, lekin rate cuts ke pace mein variations ki wajah se different tactics use karenge. ECB se expect nahi kiya jaa raha ke woh zyada piche reh jaaye. June mein rate cut ki likelihood decrease hui hai from over 62% last week to around 51%, according to CME FedWatch Tool.

                ECB ke minutes from its March 6-7 meeting, jo pichle hafte release hui, dikhati hain ke officials zyada optimistic ho rahe hain about inflation ka path towards the 2% target, making a case for lower interest rates. Psychological resistance points for EUR/USD on an upward move expect ki jaa sakti hain at the 1.1000 level, the weekly high of 1.0998 (Jan 11), aur the March high of 1.0981 (March 8). Agar EUR/USD strengthen karta hai, toh yeh December 28, 2023 high of 1.1139 ko test kar sakta hai. Lekin, yeh bhi possible hai ke 2024 mein pair 1.0724 (April 2) aur 1.0694 (Feb 14) ke lows ko test kare. Next lowest points hain weekly low of 1.0495 (Oct 13, 2023), the 2023 low of 1.0448 (Oct 3), the round number 1.0400, aur the November 2023 low of 1.0516 (Nov 1).

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                4-hour chart ko dekh kar uptrend ka return nazar aa raha hai, aur pehla target EUR/USD ke liye expect kiya ja raha hai in the range of 1.0876 to 1.0942. Next clear downside barrier appear ho raha hai 1.0724, followed by 1.0694 and 1.0656. Relative Strength Index (RSI) around 61 hai, jabke Moving Average Convergence Divergence (MACD) indicator positive hai.
                Analysis Conclusion:
                1. Fundamental Discussion:
                  • USD ki weakening aur Fed ki policy maintain hone ke expectations.
                  • German aur US bond rates mein improvement.
                  • ECB ke inflation target ke optimism ke sath interest rates lower karne ki case.
                2. Technical Discussion:
                  • Market structure clear indication de raha hai bullish trend ka.
                  • Bullish candlestick formation aur MACD indicator positive territory mein hai.
                  • Key levels: 1.0876 to 1.0942, 1.0724, 1.0694, aur 1.0656.

                Is analysis ko madde nazar rakhte hue, EUR/USD pair abhi bullish pressure mein hai aur market trends ko dekh kar yeh expect kiya jaa sakta hai ke yeh pair aur upper levels ko test karega agar USD weakness aur ECB policies support karti hain.




                   
                • #353 Collapse


                  EUR/USD currency pair ki taqat aur kamzori ko samajhna forex trading mein bohot ahem hai. Agar EUR/USD pair kamzor hota hai aur 1.0601 se neeche girta hai, toh yeh traders ke liye ek aham signal hai. Yeh indicate karta hai ke euro kamzor ho raha hai comparison mein dollar ke sath. November 1, 2023 ko 1.0516 ke qareeb euro ki keemat ki samay ek important ghatna thi. Is ghatna ne traders ko ek lamba safrish ka samna karne ki soochit kiya. Safrish, ya trading strategy, ek trader ki soch aur unki tajurbat par mabni hoti hai. Agar koi trader 1.0516 par safrish kiya hota, toh yeh unka yakeen darust ho sakta tha ke euro aur dollar ke darmiyan ki taqat mein tabdeeli aanay wali hai.EUR/USD ke is ilaake ko toorna mushkil hota hai, lekin yeh bhi mumkin hai. Jab yeh tootta hai, toh yeh ek naya trend ki shuruaat darust karta hai. Traders ko is tarah ki harkat ki pehchaan karne ke liye tayyar rehna chahiye aur tajurbat aur analysis se munafa kamana chahiye. Forex market mein trading karte waqt, traders ko currency pairs ki movement aur unke impact ko samajhna zaroori hai. Economic indicators, geopolitical events, aur central bank policies sabhi ki asar hoti hai. Agar euro kamzor ho raha hai, toh iska karan kai factors ho sakte hain jaise ke economic data, political instability, ya monetary policy changes.Euro aur dollar ke darmiyan ke taqat ka analysis karna, technical aur fundamental analysis ka combination shaamil hota hai. Technical analysis mein price charts aur indicators ka istemal hota hai, jabke fundamental analysis mein economic data aur geopolitical events ka tajziya hota hai. Overall, EUR/USD pair ke 1.0601 se neeche girne aur 1.0516 ke qareeb jaane ka samay ek aham waqiya tha jo traders ko safrish karne ke liye mawafiq banata tha. Yeh market ki dynamic nature ko samajhne ka ek mukhtasar jhalak hai, jismein traders ko mazbooti se tayyar rehna chahiye aur tajurbat aur analysis se faida uthana chahiye.


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                  • #354 Collapse

                    EUR/USD

                    EUR/USD ne Friday ko lower trade kiya. Correction against the correction ek hafte se zyada pehle shuru hui thi. Choti correction ke hawale se, price lagbhag 80 pips fall hui, jabke badi correction mein, euro lagbhag 260 pips ek mahine mein drop hua. Thus, volatility kaafi weak rahi. Lekin, pair Friday ko downward movement continue kar sakti thi, magar market ne kuch aur decide kiya.

                    Eurozone mein koi events ya reports nahi thi, siwaye Germany ke Q1 GDP numbers ke second estimate ke. Dusri taraf, US ne kuch important reports publish ki, jaise durable goods orders aur University of Michigan se consumer sentiment. Dono reports forecasts se behtar rahi, aur hum yad rakhte hain ke important comparison pehle mahine se nahi balki forecast se hoti hai. To, dono reports dollar ke haq mein thi, aur dollar ne steadily puray din fall kiya. Basicly, yeh sab kuch hai jo aapko market ke reaction pattern ke baare mein jan'ne ki zarurat hai fundamental aur macroeconomic backgrounds ke liye. 5-minute timeframe par koi trading signals form nahi hui. US trading session ke doran, price 1.0838-1.0856 area mein enter hui, jahan yeh market close hone tak trade karti rahi. Monday ko, is area se exit karna ek signal generate karega, lekin Mondays ko volatility usually bohot low hoti hai, to pair weak movement show kar sakti hai agar yeh intended direction mein move karne ka aim rakhti hai.

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                    Agar EUR/USD price is level ke neeche break aur consolidate karti hai, to yeh further decline ke liye darwaza khol sakti hai towards 1.0795 aur even 1.0765. Is scenario mein, main in lower levels ke aas paas buying opportunities dekhunga. Upside resistance filhal 1.0815 par hai. Ek breakout aur hold is level ke upar potential continuation of the uptrend ko signal karega. Is case mein, main long positions (buying EUR) enter karne ka sochunga with a target price range of 1.0915 to 1.0965. Overall, near-term outlook uncertain hai, lekin long-term bias EUR/USD pair ke liye upside ki taraf lagta hai. Traders ko price action ko key support aur resistance levels ke aas paas monitor karna chahiye potential entry aur exit points ko identify karne ke liye apne trades ke liye. Yad rakhein, yeh sirf ek analysis hai, aur unexpected economic news
                       
                    • #355 Collapse

                      EUR/USD ka tajziya

                      EUR/USD ne session ko 1.0885-1.0890 ke multi-week highs par shuru kiya, lekin doosri khamosh session aur be-ittifaqi US dollar ke karwai se thori himayati tarah se trading ki. Bond yield dono Europe aur US mein gir rahi hai, jab ke ECB ke baad ek aur jalsa hone ki sabit tawaqqaat hain, sath hi US ke inflation data aur Fed ke minutes ki ijra ke aage barhne ki hai. Is natijay mein, Federal Reserve aur European Central Bank ka isharatik cycle shuru hone ki tawaqqaat hain, jo shayad June mein shuru ho. Duno central banks mukhtalif tareeqon ko apna sakti hain, lekin ECB ke isharatik peechay nahi rehna tawaqqa hai.

                      Fed ke front par, Chicago Fed ke A. Goolsby ne keh dia ke Fed ko apni contractionary policies ke asraat ko andaza lagana chahiye, jab ke Minneapolis Fed ke spokesman N. Kashkari ne kaha ke agar inflation be-pal rehti hai to is saal ke rate cuts khatre mein hain. Fed Governor M. Bowman ne kaha ke inflation ko kam karne ki koshishon ke liye rukawat hai.

                      Jodi ke pehle resistance points ka intezar hai umeed hai 1.0885 (April 9) par, 1.0981 (March 8) par, 1.0998 (Jan. 11) par weekly high par aur 1.1000 par zehni wajib par. Is par based hokar, EUR/USD ki mazeed izaafat December 2023 ki high par test kar sakti hai 1.1139 (December 28). Niche ki taraf, EUR/USD 1.0832 par 200-day moving average ke sath milay gi pehle, phir 2024 ke 1.0724 (April 2) aur 1.0694 (Feb 14) ke neechay ja kar tootay gi. Is ke baad, November 2023 ki kam low (1.0516), haftawar ki kam low (1.0495), October 13, 2023 ki low (1.0448), aur October 2023 ke round number line (1.0440) aati hai.

                      4 ghante ka chart dikhata hai ke EUR/USD pair ke liye musbat jazbat abhi bhi maujood hain. Agla upar ka maqsad 1.0885 hai, aur agla 1.0942 hai. 100 simple moving average aur 55 simple moving average, 1.0828 aur 1.0809 ke aas paas waqay hain, EUR/USD ke niche resistance levels hain, 1.0791 ke baad. Relative strength index 55 ke aas paas gir chuka hai, jab ke moving average convergence divergence (MACD) signal musbat hai.

                         
                      • #356 Collapse

                        Aslam o alaikum pyare traders. Qeemat ab aik ahem mor par baithi hai, 1.0745 ke darje par ek flat pattern banaya gaya hai lekin phir yeh neeche ki taraf trend ho gaya hai bina is darje ko neeche se dobara test kiye. Yeh ek mazboot bearish momentum ko darust karta hai. Agar qeemat apna neeche ka trend jaari rakhti hai, to humein neechay diye gaye support levels aur mumkinah pullback areas par tawajjo deni chahiye.

                        H4 indicator ka channel, jo ke oopar ki taraf ishara karta hai, yeh zahir karta hai ke agar qeemat barhti hui durust karna shuru karti hai, to yeh abwaqt ke bearish technique se hata jaayegi. Tareekhi tor par, 1.0730 darja tak ka pullback zyada ahmiyat ka hamil raha hai, iska matlab hai ke is darje ki taraf koi bhi harkat tawajjo se dekhi jaani chahiye. Yeh darja ek pivot point ke tor par kaam karta hai, aur yahan par aik pullback mojoodah downtrend ko waqtan-fa-waqtan hal kar sakta hai. Halankeh mojoodah neeche ki raftar ke bawajood, H4 channel ka dheema aur dynamic fitrat yeh ishara karta hai ke waqt ke sath aahista barhne ka imkaan hai. Agar qeemat ke amal ke mutabiq ho, to yeh channel aik lamba muddat ke liye bullish manzar faraham kar sakta hai.

                        Abwaqt mein, hawale se volumes ko qareeb se dekha jana chahiye, kyunke yeh qeemat ke harkat ki taqat ko samajhne mein madad faraham kar sakte hain. Barhte hue volumes aik mumkinah qeemat ki barhao ka ishara de sakte hain, haalaanke mojoodah bearish formation yeh manwane par ishara de raha hai. In volume tabdeelion ka moniter karna bazaar ki raah ka samajhne ke liye intehai ahmiyat rakhta hai. Khatra ke nizaam ko manage karne ke liye, tawajjo dena wajib hai ke 1.0805 darje par aik darmiyani stop rakhna chahiye. Yeh stop qeemat agar neeche girne ke doran bari nuqsaan se bacha sakta hai jab ke ager qeemat phir se uthaye to potential faida hasil karne ka bhi imkaan deta hai. 1.0736 aur 1.0840 jaise ahem darjat par tasdeeq shuda bearish formation ya bullish reversal ka intizar karna aik maharatmand trading faisla lene ke liye zaroori hai. Aapko aik acha din mubarak ho. Kamyabi ki dua.
                           
                        • #357 Collapse

                          As-salamu alaykum! Main theek hoon, shukriya. EUR/USD Federal Open Market Committee meeting ke minutes ke release se pehle mustaqil rahi. Jo May 1 ko budh ke din hai. Pair Asian trading session ke doran 1.0850 ke aas-paas ghoom raha tha. Technical nazar se, EUR/USD pair ke daily chart par pair apni saari moving averages se zyada araam mein hai, jabke 20 simple moving average flat 200 SMA ki taraf se mazbooti ke saath nazdeek aaraha hai. Taqreeban. Technical indicators, wahi par, apni haftawar ki uroojliyon se peeche hat rahe hain lekin unka majmooa achhe se jari hai aur zyada farokht ki dilchaspi ki tajwez nahi de rahe hain. 4 ghante ka chart dikhata hai ke EUR/USD pair technical tor par neutral hai, lekin ek bearish bias ke saath. Pair apne 20 SMA ke neeche viksit ho raha hai, jo directional taaqat haar chuka hai lekin lambi dair ke liye aage hai. Ant mein, Momentum indicator apne 100 level ke ird gird directionlessly ghoom raha hai, jabke Relative Strength Index indicator madhyam se 49 ke aas-paas hai, neeche ki taraf ek pair ki umeed ko tasdeeq nahi karte hue.

                          Mangalwar ko, US dollar mein tezi aayi ek karwi market mood ke beech, magar pair apni raahat zone se nikalne se inkaar kar rahe the, kyunke data aur policymakers ke alfaz, pur-mufeed dilchaspi ko manane ke liye kafi nahi the. Europe se khabron ke mutabiq, Germany ne apna April producer price index jaari kiya, jo 3.3% YoY girna tha, jo 3.2% ke slide ke intizaar se kam tha. Mahine ke hisab se, PPI 0.2 percent barha, umeed aur March ke data ke mutabiq. Is ke ilawa, EU ne March ka mojooda hisaab taqseem ka aghaz kiya, jo seasonally adjusted surplus of €35.8 billion tha, jabke trade balance €17.3 billion ke liye barta. United States macroeconomic calendar mein kuch nahi tha siwaye Federal Reserve speakers ke ek aur guzishta ilmi bayanaat ke, jo pehle se jaani pehchaani khabron ko dohrane wale the. Agar kuch, market ke shiraaq se hints liye gaye, Asian aur European markets surkh rang mein band hue magar US indices mehdood faiday hasil kiye.
                             
                          • #358 Collapse

                            Aaj market mein ek kafi sannata bhara din sabit hua. Intraday level ko 1.0700 tak update karne ke baad, humne uttar ki halki movement ko tasdeeq kiya, lekin afsos, iske baad koi mazeed taraqqi nahi hui. Is khamoshi ka na-hazri market dynamics mein temporary rukawat ka pata lagata hai, jisse traders aur investors ke andar ye khyal aata hai ke is stagnation ke peeche kis wajah se hai aur nazdeeki mustaqbil mein kya ho sakta hai. 1.0700 level ki taraf movement ki tasdeeq shuru mein market sentiment mein ek mumkin shift ki isharaat di. Magar, baad ki khamoshi ye dikhata hai ke market participants shayad mazeed maalumat ya waqiyat ka intezar kar rahe hain pehle koi bhi significant qadam uthane se pehle. Ye ho sakta hai mukhtalif factors ki wajah se jaise ke economic data releases, geopolitical events, ya phir mazeed market conditions jo trader behavior ko influence kar rahe hain.

                            Is rukawat ka ek possible sabab aane wale economic reports ya central bank announcements ka intezar ho sakta hai. Market participants aksar bade trades karne se pehle significant data releases ka intezar karte hain taake market ke galat taraf na fas jayein. Maslan, agar koi bhi key economic indicators jaise ke GDP growth, employment figures, ya inflation data jald release hone wale hain, to traders shayad in reports ka intezaar karte hain taake unhe zyada clear direction mile. Isi tarah, aane wale central banks ki koi bhi statements ya policy decisions market movements par bada asar daal sakti hain. Aise scenarios mein, market typically chup rehta hai jab tak traders in critical pieces of information ka intezar karte hain.

                            Aaj ki khamoshi ka doosra potential factor bhi ho sakta hai zyada behtar market sentiment aur overall investor caution. Low volatility aur movement ki kami waqtan-fa-waqtan market participants ke darmiyan bari uncertainty ya risk aversion ki bhi numayish kar sakti hai. Ye waqt tab aata hai jab geopolitical tensions, economic uncertainties, ya phir major global events ke qareeb aate hain. Jab investors future market ki direction ke bare mein ghair yaqeeni hote hain, to woh aksar wait-and-see approach apnate hain, jo subdued trading activity ko le kar aata hai.

                            Technically, 1.0700 tak shuru hone ke baad follow-through ki kami bhi dekh sakte hain jaise ke market ek damki le rahi hai. Ye tab hota hai jab price aik ahem level tak pohanch jata hai magar usme wo momentum nahi hota jo usay mazeed usi direction mein agay push kar sake. Aise cases mein, market ek consolidation phase mein enter ho sakta hai jahan woh ek tang range ke andar trade karta hai jab tak buyers aur sellers aapas mein balance nahi ho jate. Ye consolidation market cycle ka aik sehatmand hissa hota hai, jo agle significant move se pehle energy ka ikattha hone ka mauqa deta hai.

                            Aage dekhte hue, kal ki trading session ke liye tafseelat ke liye nazar rakhna zaroori hai. Halat ki ye rukawat sach mein temporary ho sakti hai, aur market ho sakta hai ke apni movement dobara shuru kare jab tak intezar kiye gaye maqool data ya waqiyat samne aajayein. Traders ko mutasir hone wale kisi bhi naye development ka jawab dene ke liye muta'assir rehna chahiye jo market ki direction mein clear insights faraham kar sakte hain.

                            Ikhtitami tor par, aaj market mein ek inactive din tha, jo 1.0700 level tak ke shuru hone ke baad kisi bhi mazeed taraqqi ki kami se characterized tha. Ye khamoshi upcoming economic data, central bank announcements, broader market sentiment, ya technical consolidation phase ki intezar ki wajah se ho sakti hai. Kal ki trading session zyada definitive information faraham kar sakta hai, aur traders ko kisi bhi naye opportunities ko capture karne ke liye alert rehna chahiye. Market ke developments ko nazdeek se monitor karke aur adaptable reh kar, traders periods of inactivity se guzar sakte hain aur agle significant move ke liye tayar reh sakte hain.




                             
                            • #359 Collapse

                              Aaj market mein kaafi susti nazar aayi. Jab hum ne intraday level ko 1.0700 tak update kiya, toh humein thodi si uttar ki taraf movement ka tasdeeq mila, lekin afsos ke sath, uske baad koi mazeed taraqqi nahi hui. Is susti ka sabab yeh ho sakta hai ke market dynamics mein ek temporary pause ho gaya hai, jiski wajah se traders aur investors ye soch rahe hain ke is stagnation ke peeche kya wajah ho sakti hai aur qareebi mustaqbil mein kya ho sakta hai.

                              1.0700 level ki taraf movement ka tasdeeq milna pehle market sentiment mein ek potential change ka izhar karta tha. Lekin, uske baad ki susti yeh dikhata hai ke market participants shayad mazeed mazboot maloomat ya waqiyat ka intezar kar rahe hain pehle bade decisions lene se. Iska kuch wajahat ho sakte hain jaise ke economic data releases, geopolitical events, ya phir bazaar ke am halat jo trader behavior par asar daal rahe hain.

                              Aik wajah is susti ki ye bhi ho sakti hai ke aane wale economic reports ya central bank ki announcements ka intezar hai. Market participants aksar bade trades karne se pehle bari reports ke aane ka intezaar karte hain taa ke unko market ke galat taraf pakarne se bacha ja sake. Jaise ke agar ahem economic indicators jaise GDP growth, employment figures, ya inflation data jald hi release hone wale hain, toh traders in reports ka intezaar kar sakte hain taake unko clear direction mil sake. Isi tarah, central banks ki aane wali koi bhi statement ya policy decisions market movements par bade asar daal sakti hain. Is tarah ke scenarios mein, market typically chup rehta hai jab tak traders ye ahem maloomat ka intezaar karte hain.

                              Aaj ki susti ka ek aur potential factor bhi bazaar ke am sentiment aur overall investors ki ihtiyaat ho sakti hai. Kam volatility aur movement ki periods kabhi kabar market participants ke darmiyan bara uncertainty ya risk avoidance ka izhar karte hain. Ye wakt geopolitical tensions, economic uncertainties, ya phir bade global events ke qareeb hone par bhi ho sakte hain. Jab investors market ke mustaqbil ke bare mein ghair yaqeeni hote hain, toh woh aksar ek intezar aur dekhte rehne wale approach apna lete hain, jiski wajah se trading activity kam hoti hai.

                              Technically, pehle movement ke baad 1.0700 tak ki taraf koi follow-through na ho sakti hai jo ke market ka ek araam ka samay bhi ho sakta hai. Ye hota hai jab price ek ahem level tak pohanch jati hai lekin usme aur tawajjo nahi hoti hai ke woh us disha mein mazeed barhe. Is tarah ke cases mein, market ek consolidation phase mein enter ho sakti hai jahan buyers aur sellers ek dusre ko balance karte hain. Ye consolidation market cycle ka ek sehatmand hissa hota hai, jo agle ahem move se pehle energy ka ikhata hone ka moqa deta hai.

                              Aage dekhte hue, kal ke trading session par nazar rakhna zaroori hai mazeed definitive maloomat ke liye. Halat ki yeh waqtan-fa-waqtan susti waqai temporary ho sakti hai, aur market jaise hi muntazir data ya waqiyat se bahar aaye, wapas apni movement shuru kar sakta hai. Traders ko hoshmandi aur tayyar rehna chahiye taake koi naye tajurbaat unko market ke rukh ke baray mein saaf wazeh insights faraham kar sakein.

                              Akhri mein, aaj market mein susti kaafi thi, jise pehle 1.0700 level ki taraf movement ke baad mazeed koi taraqqi nahi hui. Is susti ka sabab aane wale economic data, central bank ki announcements, bazaar ke am sentiment, ya phir technical consolidation phase ho sakta hai. Kal ke trading session mein mazeed definitive maloomat mil sakti hai, aur traders ko naye opportunities par faida uthane ke liye chaukna rahehna chahiye. Market developments ko nazdeek se monitor karte hue aur lachariyat ke doron mein adaptable rehkar, traders susti ke doraan guzar kar agle ahem move ke liye tayyar ho sakte hain.




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

                                EUR/USD

                                Rozana chart ki reference ke mutabiq, dekha ja sakta hai ke bullish trend ke mawaafiq aik dobara dakhli dastaviz buy ban gayi thi jab girawat ne Ma 100 (green) ke moving limit par bearish rejection shiraeet ko mehsoos kia. Mojudah izafa ab bhi nazdeek tareen resistance level ko paar karne ka bara moqa nazar ata hai jo taqreeban 1.0894 ke aas paas hai aur agle resistance area tak pohanchne ka moqa hai jo taqreeban 1.0940 ke aas paas hai. Is se oopar supply area, taqreeban 1.0924 ke aas paas, bullish trend ke mazeed progress ke liye rukawat hosakti hai, jahan bullish rejection ka imkaan hai jo sellers ke liye trend ko bearish ki taraf palatne ki koshish karne ka aik imtehaan bana sakta hai. Dakhili chart mein bearish trend ka tasdeeq hona shayad sirf tab hota hai agar price Ma200 (blue) ke movement limit ke neeche, taqreeban 1.0765 ke aas paas, girta hai. Is price level ke neeche bechna ka tawajju iss mumkinah haal-drop rally tak diya ja sakta hai jo 1.0600 ke range mein mojud lowest support area tak pohanch sakti hai.




                                EURUSD currency pair aaj raat neeche ki taraf ja raha hai, aur mojudah price ne support level one ko jo 1.0845 ke price par hai, ko neeche kar diya hai. Trend ke mutalliq, jaisa ke h1 TF chart se dekha ja sakta hai, ye bearish hai jahan price 50-period MA line ke neeche hai, is liye main ye nateeja nikalta hoon ke aaj raat trading ke liye, bechna zyada mashhoor hai jahan take profit ko 1.0799 ke farthest support par rakhna chahiye, umeed hai ke ye faida mand ho.


                                ✿.。.:* ☆:**:. PK-HERO .:**:.☆*.:。.✿
                                   

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