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  • #1111 Collapse

    EUR/USD merchants ko kamiyabi mil rahi hai jab ke value lagbhag 1.0842 tak chali gayi hai. Yeh rise US dollar ke European Euro ke muqable mein strong hone ki wajah se hai. Magar, Germany aur France se disappointing data ne EUR/USD pair par pressure dala hai. Merchants is trend se faida utha sakte hain, aur near future mein 1.0800 tak pahunch sakte hain. Mein suggest karta hoon ke short-term target 1.0875 ke liye buy order place karen taake potential rebounds aur market corrections ka faida uthaya ja sake. Risk ko effectively manage karne ke liye stop loss set karna zaroori hai. US trading session ke start hone se pehle trade ko exit karna wise hai, kyun ke is waqt market volatility unpredictable price movements ko lead kar sakti hai. Latest news aur trends se update rehna crucial hai taake EUR/USD market dynamics ko samajh kar informed trading decisions liye ja sake.
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    Traders naye circumstances ke mutabiq apni approaches ko adapt kar rahe hain aur potential profits ke liye apni positions enhance kar rahe hain. Abhi EUR/USD demand sellers ko benefit de rahi hai, magar quick buy orders ka chance hai jo 1.0875 area ko target kar sakte hain. Strong risk management tactics, jaise ke stop losses set karna aur right time pe trades exit karna, bohot important hain. Market changes ko dekhte hue traders alert rahkar effectively maneuver kar sakte hain aur potential price shifts se faida utha sakte hain. EUR/USD pair kal lagbhag 1.0845 pe tha, magar aaj yeh 1.0860 tak barh gaya hai. Agar hum hourly chart check karein, toh EUR/USD moving average line MA (200) H1, jo ke 1.0885 pe hai, ke neeche hai. Wohi chaar ghante ka chart bhi dikha raha hai ke EUR/USD moving average line MA (200) H4 ke neeche trade kar raha hai. Isko dekhte hue, traders ko corrections ke baad sell consider karna chahiye. Zyada details ke liye neeche diye gaye picture aur chart ko review karein.
       
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    • #1112 Collapse

      Thursday ko euro ne dollar ke muqable mein apni position banaye rakhi jabke investors US economic data ke complex landscape ko navigate kar rahe the. Market ki general expectation yeh hai ke Federal Reserve September mein apni current interest rate policy ko maintain rakhe ga, lekin recent unexpected economic data ke trend se perceptions dheere dheere shift ho rahe hain. Iska natija yeh hai ke rate cut ka possibility cautiously gain kar rahi hai. Crucial EU-wide GDP figures agle hafte aane wale hain aur Fed ka interest rate decision Wednesday ko scheduled hai, isliye euro traders wait-and-see approach adopt kar rahe hain. Sab nazar US personal consumption expenditures (PCE) inflation data pe hogi jo ke Friday ko release hone wala hai, aur yeh Federal Reserve ka preferred inflation gauge hai. Agar core PCE inflation mein sustained decline aata hai, jo analysts project kar rahe hain, toh rate reduction ki expectations mazid solidify ho sakti hain.


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      Euro ne haal hi mein dollar ke muqable mein strength dikhayi, aur pichle hafte char mahine ki high tak pahunch gaya. Magar, uske baad currency pair ne ek correction dekhi aur ab significant technical indicators ke kareeb hover kar raha hai. Market anticipate kar rahi hai ke Fed apni July meeting mein steady rahe ga, lekin September mein rate cut ka potential zyada focus mein aa raha hai, jo ke interest rate futures contracts ki pricing mein reflect ho raha hai. US economy ne recent data releases mein ek mixed picture present ki hai. Ek unexpectedly robust GDP growth figure ne initially market sentiment ko dampen kiya, magar subsequent sharp contraction in US durable goods orders ne rate cut ki speculation ko dobara ignite kiya. Yeh conflicting data ne uncertainty ka environment create kiya hai jo investor behavior aur currency movements ko influence kar raha hai.
         
      • #1113 Collapse

        EUR/USD Forum Analysis aur Forecast
        M15 Minutes

        Sabko achha din ho! M15 chart ko dekha jaye toh linear regression channel downward state mein hai, jo sellers ki strength ko indicate karta hai. Advantage southern direction mein hai, aur channel ke lower edge 1.08269 tak ja raha hai. Main sales consider kar raha hoon level 1.08541 se, jo bulls ko withstand karna chahiye, warna movements deeper correction ke chance sharply increase ho jate hain level 1.08594 tak. Goal tak pahunchne par, sales ka wait karna chahiye kyunke yeh unprofitable ho jati hain, kyunke M15 ki volatility exhaust ho jati hai, jo reverse upward movement ko lead karti hai. Is case mein, neeche villages pe hang kar sakte hain. Market mein enter karne ke liye channel ki upper border tak rollback ka wait karna zyada sahi hai, jo cost significantly reduce karega agar channel ke through signal unprocessed mile.

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        H1 Hour Timeframe

        Main senior period H1 pe move karta hoon, jahan linear regression channel day trading mein asset ke main movement ko determine karta hai. Channel M15 clarify, correct aur supplement kar raha hai. Market situation ko dono channels ke zariye assess kiya jata hai. Market 1.08403 pe trade kar raha hai, channel H1 ke upper edge aur M15 ke neeche. Is situation ko main bearish assess karta hoon. Dono channels ka complex indicate karta hai ke sales ke prospects zyada hain rather than purchases, jo is situation mein knives ki tarah lagte hain, jisme aap phase ke loss kar sakte hain. Agar bulls 1.08541 level ke upar consolidate kar lete hain, toh channel H1 ke upper part se 1.08594 level pe sales ko consider ya supplement karna possible hai. Current trading session ka doosra bearish target 1.08176 hai.

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        • #1114 Collapse

          EUR/USD Analysis aur Forecast
          H1 House Review

          Is waqt main teen levels ko dekh raha hoon: pehla core level 1.08391, pehla order level 1.08933, aur doosra order level 1.09475. Mujhe samajh aata hai ke current price 1.08455 jo ke 1.08391 ke upar trade kar rahi hai, long positions conduct karne ki zaroorat indicate kar rahi hai. Yeh levels iss currency pair ki volatility ratio se derive kiye gaye hain. Volatility ke upper peak par, humein price 1.09475 milti hai aur yeh foran long positions close karne ke liye priority target ban jati hai.

          Main abhi sales ko consider nahi kar raha, siwaye jab trading 1.09475 ke upar ya 1.08391 ke neeche ho. Us waqt humein buyers ke favor mein ek alternative target milta hai 1.07307 par. Magar yeh ek alternative hai, aur abhi hum current scenario ke mutabiq kaam kar rahe hain. 1.0835 ka false breakout hua tha aur iske baad growth continue karegi. Yeh dekh kar ke aaj 1.0865 range ka breakout nahi ho saka, toh is range se growth continue hoti hai. Jab humein 1.0890 range ka breakout milta hai, toh growth mazid continue karegi. Shayad buyers rate ko strengthen kar sakein aur hum 1.0895 ko break kar sakein, tab iske baad growth mazid continue karegi. Shayad yeh mumkin ho ke 1.0865 range ko break kar ke uske upar consolidate kiya jaye, toh yeh ek buy signal hoga.

          Jab buyers 1.0896 range ko break kar ke uske upar rehte hain, toh yeh ek buy signal hoga. Agar humein price ka girna 1.0825 level tak dekhne ko milta hai, toh hum sell kar sakte hain. Yeh levels aur ranges market ke dynamics ko samajhne mein madadgar hote hain, aur trading decisions ko informed karte hain.

          Detailed Analysis:

          Abhi ki situation ko dekhte hue, agar current price 1.08455 1.08391 ke upar trade kar rahi hai, toh yeh long positions ke liye favorable hai. Iska matlab yeh hai ke market mein abhi buyers ki strength zyada hai aur price ko upper levels tak push karne ka potential hai. Volatility ratio se jo levels derive kiye gaye hain, woh indicate karte hain ke upper peak 1.09475 par humein priority target milta hai long positions close karne ke liye. Yeh level is liye important hai kyunke yeh volatility ke highest point ko represent karta hai.

          Agar price 1.08391 ke neeche trade karne lagti hai, toh yeh buyers ke favor mein nahi hoga aur is se sales ko consider karna zaroori ho jata hai. Is surat mein, alternative target 1.07307 par set kiya ja sakta hai, jo ke ek realistic expectation hai agar market downtrend mein chali jaye.

          Market Signals and Strategies:

          Agar buyers 1.0865 range ko break karne mein kamiyab ho jate hain aur iske upar consolidate karte hain, toh yeh ek strong buy signal hoga. Iska matlab yeh hai ke market upward momentum mein hai aur further growth ka potential hai. Similar situation 1.0890 aur 1.0895 ranges ke break hone par bhi apply hoti hai. Yeh levels significant hain aur inke break hone se bullish trend ka indication milta hai.

          Agar price 1.0825 tak girti hai, toh yeh selling ka mauqa ban jata hai. Yeh level critical hai kyunke yeh downtrend ko represent karta hai aur iske neeche trade karne se bearish market ka indication milta hai.

          In conclusions, market ke current dynamics aur levels ko dekhte hue, trading decisions ko informed aur strategic banaya ja sakta hai. Is se profitability ke chances increase hote hain aur risk ko effectively manage kiya ja sakta hai.

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          • #1115 Collapse

            EUR/USD Ka Jaiza
            Good Morning dosto!
            EUR/USD ke sellers ne apni value successfully cross ki hai, aur kal woh kareeb 1.0842 zone tak pohnch gaye thay. Yeh harkat ziyada tar US dollar ki European Euro ke muqable mein taqat ki wajah se thi. Upar se, German aur French Flash data bhi kuch khaas nahi tha, jis ne EUR/USD pair par aur zyada downward pressure daal diya. Iske nateejay mein, market aaj bhi sellers ke haq mein reh sakti hai. Yeh log aane wale ghanton ya is hafte ke khatam hone se pehle 1.0800 zone cross kar sakte hain, jo ke bearish sentiment ko reflect karta hai. Aakhir kar, mein short-term trading ke liye 1.0875 ke short target ke sath buy order lagana pasand karunga. Yeh strategy market mein potential rebounds aur minor corrections ka faida uthati hai. Lekin, risk ko effectively manage karne ke liye stop loss implement karna zaroori hai. Stop loss lagane se potential losses kam ho sakte hain agar market neeche jaari rehti hai. Iske ilawa, US trading zone shuru hone se pehle market se exit lena bhi behtar hai, kyunki is period ke doran volatility zyada hoti hai jo ke unpredictable price movements ka sabab ban sakti hai. Overall, EUR/USD market ke dynamics mukhtalif factors se influenced hain, jese ke economic data releases aur geopolitical events. Is liye, latest news aur trends se updated rehna trading decisions ko informed banane ke liye essential hai. Market ko closely monitor karne se traders apni strategies ko changing conditions ke mutabiq adjust kar sakte hain aur potential gains ke liye apni positions optimize kar sakte hain. Aakhir mein, jabke EUR/USD market filhal sellers ke haq mein hai, ab bhi short-term buy orders ke liye 1.0875 zone ko target karne ke opportunities hain. Baat yeh hai ke robust risk management strategies ko employ karein, jese ke stop losses ka istemal aur exits ko carefully time karna. Market developments ko dekhte hue vigilant aur responsive reh kar, traders current conditions ko navigate kar sakte hain aur potential price movements ka faida utha sakte hain. EUR/USD market ki complexity ek balanced approach ki mutalba karti hai, jo ke cautious optimism aur strategic planning ko combine karke successful trading outcomes hasil karne mein madadgar sabit hoti hai.
            Aap sab ka trading din kamiyab ho!

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            • #1116 Collapse

              EUR-USD Analysis Chart
              Greetings aur aap sab ko trading din ki best of luck!

              Nayi statistics ke mutabiq, Camila Trump se 2% aage hain, magar yeh itna meaningful nahi hai. Aap bhi is baat se mutafiq honge ke is situation mein American statistics ka kuch khaas faida nahi hai. Iske ilawa, American political hype kam hoti ja rahi hai aur is waqt yeh currency market par utna asar nahi kar rahi jitna is hafte ke shuru mein kar rahi thi. EUR/USD pair ke prices stable hain, aur 1.0839 mark ke upar hi hain, jo ke 38.2% Fibonacci barrier hai.

              Mein nahi samajhta ke US data on personal consumer expenditure ke release tak koi badi tabdeeli hogi; zyadatar log background mein rahenge aur robust information ke release ka wait karenge. Is waqt yeh lagta hai ke thoda upward correction ho sakta hai taake 1.0881 level ko test kiya ja sake. Uske baad, mein dono possibilities ko madde nazar rakhoonga: ek breakout jo aur growth ke sath ho, ya phir ek rebound jo deeper decline aur 1.0806 support level ko test kare.

              Agar aap investment fund managers ke latest remarks padhein, to bohot se log yeh speculate kar rahe hain ke Federal Reserve September mein apni monetary policy ko loosen karna shuru karegi. Yeh US dollar ko gradually decline karne ka sabab ban sakta hai, isliye yeh baat consider karni zaroori hai.

              Aaj ke liye maine time target set nahi kiya hai, kyunki yeh kaafi hai ke demand ka existence establish ho aur maximum 1.0870 ke upar exit ho jaye. Mein kisi different situation ka tasavvur nahi kar raha jahan downward escape ho sakta hai. Pehle ke daur se yeh indicate hota hai ke top par ek unexplored zone hai, around 1.0950. Ager downward entry bhi ho, current circumstances mein sales ke liye kuch nahi hai, isliye mein is waqt koi sales position nahi lunga.

              Iske ilawa, market ke trends aur latest news ko closely monitor karna zaroori hai taake informed trading decisions liye ja sakain. Market conditions rapidly change ho sakti hain aur unko timely respond karna successful trading ke liye crucial hai. Trading mein risk management strategies ka istamal bhi zaroori hai, jaise ke stop losses set karna aur positions ko carefully manage karna. Yeh strategies potential losses ko minimize karne mein madadgar hoti hain aur trading outcomes ko optimize karne mein help karti hain.

              EUR/USD market ki complexity ek balanced approach ka mutalba karti hai, jo ke cautious optimism aur strategic planning ko combine karke achieve ki ja sakti hai. Yeh balanced approach traders ko potential price movements ka faida uthane mein madad karti hai aur unko current market conditions ko navigate karne mein help karti hai.

              Aap sab ke liye trading mein kamiyabi ki dua karta hoon aur umeed hai ke aapke trading decisions informed aur successful honge. Trading ke dauran vigilant aur responsive rehna zaroori hai taake aap market ke changes ko timely respond kar sakein aur apne trading goals achieve kar sakein.

              Aapka trading din successful ho!

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              • #1117 Collapse

                EUR/USD H-1
                Mein aapki raaye se mutafiq nahi hoon ke yeh couple decline karega. Maine H1 time frame par nazar daali. Yeh usually peeling enthusiasts ke liye use hota hai. Mujhe lagta hai ke hum yahan ek trend mein hain. Kal, 1.0827 area decline hua taake previous support ka response confirm ho. Humne yeh kiya aur phir price action method mein shaamil huye. Baad mein jo exercises hui, usne humein ek choti scale candlestick mode di, jo pehle option mein 15 points organize karti hai bina second picture mein InstaForex sauce ke size ko consider kiye. Isliye yeh yahan surprise nahi hai, aur na hi small-scale transactions se related pure work ka surprise hai. Aaj Friday hai, to humein repair week par dhyaan dena chahiye. Mujhe lagta hai ke US conference par local fluctuations milengi. Economic calendar par sirf ek activity hai - "core price index of personal consumption expenditure", jo Europe mein similar nahi hai.

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                EUR/USD H-4

                Hello sabko!

                Asian conference mein European currency moderate increase ke sath transactions kar rahi hai. Yeh dono kal ke orgasm ko develop kar rahe hain. Khaas kuch nahi ho raha. Market merge ho rahi hai kyunki agle Wednesday ko US conference hai. Aaj, Europe aur US ka economic calendar thoda zyada fulfill hai. European news secondary hai. US se bhi kuch important statistical data nahi aayega. Mujhe lagta hai ke din ke pehle hisse mein instrument mein koi sharp movements nahi hongi aur yeh sahi tarah se correct kar sakti hai, lekin main situation downward trends ko resume karne ki hai. Expected reversal point 1.0885 hai, aur mein yahan following targets mark karunga: 1.0825 aur 1.0795. Agar couple 1.0885 se zyada grow karega, to phir 1.0915 aur 1.0935 tak ka rasta khul jayega.

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                • #1118 Collapse

                  Sab ko Good Day!
                  Four-hour chart ko dekhte hue, linear regression channel bearish state mein hai, jo sellers ki strength ko indicate karta hai. Preference southern direction ki taraf hai, aur channel ke lower edge tak, jo 1.08269 par hai, jane ki ummeed hai. Main 1.08541 level se sell karne ka soch raha hoon, jo bulls ke khilaf resistance provide karni chahiye. Agar yeh level hold nahi karta, to deeper corrections ki chances sharp increase ho sakti hain aur 1.08594 ki taraf move ho sakta hai. Jab goal achieve ho jaye, to selling ka wait karna chahiye, kyunki H4 movements mein volatility exhaustion se reverse upward movement ho sakti hai, jo unprofitable ho sakta hai. Is case mein, stops set karna behtar hoga. Market mein enter karne se pehle channel ke upper border tak pullback ka wait karna chahiye, jo unprocessed signals ko channel ke through dekh kar costs ko significantly reduce kar sakta hai.

                  Ab H4 period ki taraf chalte hain, jahan linear regression channel intraday trading mein asset ke main movement ko identify karta hai. H4 channel situation ko clarify, correct, aur supplement karta hai. Market ki situation dono channels ke through assess ki jati hai. Market 1.08403 par trade kar raha hai, jo H4 channel ke upper edge se neeche aur H4 level se bhi neeche hai. Main is situation ko bearish classify karta hoon. Dono channels ke zariye complex buying aur selling possibilities knives ki tarah hain, jahan aap stumble kar sakte hain aur loss suffer kar sakte hain. Agar bulls 1.08541 ke upar consolidate karte hain, to H4 channel ke top se 1.08594 par selling consider ki ja sakti hai. Current trading session ke liye second negative target 1.08176 hai. Aap current situation ko pending orders ke sath try kar sakte hain, trend continuation ke liye moving average ke neeche orders aur trend continuation north ke liye moving average ke upar orders create kar sakte hain, sath hi stop orders aur risk management follow karna chahiye. Mujhe yakin hai ke aisi situation resolve ho sakti hai. Hum ab moving average of average price range tak pohnch chuke hain, aur ab ek decisive moment aayega jahan hum decide karenge ke hamara currency pair aage kahan jayega.

                  Is analysis ke zariye aapko trading decisions lene mein madad milni chahiye. Market ki complexities ko samajh kar aur proper risk management strategies ko follow kar ke, aap apne trading goals achieve kar sakte hain. Is waqt market ke trends aur movements ko closely monitor karna zaroori hai taake timely aur informed decisions liye ja sakein.

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                  • #1119 Collapse

                    EUR/USD Ka Jaiza
                    EUR/USD pair ko downward pressure ka samna karna pad raha hai. Pehle EUR/USD descending triangle mein trade kar raha tha, jo ke rising pattern ko show kar raha tha, aur is pattern ki height se yeh suggest hota hai ke potential rise ho sakta hai. Price pehle ke resistance level tak gir gayi hai, jo ab support ka kaam kar raha hai. Fibonacci Extension tool ke mutabiq, agle upside targets identify kiye gaye hain, aur pair ne 38.2% extension second psychological level 1.0750 par experience kiya hai. Agar bullish momentum aur barh gaya, to yeh 50% Fibonacci level 1.0762 ya 61.8% Fibonacci level tak pohnch sakta hai, jo ke 1.0775 ke swing high se milta hai. 76.4% level 1.0790 par hai aur full extension 1.0815 par hai.

                    Overall, 100 SMA recently 200 SMA ko cross kar chuki hai, jo ke confirm karta hai ke rally barh rahi hai, gir nahi rahi. Moving averages bhi triangle ke broken tip ke sath align hain, jo support ko aur mazbooti se reinforce karta hai. Lekin, Stochastic Oscillator overbought region se neeche ja raha hai, jo buyer fatigue aur selling pressure ke wapas aane ka indication hai. Oscillator abhi bhi neeche move karne ke liye room rakhta hai pehle ke seller fatigue ko reflect karne se. Conversely, RSI abhi bhi upar move karne ki potential rakhta hai pehle ke overbought region tak pohnchne se, jo buyer fatigue ka indication hai lekin rally ke continue hone ka bhi signal hai.

                    Is hafte ke end par, US non-farm payrolls report release hogi, jo ke June ke liye weak employment data dikhane ki ummeed hai. Agar yeh hota hai, to dollar aur kamzor ho sakta hai kyunki traders federal government se monetary policy ko ease karne ki demand karenge. Weak fundamental data, jese ke labor force participation rate aur average hourly earnings, dollar ki direction ko bhi influence kar sakti hai.

                    Agar EUR/USD agle support level 1.0752 ke qareeb aata hai, to traders ko cautious rehna chahiye. Yeh level ek crucial area hai, kyunki iske neeche successful break hone se further downside signal ho sakta hai. Lekin, agar pair is support level ke upar reh jata hai, to yeh strengthening ya reversal ka indication ho sakta hai, jo traders ko potential bounce ke liye buying opportunities de sakta hai. Market conditions suggest karti hain ke stabilization ya reversal ke signs ka wait karna chahiye 1.0752 support level ke qareeb. Traders ko confirmation signals, jese ke bullish candlestick patterns, increased buying volume, ya independent financial data dekhna chahiye jo potential upward target ke liye assurance provide kar sakti hai.

                    Agar market conditions current trading level ke neeche stabilize hoti hain, to EUR/USD pair ke gains consolidate ho sakte hain, aur aage ke opportunities khul sakti hain. Downside par, agar trading 1.0870 ke neeche stable rehti hai, to pair negative pressure face kar sakta hai aur key support 1.0840 ko test kar sakta hai, jo ke current trading level se milta hai aur 23.60% Fibonacci retracement ko represent karta hai. Neeche chart hai: Filhal, pair mukhtalif directions mein trade kar raha hai aur har week neutral raha hai. Key support areas abhi tak test nahi hue aur intact hain, jo ke upward vector ki stability ko indicate karta hai. Lekin, current bearish attempt suggest karta hai ke 1.0837 tak pohnchne ki high probability hai, jo ke main support area ki boundary hai. Agar yeh area retest hota hai, to situation ko dobara assess karna zaroori hoga.

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                    • #1120 Collapse

                      EUR/USD Currency Pair Ka Jaiza
                      EUR/USD currency pair ne Thursday ko girawat ka samna kiya aur critical 1.0900 level tak pohnch gaya. Yeh downward movement US dollar ke broader strengthening ke sath coincide kiya. US jobless claims data ke release se, jo unexpected increase dikhata hai, September mein Federal Reserve ke interest rate cut ke expectations barh gayi hain. Dusri taraf, European Central Bank ka September mein interest rates ko maintain karne ka stance abhi tak uncertain hai, conflicting economic indicators ke wajah se. Ab market participants eagerly EU harmonized consumer price index (HICP) inflation data ka wait kar rahe hain jo agle hafte release hoga. Yeh data European Central Bank ke future monetary policy decisions ko determine karne mein crucial hoga, khas taur par June mein initial rate cut ke baad. Halanki recent price action ne pichle teen hafton se higher highs aur higher lows ka pattern dikhaya hai, lekin 4-hour chart par ascending channel ke upper boundary ko breach karne mein failure se bearish momentum ka potential dikhai de raha hai. RSI aur Stochastic indicators par negative readings is near-term weakness ke possibility ko reinforce karti hain.

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                      Agar nazdeeki support level 1.0928 breach hota hai, to EUR/USD pair ko zyada significant decline ka samna karna pad sakta hai, lower channel boundary 1.0898 ki taraf. Is level ke neeche decisive close overall uptrend ko undermine kar dega. Iske ilawa, 50-period moving average 1.0870 ke neeche sharp drop bearish reversal ka signal dega, jo ke 1.0850 area, ek purani resistance level, ko target kar sakta hai. Overall, EUR/USD pair downward pressure ka samna kar raha hai due to factors such as potential Fed rate cut, ECB ke monetary policy ke surrounding uncertainty, aur technical indicators jo bearish shift ka signal de rahe hain.
                         
                      • #1121 Collapse

                        EUR/USD Price Patterns
                        Haal phaal mein EUR/USD currency pair ke price behavior ka jaiza liya ja raha hai. Aaj kal ka ek important development yeh hai ke digital currencies, including USD, Federal Reserve ke control mein aayengi. Digital currencies ka asli potential agle saal tab clear hoga jab system ke functionalities bilkul wazeh ho jayengi. Digital currency blocking ka idea mumkin hai; occasional blocks ho sakte hain lekin yeh significant issue nahi honge. Hum yeh ummeed kar rahe hain ke digital money dheere dheere fiat currencies ko replace karegi, dono currencies kuch saalon tak coexist karengi phir digital options dominate karenge. Aaj market bearish trend ke sath close ho sakti hai, lekin kal positive shift aa sakta hai. Main din ke dauran 1.0906 tak pohnchne ki ummeed rakhta hoon, jo ek sensible growth target hai, iske baad bulls se correction ho sakti hai.

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                        Agar downward trend barqarar rehta hai, to humein bearish mark 1.0843 aur shayad lower boundary ki taraf move 1.0775 dekhni chahiye. Overall direction zyada apparent hoti ja rahi hai, lekin market surprises hamesha possible hote hain, khas taur par aane wali news ke sath. Seller's candle ne daily time frame ka jaiza le kar buyer's zone tak pohnch gaya hai. Iska matlab yeh hai ke aaj raat ya kal hum bullish activity dekh sakte hain. Agar bears volume push nahi karte din ke end se pehle, to seller's candle ko weak maana ja sakta hai, jismein current trend ko support karne ki momentum ki kami ho. Main premature decisions lene se bachunga taake kisi ko misleading na ho, lekin bullish movement kal ke liye strength gain kar sakti hai. 15-minute chart par humein slight rebound dekhne ko mila hai, aur market ya to local maximum tak pohnch jayegi ya candle body buyer's zone mein enter karegi.
                           
                        • #1122 Collapse

                          EUR/USD: Forex Trends Price Action Ka Istamal
                          Hamari guftagu ab EUR/USD currency pair ke price assessment par focused hai. Aaj meri strategy thi ke 1.0851 level par rebound ka intezaar karna hai, lekin price 5 points neeche gir gayi. Iske bawajood, humein ek aise level tak pohnchna tha jo main expect nahi kar raha tha. Ab jab hum yahan hain, to consider buying. Agla qadam bullish signal ka intezaar karna hai. Isko confirm karne ke liye, American session ka kaise perform hota hai dekhna zaroori hai. Humne already 1.0897 mark ko touch kiya hai, jahan downward momentum kamzor ho sakta hai. Lekin, H1 chart par bullish signal abhi tak nahi mila, isliye 1.0897 se zigzag decline dekhne ko mil sakta hai. Agar hum 1.0897 tak pohnchte hain, to yeh suggest karta hai ke correction phase near hai, jo shayad 1.0911 aur 1.0941 price levels ki taraf le jaaye.


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                          Ghalti se local highs bina banaye decline dekhne ko mili, jo ke pure accumulation ka indicator hai pehle ke impulse move se pehle. Aakhri impulse downward tha, jo sellers ke liye classic setup hai. Humne 1.0841 ko touch kiya hai, aur chaahe pullback ke zariye ho ya seedha, target 1.0821 hai. 1.0841 ko break karna essential hoga, lekin yeh level shayad hold karega. Agar 1.0821 par false breakdown hota hai, to main 1.0841 ke upar position secure karne ke liye buying consider karunga. Thursday tak, hum shayad 1.0821 ko phir se test karte hue aur 1.0841 ke upar rebound ya consolidation dekh sakte hain. Key targets hain 1.0841 aur 1.0821. 1.0841 ke upar buy trades complete karne ke baad, selling complete consider ki jayegi. Kal USA se news events bharpoor honge, isliye aggressive moves ka hona mumkin hai, aur precautionary trading approaches adopt karna bhi zaroori ho sakta hai.
                           
                          • #1123 Collapse

                            **M15 Minutes Timeframe**

                            Sab ko achi mood ke sath rakhna! M15 chart ke mutabiq, linear regression channel upar ki taraf jhuk gaya hai, jo buyers ki koshish ko dikhata hai ke woh 1.08703 ke level tak barhna chahte hain. Ab kharidari ka moka hai. Lekin, behtar yeh hoga ke H1 linear regression channel bhi upar ki taraf chalna shuru kare, uske baad hi kharidari karein. Main channel ke neeche wale border 1.08543 se kharidari ko consider kar raha hoon, lekin main sellers ko bhi dekhoonga jo 1.08543 ke neeche gir sakte hain agar consolidation hoti hai. Agar aisa hota hai, to main kharidari rok doonga, kyunki H1 trend ke mutabiq sales ke jari rehne ke chances hain. Agar bulls 1.08753 ke level ke upar consolidation kar lete hain, to main kharidari jari rakhunga. Market ka mood buyer ke haq mein badal jayega.

                            **H1 Hour Timeframe**

                            Charts aur data ko samajh kar, main samajhta hoon ke market abhi ek strong bearish trend mein hai. Isse faida uthane ke liye, mujhe woh moment dhoondna hoga jab price channel ke upper border 1.08753 ko touch karke neeche aati hai. Jaise hi main aisa moment dekhoonga, main asset bechne ka moka talash karunga taake price 1.08273 tak aaye. Agar price target level ko todti hai, to yeh continued sales ka strong signal hoga. Lekin, yeh mat bhooliye ke iske baad ek upward correction bhi ho sakti hai, isliye market ko closely monitor karna zaroori hai aur bulls ke possible reaction ke liye tayyar rehna hoga. Yeh samajhna zaroori hai ke agar bulls 1.08753 ke level ko tod dete hain, to yeh market mein bullish interest ka nishan ho sakta hai, jo situation ka re-evaluation aur sales ka cancel hone ka sabab ban sakta hai. Isliye, market situation ko dekhte rehna aur agar zaroori ho to plan ko adjust karna zaroori hai.



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                            • #1124 Collapse

                              Iss haftay, US dollar aur Japanese yen (USD/JPY) ke darmiyan ek ahm date hogi jab dono, US Federal Reserve aur Bank of Japan, apni policies ka elan karenge. Yeh spekulat kiya ja raha hai ke Bank of Japan shayad interest rates barhaye, jis wajah se pichlay haftay US dollar aur Japanese yen (USD/JPY) par kaafi tezi se selling hui thi aur yeh support level 151.94 par agaya tha, jo ke is currency pair ke liye do mah se ziada ka sabse kam level tha. Is haftay ki trading 153.73 ke aas-paas mukammal hui. US economy ne pichlay quarter mein 2.8% ka mazboot annual rate dekha, jahan consumers aur businesses ne growth ko support kiya despite ke interest rates high hain. Department of Commerce ke report ke mutabiq, April-June quarter mein GDP (gross domestic product) jo ke economy ka total output hota hai, 1.4% se barh ke 2.8% hogaya. Economists ne 1.9% ki weaker annual growth rate ki umeed ki thi.

                              GDP report ne yeh bhi dikhaya ke inflation kam ho rahi hai lekin abhi bhi Fed ke 2% target se upar hai. Central bank ka preferred inflation measure annual rate par 2.6% tha, jo ke pehle quarter ke 3.4% se kam tha. Food aur energy prices ko chhod ke, core personal consumption expenditures (PCE) inflation 2.9% par tha, jo ke pehle quarter ke 3.7% se kam tha.

                              Iss haftay, US Federal Reserve umeed hai ke federal funds rate 5.25%-5.50% par steady rakhega. Magar sabki nazrein is par hongi ke central bank September ke liye kya signal deta hai, jahan rate cut almost certain hai. US economy ne is mahine mein 185,000 jobs add kiye hain, jo ke June ke 206,000 se kam hain. Unemployment rate umeed hai ke 2021 ke high 4.1% par hi rahega aur wage growth 0.3% par steady rahegi. Iske ilawa, ISM PMI dikhane ka imkaan hai ke manufacturing sector teesi martaba contraction mein raha. Doosre ahm indicators mein JOLTS report, ADP employment figures, Challenger job cuts, S&P Global Manufacturing PMI Final, S&P/Case-Shiller Home Price Index, FHFA Home Prices, CB Consumer Confidence, Non-Farm Productivity, Labor Costs, aur Factory Orders shamil hain. Traders quarterly repayment announcement par bhi close attention denge taake federal government ke borrowing requirements aur aanewali securities aur bond sales ke strategies ko assess kar sakein


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                              • #1125 Collapse

                                EURUSD


                                Bohat arsey ke sideways movement ke baad, aakhirkar Monday ko currency pair apni girawat jari rakhne mein kamiyab hui. Kal ki movement bhi kaafi deep thi kyunki maine calculate kiya ke ye takreeban 55 pips tak giri. Is ka nateeja ye hai ke ab H1 support jo 1.0826 par tha, neeche penetrate ho gaya hai. Ab EURUSD ki position 1.0825 par trade ho rahi hai. Pehle se mukhtalif ye hai ke Tuesday ko EURUSD ki movement wapas se upar ki taraf chal padi. EURUSD ke upar janay se ek naya support create hua jo ke 1.0804 ke aas paas hai.

                                Agar H1 timeframe se analyze kiya jaye, toh girawat ne waqai apne qareebi support 1.0826 ko tod diya hai. Ye EURUSD ko aur zyada ghirane ka sabab ban sakta hai. Ye woh cheez hai jo mujhe nazar mein rakhni hai. EURUSD ka girna asal mein demand area jo 1.0804 par hai, usko target karna hai. Jab tak ye demand area penetrate nahi hota, meri prediction ye hai ke EURUSD ke upar janay ka mauka ab bhi bohat zyada hai, khaaskar ab jab ke condition oversold hai. Neeche wale area mein pin bar pattern ka emergence bhi ye confirm karta hai ke market jaldi hi reverse karegi. Sab se zaroori cheez ye hai ke support 1.0803 par break na ho kyunki ye girawat ko aur geherai mein le ja sakta hai.



                                Agar Ichimoku indicator ki madad se analyze kiya jaye, jab se EURUSD ki movement phir se giri hai, candle ki position tenkan sen aur kijun sen lines ke neeche hai. Lekin, umeed hai ke ab jo EURUSD mein izafa ho raha hai, ye tenkan sen aur kijun sen lines ko phir se intersect kar sake ga jo izafa ko aur zyada banaye ga. Ye shayad European ya American session mein ho kyunki us waqt market busy hoti hai.

                                Toh aaj ke analysis ka nateeja ye hai ke EURUSD currency pair ke upar janay ka chance ab bhi hai kyunki candle ki position demand area 1.0803 ko penetrate nahi kar paayi. Iske ilawa, support area mein pin bar candle pattern bhi dekha gaya hai jo market ke jaldi reverse hone ki nishani hai. Isliye, meri sifarish hai ke aap buy position open karne par focus karein. Aap apna take profit target resistance 1.0868 par rakh sakte hain aur stop loss support 1.0796 par rakh sakte hain.
                                 

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