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  • #496 Collapse

    EUR/USD Dollar ke hawale se bullish sentiments dheere dheere kamzor ho rahe hain jabke American economy thandi ho rahi hai. Pehle quarter mein, USA ka GDP growth sirf 1.6% tha, jo expected 2.3% se kam hai. Iske ilawa, April ke retail sales mein koi growth nahi hui. Ye sab uss waqt ho raha hai jab general aur core CPI index dono hi slow ho rahe hain. Jumme ko, May ke liye inflation ka report aayega. Iss hafte ke liye koi important reports schedule nahi hain. European currency ke liye inflation report ab itni zaroori nahi hai kyunke inflation pehle hi 2.4% par aa gayi hai aur lagta hai ke ye niche hi jayegi. Haan, ye zaroori nahi ke indicator har mahine decrease ho, ye kabhi kabhi badh bhi sakta hai aur phir kam ho sakta hai. Magar ab koi expect nahi kar raha ke inflation barh jaayegi. Indicator ka decrease karna sirf already mushkil situation ko aur bura banayega. Haal hi mein, Philip Lane ne kaha ke regulator ke liye accha hoga ke rate ko waqt par kam kar diya jaye. Unka maanna hai ke June ek munasib mahina hai monetary policy ko ease karne ke liye shuru karne ka. ECB abhi bhi dovish hai, jo European currency ke demand ko kam karna chahiye.
    Jumme ko, price pure din badhta raha. Na support test hua aur na resistance, isliye Monday ko maine range ke andar trading ko prioritize kiya. Maine anticipate kiya ke price 1.08646 aur 1.08010 ke range mein trade karegi. Dusre alfaz mein, resistance se bechna aur support se kharidna recommend kiya. Jab tak resistance break nahi hota, selling relevant hai. Aaj ke din, price 1.08646 ke level se niche trade kar raha hai, isliye kal ke liye decline ko prioritize karunga.
    Wednesday ke information background ne phir bear traders ko unki marzi ke mutabiq support nahi diya. Filhal, European currency moderately decline ho raha hai, magar jaldi ECB meeting ke results aayenge, aur ECB President Christine Lagarde bhi aadhe ghante mein speech karengi. Rate cut pehle se hi EUR/USD pair mein price ho chuka hai, magar ye mumkin hai ke aaj regulator monetary policy ko soften na kare. Main is option ko rule out nahi kar sakta. Agar aaj rates nahi kam hue, toh bull traders phir se offensive par chale jayenge. Agar Christine Lagarde "hawkish" rhetoric apnati hain, toh ye euro ko bhi support karega. Aur "hawkish" rhetoric kya ho sakti hai? Lagarde keh sakti hain ke agla rate cut jaldi nahi hoga aur inflation decline ke continuity ko ensure karna zaroori hai.
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    • #497 Collapse

      EUR/USD ke haftawar chart par, jab price ne local support level ko top se bottom tak test kiya, jo ke meri tajziya ke mutabiq 1.07239 par hai, to price ulta seedha ho gaya aur dheere dheere upar ki taraf bharha, jiski wajah se ek candle of uncertainty ban gayi jisme thori si bullish bias hai. Yeh wazeh hai ke is instrument mein ikhataari ho rahi hai aur main poori tawajjo se agle haftay mein bullish impulse ke jaari rehne ki sambhavnao ko poora mehsoos karta hoon. Is mamle mein, jaise maine pehle bhi kaha hai, main 1.08122 par wala resistance level par tawajjo dena chahata hoon. Is resistance level ke qareeb do scenarios ho sakte hain. Pehla scenario yeh hai ke price is level ke upar consolidate hota hai aur apni uparward movement jaari rakhta hai. Agar yeh scenario asar andaz hota hai, to main price ko 1.08850 wale resistance level ki taraf le jate hue dekhta hoon. Is resistance level ke upar consolidate hone par, main mazeed uparward movement ki umeed rakhta hoon 1.09425 wale resistance level ya phir 1.09812 wale resistance level tak. In resistance levels ke qareeb aate waqt, main ek trading setup ke intezar mein rahunga jo agle trading direction ko tay karega. Bila shuba, price in door tak ke bullish targets ke taraf movement karte hue is raaste mein rukawatein bhi a sakti hain jo main use karunga nazdeek ke support levels se bullish signals dhoondne ke liye, uptrend ki barqarar rahne ki umeed mein. Price ke 1.08122 resistance level ke qareeb jaane par ek aur scenario zahir ho sakta hai jo ek reversal candle ka banne aur neeche price ka phir se movement hone ki tajwez deta hai. Agar yeh scenario haqeeqat banti hai, to main umeed karta hoon ke price 1.07239 wale support level tak lautega. Is support level ke qareeb, main mazeed uparward price movement ki umeed rakhta hoon. Bila shuba, zyada door tak bearish targets tak pohanche ki bhi sambhavna hai, lekin main unhe filhal madde nazar nahi rakhta kyun ke main inke fori realization ke imkanaat nahi dekhta. Mukhtasaran, agle haftay mein main poori tawajjo se price ke local uparward movement ke jaari rehne ki sambhavnao ko poora samajhta hoon aur najdeektar resistance level ki taraf tajziya karne ko tayyar hoon, phir faislay market situation ke mutabiq liye jayenge.
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      • #498 Collapse

        EUR/USD currency pair ke haftay ke timeframe chart par dilchaspi angaiz qeemat ka amal mojood hai, jise khaas tor par ek hamwar taraqqi ka chart nikaar raha hai. Yeh hamwar taraqqi ka chart, jo sath diye gaye diagram mein dikhaya gaya hai, traders aur analysts dono ke liye dilchasp manzar pesh karta hai. Chart ko qareeb se dekhtay hue, wazeh ho jata hai ke EUR/USD ke qeemat ke harekat is hamwar taraqqi ke formation ke hadood mein mehdood hain. Ye mojoodgi ki faiz, jis par milte julte trend lines hain, market mein bechaini ke doray ka aghaz batati hai, jahan na to bulls aur na hi bears qaboo ko mustaqil taur par ahtiyaat se naqal sakte hain. Is pattern ko aur ahmiyat ka ek izafa iska moving average lines ke saath mutabiq hona hai. Pichlay kai hafton se, qeemat ne in moving average lines ka imtezaaj karna ikhtiyar kiya hai, jo ke unki ahmiyat ko mazeed mazboot kar raha hai jaise ke mumkinah support aur resistance levels. Jab hamwar taraqqi ka pattern barhta hai, ek dilchasp mushahida saamne aata hai: upper aur lower trend lines ke darmiyan ka farq dhere dhere kam hota ja raha hai. Ye phenomenon is pattern mein volatility mein kami ka ishara hai, jo ke nazdeekhi mein aane wale ek breakout ka pehloo kar sakta

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        Jab aisa breakout hota hai, to yeh wasee tor par tawaqqa kiya jata hai ke EUR/USD ek single direction mein taez raftar mein chalta hai. Yeh raftar ka rukh, jo ke market sentiment aur asliyat ke factors ki intehai maarkazi mein hai, tajziyat ke aghaz se ek aham tabdeeli ka baais banta hai. Traders aur investors is hamwar taraqqi ka hal ka tasleem be sabri se intezar karte hain, kyunke yeh sakti hai ke yeh fayda mand trading mauqe faraham kare. Yeh ke breakout bullish ya bearish manzil ki taraf zyada taur par mukhtalif factors par depend karega, jaise ke maali data releases, central bank policies, geopolitical developments, aur overall market sentiment.

        Ikhtitam mein, EUR/USD ke haftay ke chart par hamwar taraqqi ka formation traders aur analysts ke liye ek mazidah manzar pesh karta hai. Iske moving average lines ke saath mutabiqgi aur trend lines ke dhere dhere aik jana, rukh taein kar raha hai ke aik faisla kun breakout hone wala hai jo ke aane wale hafton mein currency pair ke rukh ko numaya tor par mutasir kar sakta hai. Traders ko mustaqil aur taqatwar market shara'iyat ke jawab mein jagah banane aur is pattern se paida hone wale potential trading mauqe ka faida uthane ke liye mustahiq rahne ka mashwara diya jata hai.
           
        • #499 Collapse

          H1 timeframe par, bears ne 1.0900 ka minimum extreme todne ke baad southern correction par kaam shuru kar diya hai. Yeh correction thodi lambi ho sakti hai. Magar, abhi tak koi trend reversal nahi hua hai, sirf ek pullback hai. Reversal ke liye, kam az kam support level 1.0830 ko todna aur iske neeche consolidation zaroori hai. Sirf tabhi sales ko confidently consider kiya ja sakta hai.
          Lekin, sab kuch actual situation par depend karta hai; US dollar aasani se trend ko apne favor mein turn kar sakta hai, khaaskar jab global trend US dollar ke haq mein hai. Is liye, sales ko dekhna behtar hai. Aaj ke din, south ka kaam ho chuka hai, aur main aage further decline par yaqeen nahi karta hoon, siwai iske ke price 200-period Exponential Moving Average tak gir jaye H1 par. Lekin, ek strong southward movement ke liye, minimum 1.0830 ka breakthrough zaroori hai.

          Aaj ke din mein, south ka influence zyada tha, lekin aane wale waqt mein agar hum sales ko confidently lena chahte hain to 1.0830 ke level ko monitor karna hoga. Agar yeh level break hota hai aur price iske neeche consolidate hoti hai, to strong downward movement ki umeed ki ja sakti hai.

          H1 timeframe par jo current scenario hai usmein bears ka pressure nazar aa raha hai, magar yeh bhi dhyan mein rakhein ke agar koi major fundamental change aata hai to US dollar trend ko apne favor mein le aasakta hai. Issi wajah se, cautious rehna aur market ko closely monitor karna zaroori hai.

          Is waqt, jo buying opportunities hain unhein ignore nahi kiya ja sakta, lekin sales ko priority dena behtar hai jab tak ke 1.0830 ka level break na ho jaye aur price iske neeche consolidate na ho. Yeh technical analysis suggest karta hai ke abhi filhaal trend reversal nahi hua, sirf pullback ho raha hai. Aage ki movement ko closely dekhna hoga taake informed trading decisions liye ja sakein.
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          Mujhe lagta hai ke humein apni trading strategy mein flexibility rakhni chahiye aur support/resistance levels ko dhyan mein rakhte hue apni positions ko adjust karna chahiye. Yeh approach humein market mein jo bhi sudden changes aate hain unse bachne aur profitable opportunities ko capitalize karne mein madad karegi.
             
          • #500 Collapse

            Is hafte EUR/USD pair ne ek rollercoaster ride li hai, lekin key resistance level 1.0900 ko torhne mein nakam raha hai. Yeh hafta data-heavy hone ka wada karta hai, kyun ke Eurozone aur United States dono se kai economic releases expected hain jo exchange rate ko mutasir kar sakti hain. Eurozone ki taraf, focus Germany ki economic health par hoga. Key data points mein manufacturing aur services Purchasing Managers' Indexes (PMIs), labor market report, aur retail sales figures shamil hain. Germany se mazboot data, jo Eurozone ka powerhouse hai, Euro ki value ko boost kar sakta hai. Iske ilawa, poore Eurozone ke liye pehle quarter ke GDP growth figures bhi release honge, jo region ki economic performance ka ek snapshot denge.Wahi doosri taraf, US job market center stage par hai. ADP employment report, ISM manufacturing PMI, aur highly anticipated non-farm payrolls report ki release ko investors qareebi tor par dekh rahe hain. Mazboot US jobs market, Euro ke muqable mein US Dollar ko mazid strong kar sakta hai.Aane wala hafta EUR/USD pair ke liye ek balancing act hoga. Agar Eurozone ka data disappoint karta hai aur US economy apni strength dikhati rehti hai, to Euro weak ho sakta hai aur crucial support level 1.0814 ke neeche gir sakta hai. Yeh aur decline ko trigger kar sakta hai towards 1.0765 area, jo 20-day moving average se marked hai. Magar, Eurozone se positive surprise ya US job market mein slowdown Euro ko 1.0895 se upar aur potentially 1.0940 resistance level ko retest karwa sakta hai. Is point ke upar decisive break rally ke darwaze khol sakta hai towards 1.0980-1.1000 zone, jo Euro bulls ke liye ek significant hurdle hai. Kul mila kar, yeh hafta EUR/USD traders ke liye significant opportunity pesh karta hai key economic data releases se driven potential volatility ko capitalize karne ke liye.Mukhtasir mein, EUR/USD currency pair kaafi arse se ek flat range mein trade kar raha hai, aur price four-hour chart par moving average 1.0831 ko test karne ke liye poised hai. Yeh technical level pair ke liye ek critical point ho sakta hai, jo potential correction towards 1.0830-1.0810 area ko signal kar sakta hai. Information mein rehte hue aur mukhtalif technical analysis tools ko istemal karte hue, traders market ko behtar navigate kar sakte hain aur is potential price movement ke anticipation mein informed decisions le sakte hain.
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            • #501 Collapse

              EUR/USD currency pair abhi 1.0880 ke aas paas trade ho raha hai, aur halaat ke majoodsar anay ko zahir karte hain. Iss dheemi raftaar ke bawajood, qareeb anay wale waqton mein market ki khaas gatividhiyon ka samna karna intezar karna qabil-e-tawajjo wajohat hain. Current Market Context

              EUR/USD pair haal hi mein kuch reasons ki wajah se neechay dabao mein tha. Sab se pehle, mazboot US dollar ki taqat, mazboot economic data aur Federal Reserve se ek relatively hawkish stance ki wajah se, euro ke kam honay mein madad ki gayi hai. Doosri taraf, eurozone ko slow economic growth aur European Central Bank (ECB) ki monetary policy ke ilaqay mein shak aa raha hai. Ye US aur eurozone ke economic outlooks aur monetary policies mein farq neem rukh ke rakhne se EUR/USD pair ko bearish raaste par rakha hua hai.

              Fundamental Analysis

              US Economic Strength
              US ki economy ne josh se dikhaya hai, jahan positive rozaana ki naukriyon ka data, consumer spending, aur overall economic growth eurozone se aage nikla hai. Federal Reserve ne ishara diya hai ke agar inflationary dabao barqarar raha, to mazeed interest rate hikes ki mumkinat hain. Uchh interest rates aksar foreign investment ko attract karte hain, jis se US dollar ki qeemat mijjati hai.

              Eurozone Challenges
              On the other hand, the eurozone faces several challenges. Inflation persistent rahi hai, lekin economic growth thanda raha hai. ECB apni monetary policy ke sath ehtiyat se kaam kar raha hai, inflation ko control karne ki zarurat ke beina economic growth ko damp karne ke bina. Iske alawa, siyasi tensions aur energy crisis, jo Ukraine ke jhagray se barhkararya gaya hai, Europe mein economic uncertainty ko barhate hain.

              Technical Analysis

              Technical nazariye se EUR/USD ek downtrend mein raha hai, jahan key support aur resistance levels aham kirdar adaa karte hain. 1.0880 level ek ahem support level ke tor par kaam kar raha hai, lekin jaari bearish dabao pair ko kam continued bearish pressure could see the pair testing lower support levels around 1.0850 or even 1.0800.

              Moving Averages
              Moving averages (maslan, 50-day aur 200-day moving averages) bearish momentum ko darustkarte hain jab short-term moving averages long-term moving averages ke neechay rehte hain. Ye crossover continued downwaarvard pressure ko darustkarta hai.

              Relative Strength Index (RSI)
              RSI ne lower range mein hover kar raha hai, yeh indicate karta hai ke pair oversold conditions ke nazdeek aaraha hai. Ye ek potential short-term rebound ko suggest karta hai, haalankay broad trend bearish hai.

              Aane Wale Harkaton ki Umeed

              Kuch factors aane wale dinon mein EUR/USD pair mein significant movements ka raasta bana sakte hain:

              Economic Data Releases
              Aane wali economic data, chahe wo US se ho ya eurozone se, zaroori hongi. Key indicators jese GDP growth rates, employment figures, aur inflation data dono regions ke economic health ko samajhne mein madad faraham karengay aur market sentiment ko influence karengay.


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              Central Bank Actions

              Federal Reserve aur ECB ki statements aur decisions kareebi nazar daal li jayengi. Kisi bhi policy changes ke ishaare, khaaskar interest rates ke hu baavha, EUR/USD pair mein volatility ko le kar sakti hain. Maslan, agar ECB se ek more dovish stance ya Fed se less aggressive approach milta hai to ye euro ko support kar sakti hain.

              Geopolitical Developments

              Geopolitical events, khaaskar jo Ukraine ke jhagro se related hain aur unke European energy supplies par asar se, significant fluctuations ko paida kar sakte hain. Kisi bhi masala hal ya jang mein barhavat koi bhi ishara EUR/USD exchange rate mein zahir ho sakti hai.

              Market Sentiment

              Market sentiment, global risk factors, investor confidence, aur speculative trading se influenye hoti hai, bhi ek role play karegi. Risk appetite mein koi badlav, global economic conditions ya unexpected geopolitical events ke tabadliyon se, sharp movements ko kaam mein la sakte hain.

              Ikhtitami Faisla

              Mukhtasir tor par, jabke EUR/USD pair abhi bearish trend se guzar raha hai 1.0880 ke level ke aas paas, kuch factors hai ke aane wale dinon mein zaroori harkaton ka imkan hai. Economic data releases, central bank actions, geopolitical developments, aur market sentiment sab chabi hain. Traders ko chowkidar rehna chahiye, in factors ko qareebi nazar andaz karte hue, as they prepare for potential volatility and opportunities in the EUR/USD market.


                 
              • #502 Collapse

                EUR/USD currency pair ab ek selling zone mein hai jabse weekly pivot level aur D1 chart par key price channels ke neeche break hua hai. Yeh price dynamics ka shift recent bullish trend ke reversal ko signal karta hai. Week ke shuruat mein, pair ne buying pattern dikhaya tha, jo ke pichle do hafton ke trends ke sath match karta tha, aur overall upward trajectory thi. Iske ilawa, price W1 pivot level 1.0738 ke around support mili, jo bullish sentiment ko mazid reinforce karta tha.
                Magar, recent breach of weekly pivot level aur price channels suggest karta hai ke market sentiment ab bearish bias ki taraf shift ho raha hai. Traders ab potential selling opportunities ko dekh rahe hain jabke pair is naye trading environment mein navigate kar raha hai. Key support levels ke neeche breakdown increased selling pressure aur possible reversal in trend direction ko indicate karta hai. Is liye, traders ab price action ko closely monitor kar rahe hain aur sustained downtrend ka confirmation dhoond rahe hain pehle naye positions initiate karne se.

                Selling zone mein move karna changing market dynamics aur evolving investor sentiment ke doran aata hai. Economic data releases, geopolitical developments, aur central bank policies jaise factors EUR/USD pair ke direction ko influence kar sakte hain. Traders ko vigilant rehna padega aur apni strategies ko adapt karna padega emerging opportunities ka faida uthane aur volatile market environment mein risks ko mitigate karne ke liye.

                Recent shift in price momentum ke bawajood, traders potential support levels ko mindful hain jo further downside movement ko limit kar sakte hain. W1 pivot level 1.0738, jo pehle ek support zone ka kaam kar raha tha, ab further price declines ke liye ek barrier ban sakta hai. Iske ilawa, traders bullish reversal patterns ya oversold conditions ke signs dekh rahe hain jo current downtrend mein temporary pause ya reversal ko signal kar sakte hain.

                Summary mein, EUR/USD currency pair ne ek selling zone mein entry ki hai jabse key support levels aur price channels ke neeche D1 chart par break hua hai. Week ke shuruat mein, pair ne buying pattern dikhaya than1 pivot level ke support se, lekin recent shift in market sentiment potential reversal in bullish trend ko suggest karta hai. Traders ab selling opportunities par focus kar rahe hain aur sustained downtrend ka confirmation dekh rahe hain. Bearish bias ke bawajood, traders potential support levels aur reversal signals ko cautious hain jo future price movements ko impact kar sakte hain.
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                • #503 Collapse

                  Kharidaron ko bullish vector ki taraf barhne ke liye, humein khud ko dhakelna hoga aur 1.0852 ke through nikalna hoga, lekin yahan tak sab kuch ab tak behtareen nahi hua hai aur yeh sab kuch naqabil e itminan statistics ki bahane se bahar aya hai. Yeh asal lagta hai; yeh option asal mein realistic lagta hai, lekin main sahi tor par nahi kah sakta ke yeh move kitne arse mein hoga; iske ilawa, humein 1.0957 tak jana hoga. Agar yeh mansooba nakam ho gaya, to bull naturally 1.0852 ke upar se guzar nahi payenge, aur bears pair ko 1.0765 ke support level tak kam karne ke liye ek move banaenge. Sellers ka is level par fix hona niche ki taraf ka movement ko mazboot karega aur ek naye move ko janam dega taake southern correction ko lamba karne ka ek naya amal hoga. Magar yeh wazeh hai ke teraki ki taraf move karna pehle rakhna hai; humein EUR/USD ke girne ke sath sath bullish potential ko bhi dobara shuru karna padega, jo ek end bhi zaroori hai. Iska matlab, jaise hamesha, kam az kam do options potentially ghor kiye ja rahe hain. Kal humne karobaar band kiya, aur aaj hum uske natije dekh rahe hain. Natijay, beshak, shadeed hongay. Hamara target char ghantay ka chart, jis ka haal abhi 1.0820 par hai, ke

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                  nichle line par hai. Aam tor par, mansooba wazeh hai: humein nichle levels par kaam mukammal karna hoga aur phir darmiyan term ke southern direction ke mukammal tajziya ke liye buniad tayar karni hogi. Conversely, selling entry point 1.0868 par rakha ja sakta hai. Yeh level short positions initiate karne ke liye choose kiya gaya hai, jahan traders expect karte hain ke price decline hogi. Is downward movement ke targets 1.08832 aur possibly lower levels hain, jo yahan specify nahi kiye gaye lekin agle significant support zones ko include kar sakte hain. 1.0868 par selling entry rakhne ka matlab yeh hai ke traders bearish momentum ko anticipate kar rahe hain. 1.08832 ka pehla target ek immediate area ko indicate karta hai jahan price ko kuch support mil sakta hai, traders ko partial profits lene ya apni positions ko adjust karne par majboor karte hue. Agar bearish sentiment mazid strong hota hai, to further declines expected hain jo naye
                   
                  • #504 Collapse

                    The trend of EUR/USD hasn't changed yet; it's still predominantly bearish. However, the breach of the daily southern break level at 1.0788 suggests that it could potentially rise towards at least 1.0830. If the level of maximum volume for March futures stays above 1.0847, it could attempt to test the 61.8% level at 1.0882 and the NKZ range of 1.0890-1.0907. Nonetheless, it's advisable not to touch it, as the southern trend could indeed break. According to the daily waves analysis, the decline hasn't concluded yet, and updating the minimum level to 1.0724 is essential. In fact, it had reached the 50% level at 1.0853, suggesting that this correction might be sufficient. However, breaching 1.0788 could push it up to 61.8% at 1.0882, from where going down would be even better. It's evident that for the southward movement, going below the volume of at least 1.0817 is necessary, and then below 1.0788. If it goes above 1.0907 and holds there, it would signify a genuine upward movement. Currently, my main option is to revisit updating the minimums. On the D1 time frame of EUR/USD, I can add system data to your post, which clearly indicates that the breakdown of the medium-term level at 1.0800 has occurred, signaling a shift in the trend. However, I can confirm this more accurately. When we perform a downward correction, the initial level tested is the broken level of 1.0800, and then, as soon as the card falls, there's another yellow level below at 1.0787, where a rollback is welcomed. And there hasn't been much time to take anything down below; I can't add anything here. Because I don't think it's time to pick up anything below; just the required level of 1.0800, which is above your level. For this, I'm waiting for us to reach the required level of 1.0800, and then if we can also pick up 1.0787, the day would be successful, and technically everything would be in line with the plan. I want to show on the graph that on average, we can achieve this; it doesn't necessarily have to be so deep, but it's not excluded, and it won't break the north.

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                    • #505 Collapse

                      EUR/USD currency pair ka timeframe chart kuch dilchasp dynamics zahir karta hai jo filhal unfold ho rahe hain. Khas tor par, yeh pair ab tak 1.08030 level ko nahi chu saka, jo traders ke liye ahem price point hai. Yeh tajziya yeh ishara 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. Mazeed, intraday pivot levels ka tajziya dikhata hai ke yeh bohot zyada compressed hain. Yeh compression yeh ishara hai ke market consolidation aur low volatility ke dor 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 alfaz 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 dor 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. Isi tarah, technical indicators jaise Relative Strength Index (RSI), Moving Average Convergence Divergence (MACD), ya Bollinger Bands market ke momentum aur potential price targets ke baare mein valuable insights de sakte hain. Current market conditions ko dekhte hue, yeh traders ke liye beneficial ho sakta hai ke wo aisi strategies employ karein jo low-volatility environments ke liye well-suited hon. In strategies mein range trading shamil ho sakti hai, jahan traders support levels par buy karte hain aur resistance levels par sell karte hain within the narrow range. Alternatively, traders breakout strategies consider kar sakte hain, jahan wo apne aap ko position karte hain taake consolidation phase ke khatam hone ke baad significant price movements se capitalize kar saken.



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                      • #506 Collapse

                        Good Morning. Aapko naye trading din ki bahut mubarak ho!
                        Hum jaante hain ke Jumma ke din EUR/USD traders ke liye bura din tha. Market ne bohot tez girawat dekhi aur 1.0800 ke border par react kiya. Halaanki mojooda mahal bulish sentiment ke liye moazoon ho sakta hai, traders ko ehtiyaat aur aqalmandi se kaam lena chahiye. Risk management ke principles par amal karte hue aur ek disciplined approach ko barqarar rakhte hue, traders EUR/USD market ki complexities ko zyada confidence aur resilience ke sath navigate kar sakte hain, aur apne trading endeavors mein long-term success ke liye apni position strong kar sakte hain.
                        Main EUR/USD pair par buy orders shuru karne ki advocate karta hoon, lekin chhoti take-profit points ke sath. Yeh baat bhi tasleem karta hoon ke future mein overbought conditions sellers ke liye faida mand ho sakti hain. Yeh nuanced approach currency trading ki multifaceted nature ko tasleem karti hai aur evolving market conditions ke response mein adaptability ki zaroorat ko samajhti hai. Take-profit points set karte waqt ehtiyaat aur restraint ka exercise karke, traders overbought conditions se jude potential risks ko mitigate kar sakte hain, aur apni investments ko safeguard karke long run mein capital ko preserve kar sakte hain.
                        EUR/USD trading ke liye, main mid-day par buy order ko tarjeeh deta hoon kyunki mujhe umeed hai ke market European zone ke doran buyers ke haq mein rahegi. Aakhir mein, buyers iss waqt ek significant surge ka samna kar rahe hain, jo relevant news developments se milne wale favorable catalysts ki wajah se hai. Yeh buying momentum ka surge buyers ke liye market mein mazboot outlook ka buniyad hai agle hafta ke liye. Notably, weekly chart indicators se milne wale indications hint karte hain ke buyers ke haq mein ek potential shift ho sakta hai, jo unki position ko mazid mazboot karta hai.
                        Market ka comprehensive analysis encouraging signs ko reveal karta hai jo EUR/USD pair mein ek potential upward movement ki taraf ishara karte hain, jo resistance barriers ko breach kar sakta hai aur further upward momentum ke raaste ko paved kar sakta hai.

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                        • #507 Collapse

                          EUR/USD Price Breakdown

                          Hum EUR/USD currency pair ke price fluctuations pe focus kar rahe hain. Kai support levels hain, aur sabse notable 1.0784 pe hai. Yeh level potential rise ko suggest karta hai kyun ke yeh ek robust base form karta hai upward movement ke liye. Friday ke market activity ka effect Monday tak kam ho jata hai kyun ke news already visible hoti hai. Iska matlab yeh hai ke decline ke baad volumes ko validate karne ke liye rollback zaroori hai. Volume analysis buying interest ko roughly 1.0868 tak indicate karta hai, jo rollback ke liye kaafi support offer karta hai. Ek immediate ya minor drop ka chance hone ke bawajood, indicators growth ko suggest karte hain, especially entry points ke hawale se. Aane wale hafte mein US economy ke liye significant fundamental events hain aur Wednesday ko Federal Reserve ke decisions hain. Yeh events market trends ko substantially sway kar sakte hain. Jabke Friday ka bearish trend continue kar sakta hai, initial growth likely hai, isliye Monday buying ke liye sahi lagta hai.



                          Agar price level 1.0917 ke upar breakout hota hai toh yeh purchases initiate karne ka chance signal karta hai. Is level ke upar exceed karna aur stabilize hona further upward momentum imply karta hai. Agar 1.0793 pe ek false breakout confirm hota hai, toh yeh continued growth suggest karta hai. 1.0915 ke upar break aur consolidate karne ke baad, subsequent price growth bearish hogi, jo uptrend continuation ko indicate karta hai.
                          Jabke ek minor downward correction possible hai, subsequent growth likely hai. Reaching aur 1.0915 ke upar consolidate karna potential buying opportunities present karta hai. 1.0815 ke upar consolidation bhi ek buying signal act karta hai.
                          Conclusion mein, Monday technical perspective se promising conditions for growth offer karta hai. Support levels aur volume analysis strong buying interest indicate karte hain, particularly around 1.0868. Aane wale hafte ke fundamental events market ko influence kar sakte hain, lekin initial indications upward movement ko favour karte hain. Key levels to watch include 1.0917 aur 1.0815, in points ke upar consolidation further growth opportunities signal karte hain.
                             
                          • #508 Collapse

                            Britani Pound (GBP) Japani Yen (JPY) ke khilaaf mazboot ho raha hai aur filhal 200.00 ke aaspaas trading ho raha hai. Ye uchhalti trend UK aur Japan ke darmiyan mukhtalif interest rate ke farq se hosakta hai. UK mein zyada interest rates investoron ke liye GBP ke assets ko zyada kashish daar banate hain, jabke Japan mein kam rates JPY ko kamzor karte hain. Magar, kuch factors hain jo qareebi mustaqbil mein GBP/JPY ke faayde ko mehdood kar sakte hain. Aik fikar ye hai ke Japani authorities currency market mein dakhil ho sakti hain taake GBP ko kamzor karke JPY ko mazboot karein. Ye aik tareeqa hai jo Japan ne apne exporters ko bachane ke liye pehle istemal kiya hai. Takneeki tor par, GBP/JPY bullish trend mein nazar aata hai. 4 ghante ke chart par key 100-period Exponential Moving Average (EMA) oopar ki taraf mudahil hai, aur momentum indicators jaise ke Relative Strength Index (RSI) aur Average Directional Movement Index (ADX) bhi bullish hain. Ye ishaara deta hai ke pair ke liye sab se kam rukh oopar ki taraf hai.

                            Magar, kuch nishane hain ke RSI ka momentum kho raha hai, aur ye qareeb ek choti bulandi tak pohanch sakta hai. Agar ye ho to ye ek potential reversal ko darust kar sakta hai GBP/JPY ke faayde mein. Bulls (investors jo GBP kharid rahe hain) pair ko nedhi se upar le jane ki koshish kar rahe hain jo ke 200.50 ke halaal par hoti hai, jo ke Japani authorities ke dobara dakhil hone ki wajah ban sakti hai. Ye intervention GBP bulls ke liye nuksan ka sabab ho sakta hai. Dusri taraf, bears (investors jo GBP bech rahe hain) pair ko 198.59 ke neeche dhakelne ki koshish kar rahe hain aur potential tor par 192.57-193.60 kshetr tak pohanch sakte hain. Ye kshetr ahem hai kyun ke is mein 50-day Simple Moving Average (SMA) aur aik lambi muddat ki trend line shaamil hai. Mukhtasir tor par, GBP/JPY bulls aur bears ke darmiyan ek jhalkari mein hai. Bulls Bank of Japan ko JPY ko kamzor karne ke liye dabane ki koshish kar rahe hain, jabke bears GBP/JPY ke uptrend mein kisi bhi nuksan ke nishane ka faida uthane ki koshish kar rahe hain.
                               
                            • #509 Collapse

                              Dollar ke liye bullish sentiments dheere dheere kamzor ho rahi hain jab ke American ma'ashi hawa thandi ho rahi hai. Pehle saal mein, USA ne GDP ka 1.6% ka kamzor izafa dekha, jo ke tawaqqa se kam tha jis ki khatir 2.3% tha. Mazeed, April mein rozgar ki farokht mein koi izafa nahi hua. Yeh sab tabaahi general aur core CPI index mein bhi kami ka sath ho rahi hai. Jumeraat ko May ke liye inflation ka report aaye ga. Is haftay koi ahem reports shamil nahi hain. Inflation ka report European currency ke liye filhal zyada ahem nahi hai, kyun ke inflation pehle se 2.4% tak kam ho chuki hai, aur yeh silsila nihayat shakhsiyat se jaari rahe ga. Beshak, umeed nahi ki jati ke indicator har maheene kam hoga; yeh barh sakta hai aur phir dobara kam bhi ho sakta hai. Magar kisi ko filhal intezar nahi hai ke inflation taiz ho. Indicator mein izafa sirf halat ko aur zyada mushkil bana de ga. Haal hi mein, Philip Lane ne ye kaha ke intezar kar ke regolator ka daromadar waqt par kam karna acha hoga. Unka khayal hai ke June ek munasib mahina hai monetary policy ko halka karne ke liye. ECB abhi bhi dovish hai, jo ke European currency ke liye demand ko kam kar de ga. Jumeraat ko, keemat pooray din barhi. Na to support ka imtehan liya gaya tha na hi resistance ka, is liye aaj mein rang ke andar karobar ko ahmiyat di. Mein ne tawaqqa ki ke keemat 1.08646 aur 1.08010 ke darmiyan mein karobar kare gi. Dosron alfaz mein, mein ne sifarish ki ke rukawat se farokht karein aur support se kharidari karein. Jab tak resistance tora nahi jata, farokht mufeed hai. Kyun ke aaj ke din keema 1.08646 ke le barhe, to pair ko 1.0900

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                              ke psychological level ke qareeb resistance ka samna karne ke liye ho sakta hai. Agar yeh point ke upar nikal jaye, to upper trend badal jayega aur potentially 1.0940 aur 1.0980-1.1000 zones ko khol sakta hai. Magar, aane wale sessions mein bullish momentum banaye rakhne mein kami ho sakti hai. Support levels mein shaamil hain 1.0800, 200-day Simple Moving Average (SMA) 1.0785 par, aur dono 50-day SMA aur 200-day SMA jo 1.0770 ke ass pass mil rahe hain. Is milay hue average line ke neeche jana ek naya downtrend signal karega, potentially 1.0720 level tak pohochne ka. Overall, euro dollar ke khilaf apne aap ko technical taur par dobara banane ki koshish kar raha hai, peechle downtrend ko tor kar. Pair ab ek bullish range mein consolidating hai jo 200-day SMA 1.0807 par define hoti hai. Medium-term bullish pattern thoda kamzor ho gaya hai, lekin 1.0800 level ki taraf girawat buyers ko bazaar mein wapas la sakta hai, khaaskar jab 50-day SMA longer-term average se mil raha hai. Anay wale NFP data aur Lagarde ki taqreer short term mein euro ki direction ko influence
                                 
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                              • #510 Collapse

                                EUR/USD Technical Analysis

                                Haftawar Nazariya


                                Is haftay, EUR/USD pair unchey jaane wale price channels mein trade kar raha hai jo ke pichle do hafton ke price movement ko reflect karte hain. Is waqt, price in channels ki neechey wali line par hai jo ke support provide kar rahi hai ek potential rise ke liye. Lekin, price abhi weekly pivot level ke neechey trade kar rahi hai jo ke resistance ka kaam kar raha hai.
                                Key Levels aur Trend Predictions
                                • Weekly Pivot Level: Price abhi weekly pivot level ke neechey hai. Is level par price ka behavior next trend ko determine karega.
                                  • Bullish Scenario: Agar price weekly pivot level ke upar break karke close karti hai, to yeh week ka bullish trend signal karega.
                                  • Bearish Scenario: Agar price weekly pivot level se neechey rebound karti hai, to yeh week ka bearish trend indicate karega.
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                                1-Hour Chart Analysis
                                • Current Situation: 1-hour chart par, price ne aaj ka trading bearish channels ke andar shuru kiya, jo ke last do trading days ko represent karte hain. Asian session ke dauran sideways movement se ek uncertain break in channels ke upar hua.
                                • Daily Pivot Level: Price ne trading shuru ki selling zone ke andar girti hui red channel ke neechey aur daily pivot level ke neechey. Lekin, price upar move kar chuki hai, break out karte hue aur is zone ke upar trade kar rahi hai, daily aur monthly pivot levels ke beech oscillate kar rahi hai.
                                • Support aur Resistance:
                                  • Support: Price ko daily pivot level 1.0760 se support mil raha hai. Yeh level crucial hai kyunke yeh price ko weekly pivot level ki taraf propel kar sakta hai.
                                  • Resistance: Weekly pivot level resistance ka kaam kar raha hai. Price ka behavior is point par yeh indicate karega ke yeh neechey return karegi ya upar wave ko continue karne mein kamiyab hogi.
                                Aaj Ke Liye Trading Strategy


                                1-hour chart par base karke:
                                • Selling Opportunities: Agar price daily pivot level 1.0760 ke neechey girti hai, to yeh selling opportunity present karti hai.
                                • Buying Opportunities: Agar price daily pivot level ke upar rehti hai aur weekly pivot level ki taraf badh rahi hai, to traders ko behavior ko monitor karna chahiye potential buying opportunities ke liye agar yeh weekly pivot ko break karti hai.
                                Conclusion


                                EUR/USD pair ek critical juncture par hai, upward channels mein trade karte hue lekin weekly pivot level par resistance ka saamna kar rahi hai. Agla trend direction zyada tar price ke behavior par depend karega is resistance point par. Traders ko 1-hour chart par nazar rakhni chahiye short-term trading opportunities ke liye price ke interaction ke basis par daily pivot level ke saath.
                                   

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