arsay se apni mojooda had mein ruk gayi hai. Yeh deir se chalti consolidation ka silsila yeh zahir karta hai ke bazaar naye catalysts ka intezar kar raha hai taake ek nai direction ka taayun ho sake. Keemat ke wasi range mein band hone ke bawajood, yeh soodagar aur sarmayakaron mein intezar ka ahsaas paida kar rahi hai jo naye levels aur naye trading range ka intezar kar rahe hain. Filhal, 2360 ka level ek aham resistance ka kaam kar raha hai. Yeh resistance level isliye critical hai kyunke yahaan khareedaar baar baar naakaam ho gaye hain keemat ko upar dhakelne mein. Har koshish ke baad is level ko todne ki koshish ko selling pressure ka samna karna padta hai, jo yeh zahir karta hai ke bikne waale mazboot resistance paish kar rahe hain aur keemat ko upar jane se rok rahe hain.
Technical analysis mein, aise resistance levels zaroori hote hain kyunke yeh market ke mumkin future movements ke bare mein insight faraham karte hain. 2360 ka level todne mein naakaami yeh zahir karti hai ke bullish momentum itna taaqatwar nahi ke bikne walon ko shikast de sake. Yeh aise halat paida karta hai jahan keemat mojooda range mein idhar-udhar hoti rahe jab tak koi faisla kun harkat na ho.
Jis range mein sona trade ho raha hai, woh wasi hai magar kuch had tak predictable ban gayi hai. Traders in levels ko ghoor se dekh rahe hain, ek breakout ka intezar kar rahe hain jo agle aham harkat ko zahir kar sake. Agar keemat 2360 se upar nikalne mein kamyaab hoti hai, toh yeh market sentiment mein tabdeeli zahir karegi, jo yeh suggest karegi ke khareedaar itni taaqat hasil kar chuke hain ke keemat ko upar le ja sake. Yeh breakout ek naye trading range ko janam de sakta hai, jo traders ke liye naye mauqe faraham kar sakta hai.
Dusri taraf, agar keemat 2360 par resistance ka samna karti rahti hai aur isey todne mein naakaam hoti hai, toh yeh mumkin pullback ya sideways movement ka silsila zahir kar sakti hai. Aise halat mein, traders neeche support levels dekh sakte hain jahan keemat ko kuch stability mil sake. In support levels ko pehchanna trading strategies mein entry aur exit points plan karne ke liye zaroori hai.
Mojooda stagnation ke bawajood, wider economic context sona ke liye favor mein hai. Aise asraat jaise ke inflation concerns, geopolitical tensions, aur central bank policies sona ki demand ko safe-haven asset ke tor par support karte hain. Yeh asraat sona ke liye ek underlying bullish bias paida karte hain, chahe keemat filhal range-bound hi kyun na ho
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Relative Strength Index (RSI) aur doosri momentum indicators mazeed insights faraham kar sakte hain ke keemat ka mumkin direction kya ho sakta hai. Agar RSI bullish territory mein rehta hai, toh yeh zahir karta hai ke abhi bhi growth ki gunjaish hai, aur 2360 ke upar breakout ho sakta hai. Lekin agar RSI bearish divergence dikhata hai, toh yeh mumkin downside risk ko zahir kar sakta hai
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MazariBaba
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Chaliye D1 ka chart dekhte hain - trading instrument GOLD ka. Iss purane period ke wave structure abhi bhi ascend order mein hai, lekin MACD indicator pehle se nichle sell zone mein gir chuka hai aur apni signal line ke neeche hai. MACD indicator par ek aisi badi bearish divergence nazar aa rahi hai, jaise hi indicator zero cross kar chuka ho, jaise discharge ho gaya ho, mujhe lagta hai ki signal abhi puri tarah kaam nahi kiya hai. Yahan par ek reversal figure bhi dekha ja sakta hai - ek ascending wedge jo safaltapurvak toot gaya hai. Phir koi aur vikas nahi hua; trading ranges mein chalna shuru ho gaya. Yahan par ek accumulation aur upar jaane ka prayaas hua, phir neeche jaane ka - ek standard trap. Kal neeche se horizontal resistance level 2223 par ek test hua, buyers ne ise paar karne ki koshish ki, lekin kaam nahi aaya, kal is senior level se din bhar ke short periods mein excellent downward entries huyi. Main yeh maan raha hoon ki ab najdiki significant minimum ke neeche, yani 2277 ke neeche, May ke last ke neeche, aur sirf us niche point ke baad hum growth ko seriously consider kar sakte hain, lekin pehle nahi. Abhi ke liye meri ray mein to sirf short periods ke liye nichle direction mein kaam karna zyada promising lag raha hai jab bhi corresponding formations ban jaayein. Baqi major instruments bhi meri ray mein decline ki taraf zyada inclined hain; jaise pound aur euro bhi girne ke liye taiyar hain. Aaj ke news mein, hum 18-00 Moscow time par US Federal Reserve System ka monetary policy report note kar sakte hain. Aaj se raat aur subah se hum grow kar rahe hain, lekin meri ray mein yeh bhi achha hai ki price seedhe girne ke bajaye thoda upar jaaye. Aap M15-M5 par mirror sell level ka wait kar sakte hain, jab support resistance mein badal jaye, aur phir nichle direction mein kaam shuru kar sakte hain
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Ihsanforum
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Gold market ne Thursday ko rebound kiya jab Wednesday ko thoda dip aya tha, ye rebound Federal Reserve ke rate cut ki umeedon ki wajah se tha jo ke slowing US economic growth ki wajah se asar mein aya. Gold ka price (XAU/USD) 0.41% barh ke $2,347 ho gaya jab data ne GDP slowdown reveal kiya jo ke pichle quarter ke muqable mein tha. Ye economic weakness, rising unemployment claims aur weakening housing market ke sath, suggest karta hai ke Fed ki aggressive rate hikes ne apna asar dikhana shuru kar diya hai. Investors ne isay future rate cuts ki sign ke tor par dekha, jo ke aam tor par gold prices ke liye faida mand hoti hai. Magar, positive outlook ke bawajood, aik bara hurdle abhi bhi hai. Gold $2,350 ke psychological resistance level ko break karne mein struggle kar raha hai. Agar buyers is barrier ko overcome kar lein, to aur zyada gains dekhne ko mil sakte hain, jo ke $2,400, $2,450, aur hatta ke $2,500 tak pahunch sakte hain
Dosri taraf, agar price $2,321 ke 50-day moving average se neeche girti hai, to ye aik sell-off trigger kar sakti hai. Ye scenario May lows jo ke $2,277 ke aas paas hain ko retest kar sakta hai. Ye notable double top pattern ke tor par dekha ja sakta hai, jahan second top thoda zyada hai pehle se. Upper border of the channel se reversal dekha gaya jab ke RSI par bearish divergence bhi dekhne ko mili do peaks ke darmiyan. Ye maan lena theek hai ke market deeper correction ko form karne ke liye vulnerable hai within the ascending blue channel, aur ye correction blue channel ke median line tak develop ho sakti hai, given speed jis se gold price ne apne peak se May 20th ko decline kiya aur bears ki confidence ne trend line (jo ke red mein hai) ko break kiya. Overall, short-term technical picture kuch mixed hai. Jahan economic indicators gold ke haq mein hain, wahan price action current level par kuch seller pressure show kar raha hai. Aik decisive break $2,350 zone ke upar ya neeche likely hai
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US-mediated ceasefire plan dono Israeli aur Palestinian forces ke darmiyan foran se military actions ko rokne ka taluq hai. Jab ke Israel ka plan ko maan lena tensions ko kam karne ki taraf ek kadam hai, situation ab bhi naazuk hai. Analysts ka kehna hai ke ceasefire tootne ki koi bhi surat mein conflict phir se bhadak sakta hai aur gold prices mein izafa ho sakta hai kyun ke investors safety ki taraf jaate hain. Aane wale dinon mein, gold market economic indicators aur geopolitical events dono ko ghore se dekhegi. Federal Reserve ke aglay moves intehai ahem honge. Rate cut ka koi bhi ishara gold prices ko support kar sakta hai. Sath hi, Gaza mein ceasefire ki stability bhi ahem hogi, kyun ke naya conflict gold ko ek safe-haven asset ke taur par demand ko drive kar sakta hai
Sone ki qeemat mein 0.80% se zyada ka izafa dekha gaya jabke woh thodi dair ke liye $2,314 tak gir gayi thi. Yeh izafa US maeeshat ke mukhtalif signals aur mustahkam PCE inflation ki wajah se hua, jo ke Federal Reserve policies mein adjustments ki umeed barhati hai. US Treasury yields ki girawat bhi ismein madadgar rahi, jo ke Greenback ki qeemat ko teesray din bhi kam kar rahi thi. Iske ilawa, price action aur Fibonacci tool ke mutabiq ek positive scen
Торгуйте с комфортом! Переходите на ИнстаФорекс и зарабатывайте из дома.
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15-06-2024, 10:57 PM
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Janooo732
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Gold ke price ke behaviour ka analysis abhi discuss karna khula hai. Mere khayal mein, Gold ki qeemat girti rahegi. H4 time frame mein, basic idea sell signal par mabni hai, jo brown bar ke zariye niche ja raha hai, aur target 2224.52 par hai. Fibonacci grid 0 se 100% tak lagai gayi hai, jo yeh dikhati hai ke market seller ko 1 to 2 ka risk-reward ratio offer kar raha hai is idea mein shamil hone ke liye. Profit ko maximize karne ke liye, hum stop-loss ko minimize karna chaahte hain. Jabke Gold upar ja sakta hai, lekin abhi growth par trade karna munasib nahi. Ek sell signal wazeh hai, jo purple bar ke zariye 2281.24 ko target kar raha hai. Current market movements is signal ke range mein hain, aur humein un trading ideas par focus karna chahiye jo favourable ratios rakhti hain
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Yahan, market ek 1 to 9 ka risk-reward ratio offer kar raha hai, jo ek pehle ka significant high ke qareeb hai. Bechna mushkil lag sakta hai, lekin signal to signal hai. Hourly chart par ek buy signal bhi hai, jo grey bar se mark hai aur 2345.12 ko target kar raha hai. Magar, yeh prudent hai ke agar koi pullback hota hai to uske baad hi buy karein. Market aakhir kar in scenarios mein se ek ko favour karega, isliye humein strategic choices karni hongi. Filhaal, mein selling ko opt kar raha hoon. H1 sell signal H4 par broader sell signal aur H4 time frame ke 1-2-3 pattern se feasible hai. Jabke koi guarantee nahi ke sales prevail karengi, lekin yeh current strategy hai. Hamara stop-loss 2340.25 ke niche hai, aur sales market ke opening se possible hain, provided ke koi price gap na ho. Targets likely hain
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Jugnoo923
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Hello, maine H4 chart par gold ke daamon ka jaiza liya aur dekha ke jaise hi hafta shuru hua, kaafi harkat hui. Daam 2286.77 ke support level se neeche gir gaye the lekin phir dobara ooper aa gaye. Filhaal, bazar FOMC ki significant khabron se bohot mutasir hai, jiski wajah se daam ruk gaye hain aur 2315 ke critical level ko test kar rahe hain. Mere tajziye ke mutabiq, gold ka major trend abhi bhi downward hi hai. Haali bazar ki sentiments ko dekhte hue, agar daam 2286.77 ke crucial support level se neeche toot jaate hain, to mazeed selling pressure ka imkaan hai. Agar yeh breakout hota hai, to yeh long-term downtrend ke continuation ko zahir karega aur gold ke daamon par selling pressure ko barhawa dega.
RSI 14 indicator is waqt normal signals dikha raha hai, jo ke yeh batata hai ke na to overbought aur na hi oversold conditions hain. Yeh neutral reading yeh zahir karti hai ke bazar dono directions mein move kar sakta hai, upcoming news aur market reactions par depend karta hai. RSI ki maujooda position na to strong buy aur na hi sell signal ko support karti hai, jo ke traders ke liye ek wait-and-see approach ko zahir karti hai. FOMC news ke context mein, bazar ek flux ki state mein hai. Traders mazeed economic announcements ka intezar kar rahe hain jo ke gold ke daamon ke liye ek clearer direction faraham kar sakti hain.
Critical levels jo dekhne hain wo 2315 upside par aur 2286.77 downside par hain. Agar daam 2315 se ooper break hotay hain, to yeh bullish reversal ka signal de sakta hai, jabke agar daam 2286.77 se neeche break hotay hain, to yeh bearish trend ko mazid reinforce karega. Khulasah yeh hai ke gold market ek pivotal point par hai, jahan prices important economic news se mutasir ho kar key levels ke qareeb hain. Traders ko 2286.77 support level ko closely monitor karna chahiye potential breakout scenarios ke liye. Agar yeh level sustain break hota hai, to yeh longer-term selling trend ka aaghaz ho sakta hai, jabke agar yeh fail hota hai, to price stabilization ya rebound ka imkaan hai
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SoonPari
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Sabko din mubarak! Lineer regression channel ke nichle slope se saaf hai ke sellers ki taqat zahir hai, jo 2313.63 level ko nishana bana rahe hain. Is level tak movement mein rukawat ka imkan hai. Halat ki darustagi par asar daalne ke liye, ek potential pullback zaroori hoga. Nichle hisse mein bechna nahi chahiye; 2341.35 tak correction ka intezar zaroori hai. Uske baad, bechne ki mumkinat ko madde nazar rakha ja sakta hai. Agar keemat 2341.35 ke upar consolidate ho jaye, bullish sentiment ubhar sakti hai, jo market ko upar le ja sakta hai. Is liye, bechna abhi thahar dena hoga.
Channel ka slope yeh zahir karta hai ke bearish forces neeche ko dabaane mein kitne zor se lag rahe hain; jitni tez unki raftar, utna hi zyada sellers ka amal hai. Ek tez angle wala channel aam tor par market ki khabron ka asar dikhata hai. Mera mukhya channel ghantewaare chart par sthit linear regression channel hai, jise mein movement ka andaza lagata hoon. M15 channel ek madadgar hai aur abhi bearish tasawwur ko pura karta hai. Dono channels ki ek hi raftar se chalne ki wajah se, is instrument ke liye bearish sentiment ko khas tor par kaha ja sakta hai. Agar nichle time frame par signal tootne ka intezar hai, to 2350.21 level tak izafa hone ka intezar karna chahiye, jahan bechne ki mumkinat ko 2315.51 level ke taraf dobara dekha ja sakta hai.
Main abhi nichle hisse mein bechna se aur khareedna se bhi munsifanah dar kar raha hoon, jo mein risky samajhta hoon. Mera trading ka usool H1 channel ke movement ki taraf trading karna hai, jo mera mukhya channel hai. Nichle channel par dakhilay ko behtar banane aur jab taqatwar movement ho, tab kaam karna acha hota hai, jabki sudhar minimal ho
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Technical analysis mein, aise resistance levels zaroori hote hain kyunke yeh market ke mumkin future movements ke bare mein insight faraham karte hain. 2360 ka level todne mein naakaami yeh zahir karti hai ke bullish momentum itna taaqatwar nahi ke bikne walon ko shikast de sake. Yeh aise halat paida karta hai jahan keemat mojooda range mein idhar-udhar hoti rahe jab tak koi faisla kun harkat na ho.
Jis range mein sona trade ho raha hai, woh wasi hai magar kuch had tak predictable ban gayi hai. Traders in levels ko ghoor se dekh rahe hain, ek breakout ka intezar kar rahe hain jo agle aham harkat ko zahir kar sake. Agar keemat 2360 se upar nikalne mein kamyaab hoti hai, toh yeh market sentiment mein tabdeeli zahir karegi, jo yeh suggest karegi ke khareedaar itni taaqat hasil kar chuke hain ke keemat ko upar le ja sake. Yeh breakout ek naye trading range ko janam de sakta hai, jo traders ke liye naye mauqe faraham kar sakta hai.
Dusri taraf, agar keemat 2360 par resistance ka samna karti rahti hai aur isey todne mein naakaam hoti hai, toh yeh mumkin pullback ya sideways movement ka silsila zahir kar sakti hai. Aise halat mein, traders neeche support levels dekh sakte hain jahan keemat ko kuch stability mil sake. In support levels ko pehchanna trading strategies mein entry aur exit points plan karne ke liye zaroori hai.
Mojooda stagnation ke bawajood, wider economic context sona ke liye favor mein hai. Aise asraat jaise ke inflation concerns, geopolitical tensions, aur central bank policies sona ki demand ko safe-haven asset ke tor par support karte hain. Yeh asraat sona ke liye ek underlying bullish bias paida karte hain, chahe keemat filhal range-bound hi kyun na ho
Click image for larger version
Name: image_192191.jpg
Views: 20
Size: 46.1 کلوبائٹ
ID: 13005258
Relative Strength Index (RSI) aur doosri momentum indicators mazeed insights faraham kar sakte hain ke keemat ka mumkin direction kya ho sakta hai. Agar RSI bullish territory mein rehta hai, toh yeh zahir karta hai ke abhi bhi growth ki gunjaish hai, aur 2360 ke upar breakout ho sakta hai. Lekin agar RSI bearish divergence dikhata hai, toh yeh mumkin downside risk ko zahir kar sakta hai
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MazariBaba
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Chaliye D1 ka chart dekhte hain - trading instrument GOLD ka. Iss purane period ke wave structure abhi bhi ascend order mein hai, lekin MACD indicator pehle se nichle sell zone mein gir chuka hai aur apni signal line ke neeche hai. MACD indicator par ek aisi badi bearish divergence nazar aa rahi hai, jaise hi indicator zero cross kar chuka ho, jaise discharge ho gaya ho, mujhe lagta hai ki signal abhi puri tarah kaam nahi kiya hai. Yahan par ek reversal figure bhi dekha ja sakta hai - ek ascending wedge jo safaltapurvak toot gaya hai. Phir koi aur vikas nahi hua; trading ranges mein chalna shuru ho gaya. Yahan par ek accumulation aur upar jaane ka prayaas hua, phir neeche jaane ka - ek standard trap. Kal neeche se horizontal resistance level 2223 par ek test hua, buyers ne ise paar karne ki koshish ki, lekin kaam nahi aaya, kal is senior level se din bhar ke short periods mein excellent downward entries huyi. Main yeh maan raha hoon ki ab najdiki significant minimum ke neeche, yani 2277 ke neeche, May ke last ke neeche, aur sirf us niche point ke baad hum growth ko seriously consider kar sakte hain, lekin pehle nahi. Abhi ke liye meri ray mein to sirf short periods ke liye nichle direction mein kaam karna zyada promising lag raha hai jab bhi corresponding formations ban jaayein. Baqi major instruments bhi meri ray mein decline ki taraf zyada inclined hain; jaise pound aur euro bhi girne ke liye taiyar hain. Aaj ke news mein, hum 18-00 Moscow time par US Federal Reserve System ka monetary policy report note kar sakte hain. Aaj se raat aur subah se hum grow kar rahe hain, lekin meri ray mein yeh bhi achha hai ki price seedhe girne ke bajaye thoda upar jaaye. Aap M15-M5 par mirror sell level ka wait kar sakte hain, jab support resistance mein badal jaye, aur phir nichle direction mein kaam shuru kar sakte hain
Click image for larger version
Name: image_198856 (1).jpg
Views: 16
Size: 52.3 کلوبائٹ
ID: 13005305
Успешный трейдинг с ИнстаФорекс. Присоединяйтесь и зарабатывайте!
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Ihsanforum
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Gold market ne Thursday ko rebound kiya jab Wednesday ko thoda dip aya tha, ye rebound Federal Reserve ke rate cut ki umeedon ki wajah se tha jo ke slowing US economic growth ki wajah se asar mein aya. Gold ka price (XAU/USD) 0.41% barh ke $2,347 ho gaya jab data ne GDP slowdown reveal kiya jo ke pichle quarter ke muqable mein tha. Ye economic weakness, rising unemployment claims aur weakening housing market ke sath, suggest karta hai ke Fed ki aggressive rate hikes ne apna asar dikhana shuru kar diya hai. Investors ne isay future rate cuts ki sign ke tor par dekha, jo ke aam tor par gold prices ke liye faida mand hoti hai. Magar, positive outlook ke bawajood, aik bara hurdle abhi bhi hai. Gold $2,350 ke psychological resistance level ko break karne mein struggle kar raha hai. Agar buyers is barrier ko overcome kar lein, to aur zyada gains dekhne ko mil sakte hain, jo ke $2,400, $2,450, aur hatta ke $2,500 tak pahunch sakte hain
Dosri taraf, agar price $2,321 ke 50-day moving average se neeche girti hai, to ye aik sell-off trigger kar sakti hai. Ye scenario May lows jo ke $2,277 ke aas paas hain ko retest kar sakta hai. Ye notable double top pattern ke tor par dekha ja sakta hai, jahan second top thoda zyada hai pehle se. Upper border of the channel se reversal dekha gaya jab ke RSI par bearish divergence bhi dekhne ko mili do peaks ke darmiyan. Ye maan lena theek hai ke market deeper correction ko form karne ke liye vulnerable hai within the ascending blue channel, aur ye correction blue channel ke median line tak develop ho sakti hai, given speed jis se gold price ne apne peak se May 20th ko decline kiya aur bears ki confidence ne trend line (jo ke red mein hai) ko break kiya. Overall, short-term technical picture kuch mixed hai. Jahan economic indicators gold ke haq mein hain, wahan price action current level par kuch seller pressure show kar raha hai. Aik decisive break $2,350 zone ke upar ya neeche likely hai
Click image for larger version
Name: image_198953.jpg
Views: 13
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US-mediated ceasefire plan dono Israeli aur Palestinian forces ke darmiyan foran se military actions ko rokne ka taluq hai. Jab ke Israel ka plan ko maan lena tensions ko kam karne ki taraf ek kadam hai, situation ab bhi naazuk hai. Analysts ka kehna hai ke ceasefire tootne ki koi bhi surat mein conflict phir se bhadak sakta hai aur gold prices mein izafa ho sakta hai kyun ke investors safety ki taraf jaate hain. Aane wale dinon mein, gold market economic indicators aur geopolitical events dono ko ghore se dekhegi. Federal Reserve ke aglay moves intehai ahem honge. Rate cut ka koi bhi ishara gold prices ko support kar sakta hai. Sath hi, Gaza mein ceasefire ki stability bhi ahem hogi, kyun ke naya conflict gold ko ek safe-haven asset ke taur par demand ko drive kar sakta hai
Sone ki qeemat mein 0.80% se zyada ka izafa dekha gaya jabke woh thodi dair ke liye $2,314 tak gir gayi thi. Yeh izafa US maeeshat ke mukhtalif signals aur mustahkam PCE inflation ki wajah se hua, jo ke Federal Reserve policies mein adjustments ki umeed barhati hai. US Treasury yields ki girawat bhi ismein madadgar rahi, jo ke Greenback ki qeemat ko teesray din bhi kam kar rahi thi. Iske ilawa, price action aur Fibonacci tool ke mutabiq ek positive scen
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15-06-2024, 10:57 PM
#133 Collapse
Janooo732
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Janooo732
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Gold ke price ke behaviour ka analysis abhi discuss karna khula hai. Mere khayal mein, Gold ki qeemat girti rahegi. H4 time frame mein, basic idea sell signal par mabni hai, jo brown bar ke zariye niche ja raha hai, aur target 2224.52 par hai. Fibonacci grid 0 se 100% tak lagai gayi hai, jo yeh dikhati hai ke market seller ko 1 to 2 ka risk-reward ratio offer kar raha hai is idea mein shamil hone ke liye. Profit ko maximize karne ke liye, hum stop-loss ko minimize karna chaahte hain. Jabke Gold upar ja sakta hai, lekin abhi growth par trade karna munasib nahi. Ek sell signal wazeh hai, jo purple bar ke zariye 2281.24 ko target kar raha hai. Current market movements is signal ke range mein hain, aur humein un trading ideas par focus karna chahiye jo favourable ratios rakhti hain
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Yahan, market ek 1 to 9 ka risk-reward ratio offer kar raha hai, jo ek pehle ka significant high ke qareeb hai. Bechna mushkil lag sakta hai, lekin signal to signal hai. Hourly chart par ek buy signal bhi hai, jo grey bar se mark hai aur 2345.12 ko target kar raha hai. Magar, yeh prudent hai ke agar koi pullback hota hai to uske baad hi buy karein. Market aakhir kar in scenarios mein se ek ko favour karega, isliye humein strategic choices karni hongi. Filhaal, mein selling ko opt kar raha hoon. H1 sell signal H4 par broader sell signal aur H4 time frame ke 1-2-3 pattern se feasible hai. Jabke koi guarantee nahi ke sales prevail karengi, lekin yeh current strategy hai. Hamara stop-loss 2340.25 ke niche hai, aur sales market ke opening se possible hain, provided ke koi price gap na ho. Targets likely hain
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16-06-2024, 06:52 AM
#134 Collapse
Jugnoo923
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Jugnoo923
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Hello, maine H4 chart par gold ke daamon ka jaiza liya aur dekha ke jaise hi hafta shuru hua, kaafi harkat hui. Daam 2286.77 ke support level se neeche gir gaye the lekin phir dobara ooper aa gaye. Filhaal, bazar FOMC ki significant khabron se bohot mutasir hai, jiski wajah se daam ruk gaye hain aur 2315 ke critical level ko test kar rahe hain. Mere tajziye ke mutabiq, gold ka major trend abhi bhi downward hi hai. Haali bazar ki sentiments ko dekhte hue, agar daam 2286.77 ke crucial support level se neeche toot jaate hain, to mazeed selling pressure ka imkaan hai. Agar yeh breakout hota hai, to yeh long-term downtrend ke continuation ko zahir karega aur gold ke daamon par selling pressure ko barhawa dega.
RSI 14 indicator is waqt normal signals dikha raha hai, jo ke yeh batata hai ke na to overbought aur na hi oversold conditions hain. Yeh neutral reading yeh zahir karti hai ke bazar dono directions mein move kar sakta hai, upcoming news aur market reactions par depend karta hai. RSI ki maujooda position na to strong buy aur na hi sell signal ko support karti hai, jo ke traders ke liye ek wait-and-see approach ko zahir karti hai. FOMC news ke context mein, bazar ek flux ki state mein hai. Traders mazeed economic announcements ka intezar kar rahe hain jo ke gold ke daamon ke liye ek clearer direction faraham kar sakti hain.
Critical levels jo dekhne hain wo 2315 upside par aur 2286.77 downside par hain. Agar daam 2315 se ooper break hotay hain, to yeh bullish reversal ka signal de sakta hai, jabke agar daam 2286.77 se neeche break hotay hain, to yeh bearish trend ko mazid reinforce karega. Khulasah yeh hai ke gold market ek pivotal point par hai, jahan prices important economic news se mutasir ho kar key levels ke qareeb hain. Traders ko 2286.77 support level ko closely monitor karna chahiye potential breakout scenarios ke liye. Agar yeh level sustain break hota hai, to yeh longer-term selling trend ka aaghaz ho sakta hai, jabke agar yeh fail hota hai, to price stabilization ya rebound ka imkaan hai
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16-06-2024, 09:14 AM
#135 Collapse
SoonPari
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SoonPari
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InstaSpot: کسی بھی EPS اور بینک سے منافع واپس لیں، اور EPS اور cryptocurrencies کے تبادلے پر 7% تک کمائیں۔
Sabko din mubarak! Lineer regression channel ke nichle slope se saaf hai ke sellers ki taqat zahir hai, jo 2313.63 level ko nishana bana rahe hain. Is level tak movement mein rukawat ka imkan hai. Halat ki darustagi par asar daalne ke liye, ek potential pullback zaroori hoga. Nichle hisse mein bechna nahi chahiye; 2341.35 tak correction ka intezar zaroori hai. Uske baad, bechne ki mumkinat ko madde nazar rakha ja sakta hai. Agar keemat 2341.35 ke upar consolidate ho jaye, bullish sentiment ubhar sakti hai, jo market ko upar le ja sakta hai. Is liye, bechna abhi thahar dena hoga.
Channel ka slope yeh zahir karta hai ke bearish forces neeche ko dabaane mein kitne zor se lag rahe hain; jitni tez unki raftar, utna hi zyada sellers ka amal hai. Ek tez angle wala channel aam tor par market ki khabron ka asar dikhata hai. Mera mukhya channel ghantewaare chart par sthit linear regression channel hai, jise mein movement ka andaza lagata hoon. M15 channel ek madadgar hai aur abhi bearish tasawwur ko pura karta hai. Dono channels ki ek hi raftar se chalne ki wajah se, is instrument ke liye bearish sentiment ko khas tor par kaha ja sakta hai. Agar nichle time frame par signal tootne ka intezar hai, to 2350.21 level tak izafa hone ka intezar karna chahiye, jahan bechne ki mumkinat ko 2315.51 level ke taraf dobara dekha ja sakta hai.
Main abhi nichle hisse mein bechna se aur khareedna se bhi munsifanah dar kar raha hoon, jo mein risky samajhta hoon. Mera trading ka usool H1 channel ke movement ki taraf trading karna hai, jo mera mukhya channel hai. Nichle channel par dakhilay ko behtar banane aur jab taqatwar movement ho, tab kaam karna acha hota hai, jabki sudhar minimal ho
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