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  • #751 Collapse

    EURUSD currency pair ka. Pichle haftay ke doran Jumma tak, keemat maximum tak pohanch chuki thi, jahan takreen aur talaqat ki mukhtalif qism ke jhaale ban rahe thay, yahan wahan ja rahi thi, yeh tasveer din ke andar chhotay arse mein dekhi ja sakti hai. Sab kuch Jumma ko hal ho gaya. Aham khabron ka aik silsila America mein aya aur keemat tezi se buland ho gayi. Is khabar se America mein keemat tezi se buland ho gayi, lekin sirf American dollar hi nahi, yeh market ke poore shuay mein mazid mazboot ho gaya. America ke non-agricultural sector mein munsif logon ki tadad mein tabdeeli aayi aur woh peshgiyon se bilkul behtar sabit hui, jo American currency ko mazbooti dene ke liye acha hai. Lekin doosra indicator, be-rozgar ki dar, mukhalif taur par barh gayi, jo dollar ke liye manfi hai. Yeh lagta hai ke yeh khabrein aapas mein tawazun banana chahiye thi, lekin kisi wajah se dollar mazid mazboot ho gaya. Shayad is wajah se ke aik technical tasveer thi zyadatar asli aalaaton ke liye. Yahan tak ke jaldi girne ki nishaaniyan bhi thien, aur sab se pehle, yeh bearish divergence ke mojoodgi thi jo MACD aur CCI indicators mein istemal hoti hai. Lambe arse tak keemat ne neeche nahi jana chahti thi aur phir sab kuch khabron par hua. Hal hi mein keemat ne neeche ki taraf aik price gap ke sath kholi, mujhe kehna chahiye ke yeh gaps lambi muddat se nahi thay, aam tor par woh jagah par kholta thi jahan hafta band hota tha, lekin yahan woh khaas zyada bara nahi tha, lekin neeche ki taraf ka gap girte raha. Mustaqbil mein keemat aik oonchi hui rekha tak pohanch sakti hai jo neeche se guzarti hai. Lekin aik neeche ki taraf qareebi mojoodgi ko barhane ke baad lena chahiye; yeh keemat banne wala gap band karne aur 1.0800 ke resistance level ko test karne ka buland ihtimal
    Technical indicators jaise ke moving averages aur Bollinger Bands bhi is movement ko support kar rahe hain. Price ne Bollinger Bands ke neeche ke band ko touch kiya hai, jo ke ek aur bearish signal ho sakta hai. Moving averages bhi downward trend ko support kar rahe hain, jo ke yeh indicate karta hai ke selling pressure abhi bhi mazboot hai.
    Is waqt RSI (Relative Strength Index) bhi neutral zone mein hai, magar agar yeh 50 level ke neeche aata hai to yeh ek aur bearish signal ho sakta hai. MACD (Moving Average Convergence Divergence) indicator bhi bearish divergence ko zahir kar raha hai, jo ke price ke neeche girne ka imkaan zyada karta hai.
    In sab factors ko dekhte hue, traders ko price action ko closely monitor karna chahiye. Agar price 1.0738 ke upar close hoti hai, to upward trend ka chance barh sakta hai. Magar agar price 1.0650 ya 1.0665 ke neeche close hoti hai, to yeh selling signal ho sakta hai aur price further decline kar sakti hai.
    Aane wale dinon mein economic data releases aur geopolitical events bhi is currency pair ko affect kar sakte hain. Eurozone aur US se aane wale economic indicators aur central bank policies pe bhi traders ko nazar rakhni chahiye. Agar koi unexpected event hota hai, to yeh price ko sharply move kar sakta hai.
    Akhir mein, current technical indicators bearish trend ko support kar rahe hain, aur traders ko price levels aur key indicators pe closely nazar rakhni chahiye taake apni trading strategies ko accordingly adjust kar saken.

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    • #752 Collapse

      Jab aj EUR/USD ka haftawar chart dekhta hun, to yeh haftay mein, local support level ko test karne ke baad, jo ke, meri markings ke mutabiq, 1.06675 par hai, aik pullback hua aur haftay ke end tak, aik bullish candle bani jismein aik barra upper shadow tha. Abhi yeh instrument par kuch dilchaspi nahi dekh raha aur overall, mein puri tassali se kehta hun ke agle haftay mein phir se support level ko dobara test kiya ja sakta hai, jo ke, meri markings ke mutabiq, 1.06675 par hai. Jaisa ke mein pehle keh chuka hun, is support level ke qareeb do manazir ho sakte hain. Pehla manzar aisa hai ke reversal candle bane aur uptrend ka dubara aghaz ho. Agar yeh plan kaamyaab hota hai, to main price ko resistance level jo ke 1.08522 par hai ke taraf barhne ki umeed karon ga. Is resistance level ke upar price band hone par, main mazeed taraqqi ke liye tawaqo rakhon ga, ya to resistance level jo ke 1.09160 par hai ya phir resistance level jo 1.09812 par hai. In resistance levels ke qareeb, main trading setup ka intezar karun ga, jo agle trading direction ka tay karnay mein madad kare ga. Beshak, main ye bhi dekh raha hun ke price mazeed upar ki taraf push ho sakti hai resistance level tak jo ke 1.11393 par hai, lekin is par tab tak amal kiya jayega jab situation par depend karega aur price designated higher northern targets ke sath kaisa react karta hai. Support level 1.06675 ko dobara test karne par price movement ke alternate scenario mein aik plan hai jahan price is level ke neeche band hone par aur southward jaari rehta hai. Agar yeh plan samne aata hai, to main price ko support level tak jaate huye dekh raha hun 1.06011. Is support level ke qareeb, main bull signals ki talaash jari rakho ga, uptrend ke dobara shuru hone ki umeed rakhte hue. Dour tak southern targets tak pohonchne ka bhi ihtimal hai, lekin mein abhi usay tezi se haqeeqat mein dekhne ki sambhavna nahi samjhta. Mukhtasir tor par, agle haftay ke liye, main waqtan-fa-waqt kuch dilchaspi wala nahi dekh raha. Overall, main bullish scenario ki taraf jhuk raha hun, is liye mein qareeb ke support levels se bull signals ki talash kar raha hun, uptrend ka dobara shuru hone ka intezar karte hue.


         
      • #753 Collapse

        EUR/USD currency pair, jo ke is waqt lagbhag 1.0696 par trade ho rahi hai, bearish trend ka samna kar rahi hai. Halankeh market movement dheemi hai, kayi factors yeh suggest karte hain ke kareebi mustaqbil mein ek significant shift ho sakta hai. In factors ko samajhna traders aur investors ko potential volatility ke liye tayar karne mein madadgar ho sakta hai.

        Sabse pehle, Eurozone aur United States ka macroeconomic environment aham role ada karta hai. Euro par pressure hai Eurozone ki economic challenges ki wajah se, jese ke sluggish growth, inflationary pressures, aur political uncertainties, jaise Italy aur Spain. European Central Bank (ECB) ne dovish stance rakha hai low interest rates aur quantitative easing measures ke sath taake economy ko stimulate kiya ja sake. Magar, agar inflation barh jaati hai, ECB ko zyada hawkish stance lena pad sakta hai, jo ke euro ko mazboot kar sakta hai.

        Iske muqable mein, U.S. dollar relatively strong hai, jo Federal Reserve ki tighter monetary policy ki wajah se hai. Fed ne inflation se larne ke liye interest rates ko barhaya hai, jo dollar ko bolster karta hai. Agar Fed apni policy mein changes kare, jaise ke rate hikes ko pause kare ya future cuts ke indications de, to dollar weaken ho sakta hai aur EUR/USD pair mein significant movement ho sakti hai. Iske ilawa, U.S. ke strong economic data, jaise ke employment figures aur GDP growth, dollar ko support karte hain. Magar, kisi bhi economic slowdown ke signs market sentiment ko shift kar sakte hain.

        Geopolitical events bhi ek critical factor hain jo EUR/USD pair mein significant movements ko drive kar sakte hain. For example, ongoing trade negotiations, political developments, ya economic sanctions heightened volatility ko lead kar sakte hain. Positive developments, jaise ke trade disputes ka resolution ya Eurozone mein political stability ke barhawa, euro mein investor confidence ko boost kar sakte hain. Iske ulat, geopolitical tensions ya sanctions jo Eurozone ya U.S. ko affect karte hain, safe-haven assets ki demand ko increase kar sakte hain, jo EUR/USD pair ko impact kar sakte hain.

        Market sentiment aur speculative activities bhi currency pair ko influence karte hain. Traders aur investors closely monitor karte hain economic indicators ko, jaise ke GDP growth, employment rates, aur manufacturing output, taake Eurozone aur U.S. economies ki health ko gauge kar sakein. Eurozone se strong economic data euro mein confidence ko instill kar sakti hai, jo bearish trend ke reversal ko lead kar sakti hai. On the other hand, disappointing data current bearish sentiment ko exacerbate kar sakti hai. Speculative activities, jo market expectations aur news reactions se driven hoti hain, in movements ko amplify kar sakti hain.

        Technical analysis bhi EUR/USD pair ke potential future movements mein additional insights provide karti hai. Filhal, yeh pair ek critical support level ke qareeb hai. Agar yeh is level se neeche break kar jaati hai, to yeh bearish trend ke continuation ko signal kar sakti hai, jo further declines ko lead kar sakti hai. Iske ulat, agar yeh pair is support ke upar hold karti hai aur rebound karti hai, to yeh ek reversal aur significant upward movement ko indicate kar sakti hai. Technical indicators jaise ke moving averages, RSI (Relative Strength Index), aur MACD (Moving Average Convergence Divergence) useful tools hain potential trend reversals ya continuations ko identify karne ke liye.

        Aakhir mein, jab ke EUR/USD pair filhal bearish trend aur slow market movements ko experience kar rahi hai, kayi factors significant changes ka potential suggest karte hain. Economic policies, geopolitical events, market sentiment, aur technical analysis sab possible volatility ko point karte hain aane wale dinon mein. Yeh pair apni bearish trajectory continue karegi ya bullish reversal experience karegi, yeh depend karega in factors ke khelne par. Isliye, yeh zaroori hai ke traders aur investors informed rahein aur naye developments par tayar rahein jo EUR/USD currency pair ko impact kar sakti hain. Ek well-informed aur strategic approach essential hogi is currency pair ke potential shifts ko navigate karne mein, market participants ko emerging opportunities se capitalize karne mein enable karte hue.





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        • #754 Collapse

          EUR/USD currency pair, jo ke is waqt lagbhag 1.0696 par trade ho rahi hai, bearish trend ka samna kar rahi hai. Halankeh market movement dheemi hai, kayi factors yeh suggest karte hain ke kareebi mustaqbil mein ek significant shift ho sakta hai. In factors ko samajhna traders aur investors ko potential volatility ke liye tayar karne mein madadgar ho sakta hai.
          Sabse pehle, Eurozone aur United States ka macroeconomic environment aham role ada karta hai. Euro par pressure hai Eurozone ki economic challenges ki wajah se, jese ke sluggish growth, inflationary pressures, aur political uncertainties, jaise Italy aur Spain. European Central Bank (ECB) ne dovish stance rakha hai low interest rates aur quantitative easing measures ke sath taake economy ko stimulate kiya ja sake. Magar, agar inflation barh jaati hai, ECB ko zyada hawkish stance lena pad sakta hai, jo ke euro ko mazboot kar sakta hai.
          Iske muqable mein, U.S. dollar relatively strong hai, jo Federal Reserve ki tighter monetary policy ki wajah se hai. Fed ne inflation se larne ke liye interest rates ko barhaya hai, jo dollar ko bolster karta hai. Agar Fed apni policy mein changes kare, jaise ke rate hikes ko pause kare ya future cuts ke indications de, to dollar weaken ho sakta hai aur EUR/USD pair mein significant movement ho sakti hai. Iske ilawa, U.S. ke strong economic data, jaise ke employment figures aur GDP growth, dollar ko support karte hain. Magar, kisi bhi economic slowdown ke signs market sentiment ko shift kar sakte hain.
          Geopolitical events bhi ek critical factor hain jo EUR/USD pair mein significant movements ko drive kar sakte hain. For example, ongoing trade negotiations, political developments, ya economic sanctions heightened volatility ko lead kar sakte hain. Positive developments, jaise ke trade disputes ka resolution ya Eurozone mein political stability ke barhawa, euro mein investor confidence ko boost kar sakte hain. Iske ulat, geopolitical tensions ya sanctions jo Eurozone ya U.S. ko affect karte hain, safe-haven assets ki demand ko increase kar sakte hain, jo EUR/USD pair ko impact kar sakte hain.
          Market sentiment aur speculative activities bhi currency pair ko influence karte hain. Traders aur investors closely monitor karte hain economic indicators ko, jaise ke GDP growth, employment rates, aur manufacturing output, taake Eurozone aur U.S. economies ki health ko gauge kar sakein. Eurozone se strong economic data euro mein confidence ko instill kar sakti hai, jo bearish trend ke reversal ko lead kar sakti hai. On the other hand, disappointing data current bearish sentiment ko exacerbate kar sakti hai. Speculative activities, jo market expectations aur news reactions se driven hoti hain, in movements ko amplify kar sakti hain.

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          • #755 Collapse

            Hello, kaise hain aap? EUR/USD Federal Open Market Committee (FOMC) meeting ki minutes release hone se pehle stead rahe. Yeh pair Asian trading session ke doran lagbhag 1.0850 par hover karta raha. Technical perspective se dekha jaye to, EUR/USD pair ka daily chart pair ko apne tamaam moving averages se zyada comfortable dikhata hai, jahan 20 simple moving average firmly neeche se flat 200 SMA ke kareeb aa raha hai. Technical indicators weekly peaks se retreat kar rahe hain magar ab bhi positive grounds par hain aur increased selling interest suggest nahi karte. 4-hour chart par EUR/USD pair technically neutral hai, lekin bearish bias ke sath. Yeh pair apne 20 SMA ke neeche develop ho raha hai, jo ke directional strength lose kar chuka hai magar ab bhi lambi der ke liye upar hai. Aakhir mein, Momentum indicator apne 100 level ke ird-gird directionless hover kar raha hai, jabke Relative Strength Index indicator modestly 49 ke aas-paas hai, bagair kisi leg down expectation ko confirm kiye.

            Tuesday ko, US dollar ne market mood sour hone par rally ki. Phir bhi, pair apne comfort zone ko chhodne se inkaar karta raha, kyunke data aur policymakers ke alfaz speculative interest ko convince karne ke liye kaafi nahi the. Europe se khabrein aam tor par encouraging thi, jese Germany ne apna April producer price index release kiya jo YoY 3.3% shrink hua expectations ke mukablay mein 3.2% slide. Monthly basis par, PPI 0.2 percent increase hua, jo expectations aur March data ke sath in line tha. Iske ilawa, EU ne March ka current account unveil kiya, jo larger-than-expected seasonally adjusted surplus of €35.8 billion post kiya, jabke trade balance usi month ke liye €17.3 billion tak barh gaya. United States macroeconomic calendar mein sirf ek aur batch of Federal Reserve speakers the, jo well-known messages repeat kar rahe the. Market participants ne stocks se cues liye, jahan Asian aur European markets red mein close hui magar US indices modest gains banane mein kamiyab rahe.
               
            • #756 Collapse

              EUR/USD currency pair ka timeframe chart par tajziya kuch interesting dynamics ko zayar karta hai jo is waqt unfold ho rahe hain. Notably, yeh pair ab tak 1.08030 level ko nahi choon saka, jo ek significant price point hai jise traders bohot qareebi tor par dekh rahe hain. Yeh observation yeh suggest karta hai ke jabke price is key level ke ird gird hover kar rahi hai, ab tak isne isse test ya break karne ka faisla nahi kiya. Furthermore, intraday pivot levels ka tajziya dikhata hai ke yeh bohot zyada compressed hain. Yeh compression yeh indication hai ke market consolidation aur low volatility ke period se guzar rahi hai. Jab pivot levels tightly packed hotay hain, yeh aksar ka matlab hota hai ke price bohot narrow range mein trade kar rahi hai. Doosre lafzon mein, market participants ek state of indecision mein hain, aur kisi catalyst ka intezar kar rahe hain jo price ko kisi bhi direction mein push kar sake. Low volatility aur tight consolidation ke periods ko ek coiled spring se mushaba kiya ja sakta hai. Jitni der tak price ek narrow range mein rehti hai, utna hi significant breakout hota hai jab yeh finally occur karta hai. Traders aur analysts aksar anticipate karte hain ke aise compression ka period substantial price movement lead karta hai jab market ek direction ka faisla karti hai. Is liye, jabke EUR/USD pair is waqt low volatility experience kar rahi hai, yeh situation zyada der tak nahi rehti.
              EUR/USD pair mein observed consolidation phase suggest karta hai ke traders ko potential volatility spikes ke liye tayar rehna chahiye. Aise spikes mukhtalif factors se result ho sakte hain, including economic data releases, geopolitical events, ya market sentiment mein changes. Traders ke liye yeh zaroori hai ke wo upcoming news events aur doosre market-moving factors ke baare mein informed rahen jo EUR/USD pair ko influence kar sakte hain. External factors ko monitor karne ke ilawa, traders ko technical indicators aur chart patterns par bhi dhyan dena chahiye jo next significant move ke clues provide kar sakte hain. Misal ke tor par, agar consolidation phase ke dauran chart patterns jaise triangles, flags, ya pennants mojood hon to yeh potential breakout direction ka hint de sakte hain.
              EUR/USD ne finally ek local downward trend form karna shuru kiya. Hum ab bhi expect karte hain ke pair 1.0600, 1.0450, aur shayad 1.0200 levels tak drop karegi. Lekin, yeh samajhna zaroori hai ke yeh targets sirf kuch hafton mein nahi pohoch sakte; yeh medium-term hain. Misal ke taur par, pair freely is hafte ke doran ek corrective phase se guzar sakti hai. Is ke bawajood, hum medium-term mein euro ke rise hone ki koi wajah nahi dekhte.
              Wednesday ko traders ek bullish correction ke continuation expect kar sakte hain kyunki price ne 1.0726-1.0733 area breach kar liya hai. Lekin, is hafte ki volatility kam ho sakti hai.


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              • #757 Collapse

                EUR/USD

                Aaj hum EUR/USD currency pair ke price action analysis par baat karenge. EUR/USD pair ke liye, maine D1 time frame ke context mein H4 chart ka analysis kiya. Consolidation jaari hai, aur ek potential reversal jaldi ho sakta hai. Ek bullish direction mein breakout behtar hoga kyun ke yeh growth ka aghaz signal karega. 1.0664 level ka retest zaruri hai. Dollar ab bhi zyada taqatwar hai US ke higher interest rate ki wajah se, jis se sales zyada relevant banti hain. Aanewale French elections bhi Euro par negatively impact daal sakte hain, jo mazeed pressure add karte hain. Market outlook firm aur solid nazar aata hai.
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                Naye trading week ke liye tayyari karte hue, main har pair ke trading asset ki structure ko deeply samajhne ki koshish karta hoon. EUR/USD ke weekly period ko dekhte hue, nearest liquid area 1.0761 aur 1.0799 ke darmiyan hai. Yeh area ek imbalance ko represent karta hai jahan ek significant player market mein enter hua tha, jo aksar price ko is level par wapas laata hai, jo ke strong resistance ke tor par kaam karta hai. Is liye, market ke khulne par, is imbalance area (1.0761-1.0799) ki taraf ek upward move mumkin hai, magar potential sales ho sakti hain agar ek reversal candle pattern lower period mein form hoti hai. Main Asian session ke results ko dekhne ka plan bana raha hoon pehle ke apni trade strategy build karoon, kyun ke bohot saare zones European market ke khulne se pehle significantly shift ho sakte hain. Is liye, ab tak ek precise entry point offer karne ka intezaar kar raha hoon. Ideally, main selected area ka testing expect karta hoon. Magar, main growth ko ek correction nahi samajhta uski risky nature ki wajah se.
                   
                • #758 Collapse

                  EUR/USD currency pair ke price behavior ka analysis discuss ho raha hai. EUR/USD pair ne hourly descending channel ke lower boundary aur local minimum 1.0719 ko test kiya aur phir correction start hui. Aaj yeh resistance 1.0774 ki taraf rise karne ki koshish kar raha hai. Agar aane wale US inflation data figures expected se lower aate hain, to hum ek upward impulse dekh sakte hain jo levels 1.0804-1.0819 tak ja sakte hain, uske baad potential price pullbacks ho sakte hain. Ek doosra impulse Fed ke rate announcement aur press conference ke baad ho sakta hai. Kal market ne ek strong upward trend ka indication diya, significant liquidity accumulation aur projected performance ko surpass karte hue. Favorable trading conditions ke bawajood, maine participate nahi kiya aur potential profits miss kar diye.
                  Agar aap euro ki rise expect karte hain, to higher time frames me reversal pattern ka wait karein. 4-hour chart par, euro Bollinger Bands ke central area mein consolidate ho raha hai lower band ke along move karne ke baad. Even though it’s open to the outside, price drop ke liye ek strong signal lower band ke active approach ka zaroorat hai. Assess karein ke bands open outward hain ya remain unresponsive. Price drop ka target nearest fractal down hai. Breaking aur consolidating below this price ko May 9 fractal level 1.0724 tak le jaane dega. Nearest fractal up door hai, isliye humein closer fractal formation ki zaroorat hai jo potential price growth ko support kar sake.

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                  In conclusion, EUR/USD pair ka future movement crucial support aur resistance levels par depend karta hai. Traders ko in points ko monitor karna chahiye, aur market indicators closely handle karna chahiye pair ke volatility ko. Trading cautiously aur informed decision making zaroori hai. News events aur market dynamics pe continuous attention dena bhi crucial hai, kyunke market ka dynamic nature adaptability aur awareness demand karta hai, ensuring ke traders tayar hain kisi bhi shifts ko respond karne ke liye, thereby EUR/USD market mein success ke chances optimize karte hue.
                   
                  • #759 Collapse

                    Euro is waqt foreign exchange market mein mushkilat ka samna kar raha hai. Hal hi mein yeh 1.0689 level se neeche gir gaya hai, jo ke aik aham nuqta hai jis ne analyst aur traders ka dhyan khicha hai. Yeh harkat euro ke liye potential volatility ka ishara de rahi hai aur uske mustaqbil ke bare mein kafi atkalain lagayi ja rahi hain
                    Halaanke euro filhal 1.0670 ke key support level se ooper hai, lekin market dynamics yeh batate hain ke yeh support humesha nahi rahega. Yeh level isliye aham hai kyun ke yeh traders aur investors ke liye aik psychological threshold ko represent karta hai. Isko breach karna sentiment mein tabadli ka ishara de sakta hai aur euro ke ziada girawat ka sabab ban sakta hai
                    Kai factors euro ke precarious position mein hissa le rahe hain. Pehle, Eurozone se aane wale economic data mixed hain, kuch mulk recovery dikhate hain jab ke doosre ab bhi struggle kar rahe hain. Yeh uneven economic performance Eurozone economy ki overall health aur euro ki strength ke bare mein uncertainty paida karta hai
                    Iske ilawa, doosri major currencies, khaaskar US dollar, ki relative strength bhi aik aham consideration hai. US dollar ne haal hi mein positive economic data aur Federal Reserve ke interest rate hikes ke expectations ki wajah se relative strength dikhai hai. Strong dollar ka matlab aksar weak euro hota hai, kyun ke yeh dono currencies aksar inversely correlated hoti hain
                    Short term mein, technical analysis yeh suggest karti hai ke euro ko aur downside risks ka samna ho sakta hai. Traders support aur resistance levels, trend lines, aur doosre technical indicators ko closely monitor karte hain taake potential price movements ko gauge kar saken. Agar euro 1.0670 support level se ooper rehne mein nakam hota hai, toh yeh further selling pressure ko prompt kar sakta hai, jo ke ziada pronounced decline ki taraf le ja sakta hai
                    Lekin yeh yaad rakhna zaroori hai ke currency markets inherently unpredictable hain, aur economic, political, aur psychological factors ke complex interplay se mutasir hote hain. Jab ke euro ka current outlook challenging lag raha hai, unexpected developments hamesha landscape ko badal sakti hain. Misal ke taur par, Eurozone se positive economic data, geopolitical tensions ka resolution, ya central bank policies mein shift euro ke liye support provide kar sakti hain aur iske downward trend ko reverse kar sakti hain
                    Khulasa yeh hai ke euro is waqt aik precarious position mein hai, 1.0689 level se neeche gir chuka hai aur further declines ka imkaan hai. Jab ke key support level 1.0670 ab tak breach nahi hua, market conditions yeh suggest karte hain ke yeh threshold qareebi mustaqbil mein test ho sakta hai. Investors aur traders economic indicators, geopolitical developments, aur central bank actions ko closely watch karenge taake euro ke next moves ko gauge kar saken. Jaise ke hamesha, foreign exchange market aik dynamic aur unpredictable environment rehta hai, jahan fortunes kai factors ke base par rapidly change ho sakti hain
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                    • #760 Collapse

                      Euro ne qareebi dinon aur hafton mein kafi volatility ka samna kiya hai, aur 1.07 ka level aik important support zone ban gaya hai jise bohot se traders closely dekh rahe hain. Yeh level significant push aur pull action dikhata hai jo is waqt market environment mein iski importance ko indicate karta hai.

                      1.0750 ka level upar bull move ka potential target ban sakta hai, jabke lower 1.0650 ka level aik aur support level ke taur par kaam kar raha hai. Recent changes euro mein heavily influence hui hain European Central Bank ke recent rate cuts se, coupled with Federal Reserve ke actions jo rates cut kar sakti hain, lekin in prospects ke bawajood, U.S. mein rates abhi tak appreciate nahi hui hain, jo disproportionate impact lower income levels par daalti hai, jabke upper classes ko koi farq nahi padta.

                      Given current conditions, lagta hai ke market is zone mein oscillate kar sakta hai, khaaskar jab hum normally quiet winter months mein enter ho rahe hain. Currency markets is period ke dauran activity mein kami dekhte hain, aur EUR/USD pair bhi isse mukhtalif nahi hai. Strong guidance ka lack sirf euro mein hi nahi, balki doosri markets mein bhi zahir hai.

                      Summary mein, euro aik period of high volatility aur subsidies mein enter ho raha hai. Traders ko 1.07 level par nazar rakhni chahiye as an important support area, with a possible moving target near 1.0750 aur further support near 1.0650. Broader market conditions, jo ke central bank policy aur seasonal factors se influenced hain, suggest karte hain ke near term mein long-range trading continue ho sakti hai. Isliye, yeh prudent ho sakta hai ke neutral rahein jab tak clear signals emerge nahi hote.
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                      • #761 Collapse

                        EUR/USD Wednesday ko ek kaafi susti se neeche ki taraf movement jari rakha aur din ke ikhtitam tak, price teesri martaba level 1.0678 ke qareeb pohanch gayi. Aam tor par, is level se pehli baar bounce hone ke baad, pair ne ek flat phase mein dakhil ho gaya hai, jo ke iska matlab hai ke pair ek sideways channel mein trading kar raha hai. Iska upper boundary level 1.0726 ke mutabiq nahi hai; yeh thoda ooncha hai. Is liye, level 1.0678 se teesra rebound ek naye upward movement ko trigger kar sakta hai sideways channel ke andar. Ulta, agar sideways channel ke neeche band ho jaye, to yeh ishara karega ke flat khatam ho chuka hai aur euro aur neeche girne ka ishara hai.
                        Sach kehte hain, humein yeh maan lena chahiye ke euro kisi na kisi tareeqe se girne ka silsila jari rahega. Price ne lambay arsay se correction phase mein guzar rahi hai, lekin global downward trend ab bhi barqarar hai. Isi liye hum ummeed karte hain ke euro girne ka silsila tab tak jaari rahega jab tak yeh global trend ulat nahi jata. Kal, maqroohmics aur bunyadi background ki kami thi, jo kam volatility ko samjhati hai. Lekin, kam volatility kai mahinon se trading ka integral hissa rahi hai. Pair ne sirf 5-minute timeframe par ek signal banaya tha - ek khareednay ka signal. Yeh kaafi kamzor signal tha aur itna be-dagh tha ke hum is par trading ka mashwara nahi denge. Yaad dilate hain, bounce ki soorat mein, rebound precise hona chahiye. Agar yeh precise nahi hota, to is signal ki taqat kam ho jati hai. Is ke ilawa, price ne level 1.0678 ke qareeb teesri baar approach kiya hai, is liye is level ko torne ke behtar imkaanat hain. Har halat mein, price ne maqsad ke taraf bhi 10 pips se kam movement kiya tha.


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                        Thursday ke trading tips:
                        Hourly chart par, EUR/USD local downward trend bana raha hai, lekin pair abhi correction ke daur se guzar raha hai aur ek sideways channel ke andar trading ho raha hai. Hum abhi bhi umeed rakhte hain ke quote levels 1.0600, 1.0450, aur shayad 1.0200 tak girne ka. Lekin yeh samajhna zaroori hai ke price in maqsadon tak foran nahi pohanchega; yeh medium-term objectives hain. Maslan, pair ek aur haftay tak correction phase mein ja sakta hai, kyun ke price ne teesri koshish ke baad bhi level 1.0678 ko tora nahi hai. Hum medium-term mein euro mein kisi bhi umeed ko nahi dekhte.

                        Thursday ko, traders ko ummeed hai ke agar price level 1.0678 ko tor deta hai, to downward movement jari rahega. Lekin yad rahe ke EUR/USD kamzor aur be-dagh movement bhi dikha sakta hai.

                        5M chart par key levels hain: 1.0483, 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 phir European Union mein koi ahem waqiaat nahi hain. United States mein GDP ke final estimate, durable goods orders, aur initial jobless claims ke baray mein reports shamil honge. Jaise kehte hain, "jab sailaab ho, toh har kinara qaim rakhna chahiye."
                           
                        • #762 Collapse

                          Subah ki taqreer mein, maine level 1.0701 ko highlight kiya aur is par trading faislay ke ikhtiyarat banane ka irada kiya tha. Chaliye 5-minute chart par dekhte hain aur dekhte hain ke wahan kya hua. 1.0701 ke breakout aur retest ne kamzor German statistics ke baad short positions mein dakhil hone ka natija diya, jis se pair mein 20 points ki girawat hui, lekin humne 1.0672 ke maqsad level tak nahi pohancha. Din ke doosre hisse ke liye takneeki nazar raushan rahi.
                          EUR/USD par long positions kholne ke liye, yeh shara'it zaroori hain:
                          Jermany se kamzor data aur European Central Bank ke ek rehnuma ke khule aitraf ne euro par dabao barhaya hai, jo ke doosre roz ke liye grow karne mein mushkil ka samna kar raha hai. Amrici session mein, US mein naye ghar ki sale ki data, market ke liye dilchaspi ka mozo hai, agar figures muqabla karte hain to euro ki darkhwast lautne ki ummeed hai. Is wajah se mahine ke minimum ke aas paas bechne wale kamzor honge. Sirf 1.0672 ke aas paas jhoota breakout long positions ke liye munasib entry point hoga, jo ke target 1.0701 ki taraf ho ga—jo pehle din mein resistance ke tor par support ka kaam kar raha tha.

                          Is level ke ooper moving averages hain, jo ke sellers ke faidemand hain. Is liye, is range se breakout aur iske baad girawat pair ko mazbooti deta hai, jis ke baad pair 1.0733 ki taraf barhne ka imkaan banata hai. Aakhir ka maqsad 1.0761 par hai, jahan par main apne munafa le lunga. Is level ko test karne se buyers ko faiyda hoga. Agar EUR/USD girta hai aur din ke doosre hisse mein 1.0672 ke aas paas koi gati nahi hai, to sellers ko poora control mil jayega, jo ke sideways channel se bahar nikalne ka baad karne ka soch raha hoon. Is surat mein, main sirf 1.0642 ke aglay support ke aas paas jhoota breakout ke baad dakhil hoonga. Long positions ke liye seedhe rebound par dakhil hone ke liye, main 1.0601 se shuru karne ka irada karta hoon, jahan din ke andar ek 30-35 points ki upward correction ka nishana hai.


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                          EUR/USD par short positions kholne ke liye, yeh shara'it zaroori hain:
                          Sellers ne apne aap ko kaafi achhi tarah se sabit kar liya hai, aur abhi zaroori hai ke 1.0701 ke neeche rehna. Agar US data ke bullish market reaction ke surat mein, jo ke na mumkin nahi hai, to 1.0701 par resistance ki hifazat aur wahan jhoota breakout ek munasib entry point dega short positions mein dakhil hone ke liye, jis ka maqsad pair ke mazeed girne ka hai 1.0672 ke support tak, jo ke sideways channel ki tarah ka lower boundary ka kaam karta hai. Agar is range ke neeche breakout aur mazboot US real estate market ki statistics ke samne, sath hi upar se neeche reverse test, to yeh doosra selling point hoga jis ke sath pair ko ek naye low 1.0642 ki taraf move karne ka imkaan hoga, jahan par main zyada active bullish behavior ki umeed rakhta hoon.

                          Aakhir ka maqsad minimum 1.0601 par hoga, jahan par main apne munafa le lunga. Agar EUR/USD din ke doosre hisse mein upar ki taraf move karta hai aur agar 1.0701 par bears na hon, jo ke zyada mumkin hai, to buyers market ko balance karne ke liye wapas a sakte hain, channel ke andar trading jari rakhte hue. Is surat mein, main selling ko 1.0733 par test karne tak muntaqil karunga. Yahan bhi main is par dakhil hoon ga, lekin sirf ek unsuccessful consolidation ke baad. Main 1.0761 se seedhe rebound par short positions kholne ka irada karta hoon, jahan par main din ke andar 30-35 points ki downward correction ka nishana hai.
                             
                          • #763 Collapse

                            EUR/USD Ke Price Ki Tajarbat
                            Hum EUR/USD currency pair ke price ke haliyaat ki tashreeh karenge. Is tashreeh mein, main rozana ka chart jaanchunga. Jaisa ke dekha gaya hai, euro/dollar pair 2024 ke ibtedai dino mein banaye gaye descending price channel ke andar qaim hai. Channel ke upper boundary se ek rebound ke baad, ek naya girawat wave numaya hua hai. Takneeki tor par, is girawat wave ka 50% tajarba shuda hai, aur bears channel ke lower boundary ki taraf mazeed girne ka nishana banaye hue hain, jo ke 1.0501 ya 1.0451 ke qareeb hai, jo ke October 2023 ke local minimum se milta julta hai, jise bears dubara test kar sakte hain. Daily chart par euro-dollar pair ne girawat mehsoos ki. Price pehle highs se gir kar 1.0683 support level tak pohanch gayi, phir is support se rollback hua aur near 1.0683 close hua. Aaj, maine pehle 1.0801 resistance ki taraf mazeed izafa ka intezar kiya tha, jo ke haqeeqat mein nahi hua. Balki, ab main 1.0758 resistance ki taraf izafa ko ahem samajh raha hoon. Kam az kam, price ko is resistance ko test karna chahiye. Agar price 1.0683 ke neeche gir jaye, to kal ke liye focus 1.0613 support ki taraf girne par shift ho jayega.


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                            Aaj euro-dollar sellers ke liye behtar raha, lekin EUR/USD ke H4 chart par uncertainty bani hui hai, jo ke market ke reaction par mabni hai 1.0711 resistance ke sath bearish start line ke saath. Agar yeh level phir se tor diya jaye, to euro ke liye critical point agla resistance 1.0736 par hoga. Yahan se, price ya to bearish ho sakta hai ya phir upper boundary of the ascending fan aur resistance zone 1.0771/1.0791 ki taraf apni upward correction jaari rakhega, jahan se naye girawat attempts honge in levels se. Aam taur par, EUR/USD ki situation mushkil hai. Main nedheek hua ek chhota buy close kiya, aur hum kal market ko dobara tashreeh karenge. Takneeki tor par, euro-dollar ka primary momentum 1.0671 low se upward hai jab tak ke price 1.0695 ke upar rahe, jo ke bullish trend ko barqarar rakhta hai.
                               
                            • #764 Collapse

                              EUR/USD Ki Tajzia
                              H4 Time Frame Mein Update

                              Bearish forces ne phir se pesh qadam hotay hue EUR/USD ke exchange rates ko 4-hour chart ke trading range ke lower end par khinch liya hai, wah wah! Shab bakhair Sasha aur trading mubarak!


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                              Aaj US dollar ki demand mein izafa dekhne ko mila, jo ke market mein dollar ki growth ka sabab bana, European currency ke khilaf bhi. Iske nateeje mein EUR/USD prices ne 4-hour chart par red moving average tak wapas aa gayi, lekin neeche nahi gir saki. Ye is baat ki dalil hai ke rebound aur upward trend ke dobara shuru hone ke imkanaat hain taake resistance level 1.0701 ko mukarrar kiya ja sake, aur agar yeh break ho jaye to ek aur bullish movement ki tasdeeq hogi jo trend ke upper limit ko target karega. Trading range 1.0750 par hai.

                              **Fundamental Pehlu:**

                              Agar fundamental pehlu se dekha jaye to yeh decline ajeeb lagta hai, kyunki naye gharon ki sales mein tezi se kami ek aur factor hai jo Fed par pressure daal raha hai, jo refinancing rates ko November se pehle cut karne ke imkanaat ko barha deta hai. United States mein mortgage rates mein tezi se izafa naye gharon ki sales mein kami ka sabab bana, aur kyunki mortgage rates ka Federal Reserve System ke refinancing se seedha taluq hai, aisa economic blow nazar andaz nahi kiya ja sakta. Sabse aham cheez yeh hai ke mojooda trends mein fail na ho, aur ek option hai ke weekly triangle ke borders tak pullback milay jo ke 1.0640 par hai, aur wahan se ek simple correction ke sath reversal aur is number se bahar nikalne ka mauka milay.

                              Hum current levels se sales uthayenge, lekin chand din baad. Mein filhal buying ka soch nahi raha, kyunki haalat yeh zahir karti hai ke euro ke girne ka silsila jari rahega. Ab, mein ek dilchasp sales level paana chahta hoon.
                                 
                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #765 Collapse


                                Asia Session Mein Euro Aur Dollar Ka Qeemat Kami Dekhta Hai

                                Budh ko Asia session mein Euro aur Dollar ka joRa 1.0680 mark par trading kar raha tha. Lekin is mein mazid khareedari ka zor nahi tha. Buniyadi aur takhniqi soorat-e-haal ko dekhte hue mazeed iste'daad ke baghair pehle din ke 1.0710 region se thodi si bahali jo ek maheenay ka kam tareen satah tha, ko extend karne se pehle ehtiyat baratna zaroori hai.

                                Bazaar Ka Markazi Nuqta: Federal Reserve Ki Sood Ki Faislay Ki Umeed

                                Federal Reserve (Fed) ka sood ka faisla, jo ke American session ke aakhir mein expected hai, sarmayakaroon ke liye markazi nuqta hai. Tawako ki ja rahi hai ke Fed sood ko 5.25%-5.50% ke range mein barqarar rakhega. Is wajah se, Fed Chair Jerome Powell ki press conference aur dot plot par tawajjo di jayegi, jo ke policy makers ke aglay raaste ka pata degi.

                                CME FedWatch tool ke mutabiq, 30 din ka Fed Fund Rate pricing data sirf is saal ek sood cut ko dikhata hai, jo November ya December meeting mein ho sakta hai. Ye umeed bazaar ke rawaiye ko mutasir kar rahi hai, jaisay sarmayakaar amriki inflation data aur Fed ke projections ko qareebi tor par dekh rahe hain.


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                                H4 Chart Technical Analysis: EUR/USD Ke Liye Ahm Support Aur Resistance Levels

                                EUR/USD pair ka raat ka swing low, jo ke 1.0680 area ke qareeb hai, filhal foran neechey ke risks se hifaazat karta hai, khaaskar 1.0650 round figure se pehle. Agar mazeed selling hoti hai, to ye bearish rawaiya ko trigger kar sakti hai, jo pair ko aglay relevant support ke qareeb 1.0631 region ki taraf ghaseet sakti hai. Lagataar neechey ka dabao aakhirkar 1.0600 mark ko test kar sakta hai, ya saal ka sab se kam satah jo April mein touch hua tha.

                                Oopar Ki Janib: Ahem Resistance Levels

                                Oopar ki taraf, koi bhi mazeed harkat selling ka moqa samjha ja sakta hai. 1.0800 round figure ek pivotal point ka kaam karega. Agar is level ke ooper koi qataee tor par break hoti hai, to short-covering rally 1.0861 supply zone aur phir 1.0900 mark tak jasakti hai.
                                   

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