**Currency Pair: GBP-CAD**
Is waqt hum GBPCAD pair ka M5 timeframe par jaiza lene ja rahe hain. Aakhri kuch waqt se, maine inam de karne wale systems aur doosre indicators se inkar karne ka faisla kiya hai, sirf simplicity ke haq mein. Ek achhi tarah se tested trading strategy ka buniyadi hissa hai Relative Strength Index (RSI) indicator. Jaise ke aap dekh sakte hain, chart par sirf yeh hi indicator hai aur kuch nahi. Jaise hi indicator upper zone, yani 70 mark ke qareeb pohanchta hai, hum samajh sakte hain ke stochastic indicator upward direction mein hai.
Aaj ki trading session ke doran, pair ne north ki taraf apna safar jaari rakha; bullish group ne reversal level ke upar apni position pakki kar li aur filhal yeh 1.7934 ke price par trade kar raha hai.
Intraday growth ka reference point classic reversal pivot level hai. Mera khayal hai ke yeh growth current price se lekar pehle resistance level 1.8054 tak jaari rahegi, aur agar yeh iske upar consolidate hota hai to yeh pair ke liye naye growth ki leher ka sabab ban sakta hai, jo isse 1.8309 ke area mein doosre level ki resistance line ke upar lekar ja sakta hai.
Agar bears market mein wapas aate hain, to is waqt ka reference point yeh hai ke market overbought ho chuka hai, jo aksar price reversal ka signal hota hai. Is mauqe ko kho dene ke liye, main potential sale ke liye dekhunga aur market mein 1.79513 par entry karunga.
In tamam kaafi simple lekin samajhne mein aasaan manipulations ke baad, hum market mein sale karenge. Take profits ka minimum ratio 1:3 hai—yeh meri strategy ka buniyadi hissa hai jo main currency pairs ki trading karte waqt istemal karta hoon. Main apne profitable target ko teen guna zyada set karta hoon jitna main risk uthata hoon. Agar yeh zyada ho jata hai, to main position ko tab tak pakre rakhta hoon jab tak mujhe reverse signal nahi milta ya jab tak mere paas itni endurance na ho.
Stop loss ke bare mein baat karte hain. Ek fixed stop loss, jo 15 points ka hota hai, yeh hum deal kholne ke baad behtari se set karte hain. Isse hum soch samajh kar pichle price extreme ke peeche set karte hain taake hum false breakouts se apne aap ko mehfooz rakh sakein.
Trading mein strategy aur discipline bohat zaroori hai. Yeh zaroori nahi ke aap sirf signals ka intezar karein, balki aapko apne analysis par bhi bharosa karna chahiye. Har trader ko yeh samajhna chahiye ke market kabhi kabhi unpredictable ho sakta hai, aur is wajah se risk management ka khayal rakhna chahiye.
Mujhe khushi hogi agar meri ye comments kisi ke liye useful sabit hote hain! Aapka din acha guzre!
Is waqt hum GBPCAD pair ka M5 timeframe par jaiza lene ja rahe hain. Aakhri kuch waqt se, maine inam de karne wale systems aur doosre indicators se inkar karne ka faisla kiya hai, sirf simplicity ke haq mein. Ek achhi tarah se tested trading strategy ka buniyadi hissa hai Relative Strength Index (RSI) indicator. Jaise ke aap dekh sakte hain, chart par sirf yeh hi indicator hai aur kuch nahi. Jaise hi indicator upper zone, yani 70 mark ke qareeb pohanchta hai, hum samajh sakte hain ke stochastic indicator upward direction mein hai.
Aaj ki trading session ke doran, pair ne north ki taraf apna safar jaari rakha; bullish group ne reversal level ke upar apni position pakki kar li aur filhal yeh 1.7934 ke price par trade kar raha hai.
Intraday growth ka reference point classic reversal pivot level hai. Mera khayal hai ke yeh growth current price se lekar pehle resistance level 1.8054 tak jaari rahegi, aur agar yeh iske upar consolidate hota hai to yeh pair ke liye naye growth ki leher ka sabab ban sakta hai, jo isse 1.8309 ke area mein doosre level ki resistance line ke upar lekar ja sakta hai.
Agar bears market mein wapas aate hain, to is waqt ka reference point yeh hai ke market overbought ho chuka hai, jo aksar price reversal ka signal hota hai. Is mauqe ko kho dene ke liye, main potential sale ke liye dekhunga aur market mein 1.79513 par entry karunga.
In tamam kaafi simple lekin samajhne mein aasaan manipulations ke baad, hum market mein sale karenge. Take profits ka minimum ratio 1:3 hai—yeh meri strategy ka buniyadi hissa hai jo main currency pairs ki trading karte waqt istemal karta hoon. Main apne profitable target ko teen guna zyada set karta hoon jitna main risk uthata hoon. Agar yeh zyada ho jata hai, to main position ko tab tak pakre rakhta hoon jab tak mujhe reverse signal nahi milta ya jab tak mere paas itni endurance na ho.
Stop loss ke bare mein baat karte hain. Ek fixed stop loss, jo 15 points ka hota hai, yeh hum deal kholne ke baad behtari se set karte hain. Isse hum soch samajh kar pichle price extreme ke peeche set karte hain taake hum false breakouts se apne aap ko mehfooz rakh sakein.
Trading mein strategy aur discipline bohat zaroori hai. Yeh zaroori nahi ke aap sirf signals ka intezar karein, balki aapko apne analysis par bhi bharosa karna chahiye. Har trader ko yeh samajhna chahiye ke market kabhi kabhi unpredictable ho sakta hai, aur is wajah se risk management ka khayal rakhna chahiye.
Mujhe khushi hogi agar meri ye comments kisi ke liye useful sabit hote hain! Aapka din acha guzre!
تبصرہ
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