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  • #7186 Collapse



    EUR/USD Keemat Ka Jaiza

    Chaliye, EUR/USD currency pair ki keemat ka rawayaat par guftagu karte hain. Abhi tak, trading instrument mein kam az kam tabdeeliyan mumkin hain. Kharid-dar 1.0605 ke darje par apni position barqarar rakhe hue hain, jo ke US dollar ke muqablay mein Europi currency ko mazbooti deta hai. Agar aset 1.0708 ke darje ke qareeb pohanchta hai, toh yeh foran farokht karne walon ke liye aik numainda khatra paida karta hai, kyunke is darje ko guzarna rasta saaf karta hai 8vi shakal ki taraf. Kharid-dar ka maqsad euro ko thora sa 1.0706 se aagay dhakelna hai. Pichle dino mein, euro ke qeemat mein neeche ki taraf ka tend hota raha, jo ke digar currencies ke sath mutabiq tha. Magar, aaj ke dekhe gaye candlestick patterns ke mutabiq, euro ke keemat mein izafa ke liye izafa ka tajurba barhne lagta hai. Yeh khaas tor par wazeh hota hai jab aaj ke market ke trends ko Asian trading session ke dekhe gaye trends ke sath mawazna kiya jata hai. Tareekhi mazboot darjo ki madad se taraqqi ki mumkin hai jo local uchayiyon ko 1.0690 tak aur agay bhi update kar sakti hai, shayad tak 1.0718 ya phir 1.0723 tak.

    Aaj ke trading mein, EUR/USD pair ke kharid-dar ne ahem muzahmat ka muzahira kiya hai, jise dekha gaya tha Asian session ke douran local kam darjo tak pohanchne ki koshishon ko kamyaab tor par rokta hai. Daily candle bullish jism ke sath ek qabil-e-zikar bearish trend-based shadow ko dikhata hai, jo kharid-dar ke maqam rakhne walon ke liye musbat hai. Aik mumkin bullish lehar ban rahi hai, jo ke ane wale haftay mein saamne aane ki sambhavna hai, halankeh overall trend bearish nazar aata hai. Bazar ke ghair maqool fitrat ke sabab se, zyada tawajjo ke liye mazeed jagah honi chahiye. Halat ke haal ko dekhte hue, haan main pehle 1.0746 tak izafa ka intezar kar raha tha, magar harkat 1.0699 par ruk gayi. Isliye, main filhal active trading se inkar karta hoon, aik pur sukoon hafta guzarne ke liye, naye muamlaat ke bina, joke sukoon se sochne ki ijazat deta hai.

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    • #7187 Collapse

      H1 timeframe ki takhleeqi tajziyah ke mutabiq, quotes ko barhane ke liye trading kaafi mashwara hai. Ek market transaction ko select karne ka algorithm jo ke munafa hasil karne ke liye behtareen hai, ismein kuch ahem shuruaati shurataat shamil hain. Sab se pehle, zaroori hai ke higher H4 timeframe par trend ki sahi direction ko sahi taur par tay kia jaye, taake market ki mood ka sahi andaza lagaya ja sake jo ke maali nuqsaan ka bais ban sakta hai. To, chaliye hamare instrument ka chart 4-hour time frame ke saath kholte hain aur fundamental condition ko check karte hain - H1 aur H4 time periods par trend movements ek doosre ke sath milti hui honi chahiye. Is tarah, pehli qaid ki puri hone ke baad, hume yeh yakeen ho jata hai ke aaj market humein long trade mein dakhil hone ka behtareen moqa deta hai. Mazeed tajziyah mein, hum teen kaam karne wale indicators - HamaSystem, RSI Trend, aur Magnetic_Levels_Colo ke readings par tawajju denge.Hum intezaar kar rahe hain jab Hama aur RSI indicators green aur blue ho jayen, jo ke hum market mein kharidari ke hukoomat samajhenge.
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      Jaise hi yeh hota hai, hum aik kharidari trade kholte hain. Hum position ko magnetic levels indicator ke indicators ke neechay se baahar nikalte hain. Aaj, signal processing ke liye sab se zyada mumkin daraje 1.07409 hain. Agla, hum chart par dekhenge ke keemat ke rawayyaat kya hain jab chune gaye magnetic level ke qareeb aati hai, aur phir faisla karenge ke agla kya karna hai - kya market par position ko agle magnetic level tak chor dena hai ya pehle hi kamayi ko theek karna hai. Maamoolan, potential kamayi ko barhane ke liye, aap aik trawl bhi jod sakte hain.
      Aaj ke trading mein, EUR/USD pair ke buyers ne ahem mukhaalfat ka muzahira kiya hai, jis se Asian session mein dekhe gaye muqami low tak pohanchne ki koshishain kamyab taur par roki gayi hain. Daily candle ek bullish body dikha raha hai jo ke ek numaya bearish trend-based shadow ke saath hai, jo buy position holders ke liye musbat hai. Aik mumkinah bullish wave ban rahi hai, jo ke anay wale haftay mein khul sakti hai, halan ke overall trend bearish lagta hai. Market ki unpredictable fitrat ko madde nazar rakhte hue, prioritization ke liye mazeed jaga ki zarurat hai. Halanki, hal hi mein ki gayi umeedon ka jhalk hua ke pehle maine 1.0746 tak ke ek izafa ka intezar kiya tha, lekin movement 1.0699 par ruk gaya. Is liye, mein mojooda dor mein active trading se bache hue hoon, naye karobaron se bachne ke liye ek shaant hafta guzarne ka intikhab karta hoon, jo sukoon aur tasalli ke liye moujood hai.
         
      • #7188 Collapse


        EURUSD

        2014 mein Russia ke Crimea ke annexation aur is ke baad Western nations ke lagaaye gaye sanctions ne currency markets mein significant fluctuations ka shikar kiya, khaaskar Russian ruble aur Euro ko asar pohnchaya. Usi tarah, United States aur China ke darmiyan jari trade war ne global markets par gehre asar dalay, har ek tit-for-tat tariff announcement ne volatility ke lehar utpann ki.

        Geopolitical events aise commodities ke prices par bhi asar daal sakte hain, khaaskar woh jo regions mein turmoil ya conflict ka samna kar rahe hote hain. Oil, masalan, Middle East mein geopolitical tensions ke liye khaas tor par sensitive hai, jahan Saudi Arabia aur Iran jaise major oil-producing nations aksar apas mein ulajh jaate hain. In regions mein conflicts ya siyasi istability ki wajah se supply chain mein koi rukawat hone se oil market mein tez price spikes aasaktay hain, jo global economy ke mukhtalif sectors par asar daalte hain.

        Is ke ilawa, geopolitical risks mukhtalif regions se zyada phail sakte hain aur bara market sentiment par asar daal sakte hain. Aise events jaise terrorist attacks, siyasi qatal ya hukoomat ke tabadlaat investors ke darmiyan uncertainty aur darr paida kar sakte hain, jis se unka risk exposure dobara jaanchne ki zaroorat hoti hai aur wo apne investment strategies ko mutabiqat ke mutabiq adjust karte hain. Is suraksha ki taraf bhagavat aksar safe-haven assets jaise gold, Swiss franc, ya US Treasury bonds ki demand mein izafa hota hai, jabke risky assets jaise stocks aur emerging market currencies selling pressure ka shikar ho sakti hain.

        Is ke sath hi, geopolitical events central bank policies aur monetary decisions ko bhi asar daal sakte hain. Central banks geopolitical developments ko price stability ko maintain karne aur economic growth ko support karne ka hissa samajhte hain. Badhe hue geopolitical tensions central banks ko monetary policy ke liye zyada cautious approach adopt karne par majboor kar sakte hain, ya to interest rate hikes ko taal sakte hain ya economy ke downside risks ko kam karne ke liye anokhe measures ko implement kar sakte hain.

        Is ke ilawa, geopolitical events long-term investment trends ko bhi shape kar sakte hain aur global alliances ko reshaping kar sakte hain. Masalan, United States aur China ke darmiyan ongoing rivalry Asia-Pacific region mein dominance ke liye investors ko apni exposure ko Chinese markets mein dobara jaanchne aur alternative investment destinations ka tajziya karne par majboor kar rahi hai. Usi tarah, Brexit aur uske baad United Kingdom aur uske trading partners ke darmiyan trade agreements ke renegotiation ne investors ko European assets mein invest karne ke risk ko dobara jaanchne par majboor kiya hai.

        Akhri mein, geopolitical events investor sentiment aur market dynamics ka crucial determinant hote hain. Chahe wo seedha market impacts ke zariye ho, central bank policies mein changes ho, ya phir long-term investment trends ko reshape karein, geopolitical developments global financial markets ke liye door tak pohanche hue asar rakhte hain. Is liye, investors aur policymakers dono ko chaukanna rehna chahiye aur unki strategies ko hamesha changing geopolitical landscape ke mutabiq adjust karna chahiye.

        • #7189 Collapse


          EURUSD

          Euro Middle East ki bechaini ke darmiyan bhihap lauh hai. Forex trading ke asar mein, EUR/USD jori ne hamari tawaja ka markaz bana rakha hai, maqboozta halat ki bawajood jese ke behtarti darust qadam utha. Khabron mein aai hai ke Israel aur Iran ke darmiyan jang mein izafa hua hai, jo euro ke liye aik mufassal muddai tha. Magar, haal hi mein hawa mein izafa hua hai, jo geopolitical ta'azaat ke darmiyan investors ke liye umeed ka ek charagh ban gaya hai. Tabahi ka silsila tab shuru hua jab Israel ne yek April ke 13th hamle ka jawabi qadam tor par banaaye gaye be ghair maqsad airyaai jahaazou ko tawajjo mein laya. Ye jawabi tajziya region ke pehle se hi halaat mein mazeed izafa ka sabab ban gaya, jisse euro ke qeemat mein girawat aayi shuruaati trading session ke doran. Lekin, jab waqiyat aage barhe, EUR/USD jori ne ek ahem nikaas dikhaya, jisse market ka ikhtiyar aur geopolitical ta'azaat ke badalne ki salahiyat nazar aai. Maqsadi toor par, jab ke sirf pehle pichle halaat ko shant karne ke liye tayyar tha.

          Lekin, maazi ki tasveer se, analyst mante hain ke EUR/USD aik mufassal downtrend ke andar consolidation darust kar rahi hai. Ye ishaara hai ke hal hi ki faroshi taraqqi de gai hai, jise general tor par Euro ke liye muhtat rahegi. Traders Middle East mein paida hone wali khabron ko hoshiyarana dekhte hain, currency markets mein izafa honay ki mumkinat ko samajhte hue. EUR/USD jori ke mazeed takatwar hone ke darmiyan halat mein faraham kiye gaye darust karne ke doran geopolitical ta'azaat ka sabab banaya gaya hai. Halankeh chand dino ke short-term izafa bhi geopolitics ke badalte mahol ko dekhte hue, lambe arse tak ke trends ko arzi tor par asrat zaroor denge, jo ke arzi toor par noojawan hota hai, ya neecha ayega.

          Tehqeeqi Analysis: Jori ke Darmiyan Price Consolidation Mein Mila Jula Isharaat: Is currency pair ke daily chart ka tehqeeqi jaiza karne par, humain ek aham silsila candlestick patterns ka tasawwur hota hai. Shuru mein, bulls ne do inverted hammer candles ke baad aik lambi bullish candle banaya. Magar, agla candle bullish candle ke jism ko guzarna nahi kar saka, balke darmiyan mein hi band ho gaya. Hal hi mein jo candle dikhaya gaya hai, uske neeche ki tanki, ek bullish pin bar ke mutabiq hai. Ye darama andaza deta hai ke jori ke agle trend ke liye koi wazeh raah nahi hai. Iske ilawa, Relative Strength Index (RSI) 40.00 ke neeche hai, jo market mein tawajjo ki nahi hai.

          Hourly chart ki taraf murne par, hum dekhte hain ke jori 1.0697 se 1.0601 tak ke range ke andar consolidation mein hai. Aaj, neeche ke boundary ki taraf ek girawat thi jo sideways support 1.0600 tak pahunchne se pehle, rukh badal gayi, jo pivot level ki taraf wapas chali gayi.

          Maujooda soorat e haal ke mutabiq, traders jo short positions ko talash kar rahe hain, unhe keemat 1.0697 tak pohunchne ka intezaar karna chahiye. Mutabaadil tor par, jo log khareedne ki opportunities talash kar rahe hain, unhe keemat 1.0601 tak pohunchne ka intezaar karna chahiye. Is range ke bahar nikalna, lambi arzi trend mein izafa hone ki aik mumkin nishaani hosakti hai.

          Mukhtasar mein, technical indicators is currency pair ke liye mukhtalif tasweer pesh karte hain, jahan daily aur hourly charts dono mein mukhtalif signals mojood hain. Traders ko hoshyaarana hone aur waazeh signals ka intizaar karne ke liye kaha jata hai, pehle se mani nikalne se pehle.

          • #7190 Collapse

            Thursday ke trading ke liye, Dompet ek umeed bhari nazar rakhta hai, jisme khareedne walon ke liye faavourable shiraa'it anuman ki jaati hai. Haal hi ke market dynamics mein jahaan khareedne walon ka support tha, wahaan Dompet ke mutabiq, 1.0845-1.0960 ke range mein ek buy limit placement ka vichar kiya ja sakta hai. Target profit area 1.0800-1.0900 par set haiShaam bakhair, azeez forum dost. Dompet, har ek ko garmi bhari mubarakbaad pesh karta hai aur khushi hai ke aaj ka rozana trading analysis aapke samne la raha hai. Pichle Budhwar ke market dynamics ne dikhaya ke khareedne walon ka mazboot control tha, jo EURUSD pair ko ek majboot, bullish raaste mein bhadka raha tha. Lekin chadhai ko bechne walon ne aakhar kar ke samarthan kshetra ko bachane ke liye chalang lagai. Is natije mein, unhein safalta milti rahi aur ve khareedne walon ko peeche dhakel kar market ke jazbat ko bullish se bearish mein badal diya. Bechne walon ki dabav ke bawajood, khareedne walon ki koshish hai ki aaj ke Thursday trading session mein daam ko phir se upar le jaayein. Khareedne walon ka maqsad wazeh hai – bullish momentum ko mazeed mazboot karna.
            Daily timeframe ki janch Bollinger Bands indicator ke istemaal se dikhata hai ke daam ab bhi Middle Bollinger Bands area ke neeche sthit hai. Haalaanki khareedne walon ne kal is level ko azmaaya, lekin bechne walon ki mazbooti ne samarthan kshetra ko bachane mein rok diya. Phir bhi, kal ke trading session mein bana bullish candle ka dominans, khareedne walon ko daam ko aur upar push karne ka mauka deta hai. Agar daam samarthan kshetra mein pravesh karne mein kamyab hota hai, to daam ko aur bhi mazbooti mil sakti hai. RSI indicator, chat ki harkat mein ek note worthy shift dikhata hai. Shuruwat mein bearish zone ke neeche 50 level par sthit tha, lekin ab yeh 70 level par chadh gaya hai, iska matlab hai ke aage ki harkat ke liye ab bhi kuch mawad hai. Mool determinent yeh hai ke khareedne walon ko aaj EURUSD pair market mein apne dominans ko sabit karne ki salahiyat hai ya nahi.

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            • #7191 Collapse

              EUR/USD daily H4 time frame chart par, aik saaf u-turn ki afardgi numaya hai, jab market sirf support level ke aas paas stagnation ka daur dikhata hai. Yeh marhala khas tor par hota hai, utsalar ke chutti ke doran jab market shirakat kam hoti hai. Aane wale haftay ke liye tawaqquf barh raha hai, jo EUR/USD jodi par barhne wali ghaibi sargarmi ki umeed hai. Mojudah mizaj yeh ishaara deta hai ke downtrend ka silsila jaari rahega, jahan tajziyat ki taraf ishara karta hai ke dar dar tawajju karte hue ghatao ka silsila shuru hoga. Pehle to, jodi ko 7th figure ko torne ka intezar hai phir 6th figure ki taraf rukh hoga. Bad mein, tawajju pivotal level ki taraf mud jati hai, jo chart par aik ibtidaai aur darmiyanay nishandah hai peechle atharah mahinon mein. Lekin, agar anjaani taur par uptrend ki taraf ghair mutawaqqa tabdeeli aati hai, aise fluctuations ke darmiyan, bullish momentum ka maqsad 1.0852 par hota hai, jahan tak ke 1.0957 ke upper threshold ki taraf mukhtalif ho sakta hai. Halankeh yeh sarasar raahnuma manzar lagta hai, lekin zaroori hai ke chaukanna rehna, kyun ke EUR/USD market mein achanak ke fluctuations hamesha ke liye mumkinat hain. Chaukanna rehna aur pivotal khabron ke ijaadati ijaadon aur statistical updates ka jawab denay ki tayyari currency trading ke dynamic manzar ko samajhne mein buniyadi hai. Jaise ke tawaqqa kiya gaya tha, EUR/USD ne trend line se mukhaaraat kiya hai, jahan bechnay walon ko support level par muqabla mila hai, jo aage barhne ko rokta hai. Din ke andar horizontal support ke tor par breach hone ke peeche ka sabab wazeh ho gaya hai: daily trend line tak girti zaroorat thi muqablay ke maqsad se. Lagta hai ke aaj ke market ki sargarmi apni inteha tak pohanch chuki hai, neechay ke darjat tak girti koshishon ke baad barqarar hone wale baham ki taraf. Mumkin hai ke baqi trading session mein kisi bhi shor sharaba ka kum dekhne ko milay, jahan keema ek tang paimaish mein mubtala reh sakta hai. Aage dekhte hue, main tajziyat karta hoon ke agle haftay ke shuruwat mein aik retracement hota hai, jiske baad EUR/USD apne bearish rukh ko dobara ikhtiyar karne ke liye tayyar hai, jo ab chart par hukmaran hai

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              • #7192 Collapse

                eurusd ki qeemat 1. 0190 ke ird gird mandala rahi hai, aur hum dekh satke hain ke usd index ki sharah mein achanak tabdeeli laagat ko 1. 0230 ki mumkina divergen satah tak le jaye gi jo kharidaron ke liye ghalib range ho gi. over kndishng is ke ird gird aik ulat jane wali islaah ka ishara day sakti hai. . pichlle session mein, agar you s index data se manfi nataij bar aamad hue aur izafi nuqsanaat farokht knndgan ke jawab mein 106. 00 ke lag bhag hafta waar aur yomiya band honay walay pivot point buyers ke jawab mein mandi ka taasub peda kar satke hain, to aik saada 50- aur 100-day ka pivot point buyer 1. 0345 par chalay ga. .. 1. 0400 feesad ki harkat pazeeri ost. Mazeed bar-aan, moving average nazooli 50 din ki saada moving average ( sma ) range se neechay trade kar rahi hai, jis se 1. 0100 par takneeki istehkaam ki wasee tar mandi ki satah mil rahi hai. Raftaar ke isharay aik mohtaat qareebi mudti lehjey ki taraf ishara karte hain. khaas tor par, bollinger bands aur oscillator taizi se cross bananay ke baad oopar ki taraf barh rahay hain .
                EURUSD H4 Time Frame:
                4 ghantay ke time frame par, bearish head and shoulder pattern ki tashkeel sellers par radd amal zahir kere gi, aur 1. 0150 se neechay aik recieve break 1. 0090 ke numaya swing divergence ke andar izafi nuqsanaat peda kere ga . ahem asharion ke liye convergence ka khatrah manfi pehlu par rehta hai kyunkay qeemat 20 aur 40 din ki saada moving average ( sma ) aur 1. 0190 ki taaza tareen bulandi se gir gayi hai. qaleel mudti takneeki isharay bearish zone mein rehtay hain. yakke baad deegray mhazon ka maqsad dobarah barabar karna aur 1. 0020 par fori imdadi rukawat se nimatna hai. mazeed nuqsanaat taqreeban 0. 9930 ki 38. 3 % fibonacci retracement satah par neechay ki taraf dhalwan channel ki ree flow line ke liye raah hamwar kar satke hain. ulta, khredar ke tasdeeqi signal ko 1. 0320 par muzahmat milnay ka imkaan hai. macd isharay ki midline ke qareeb 1. 0670 ke ird gird down trained line ka saamna karne se pehlay is ilaqay ke oopar izafah 1. 0445 par rukawat ki taraf tawajah markooz karne mein madad kere ga .
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                • #7193 Collapse

                  EURUSD


                  Jab hum agle trading week ke liye tayari karte hain, to zaroori hai ke hum markets ko ek sehatmand dimaag ke sath nazdeek se dekhein, potential risks aur opportunities ko pehchan kar. Qeemat ki harkaat ko qareeb se nigrani karte hue aur aik behtareen taur par mukarrar trading strategy ko follow kar ke, hum markets mein pur-itminan aur mazbooti ke sath safar kar sakte hain, jisse hum apne aap ko ragra hai aur halaat ka muqabla kar sakte hain.

                  Jab hum agle trading week ki taraf dekhte hain, to hoshyaar rehna ahem hai aur kharidaron ko jo ek potential uptrend ka intezar kar rahe hain unhe ghaafil nahi hona chahiye. Bulish traders ke darmiyan udaasi ki mahol ke bawajood, behtar hai ke Commitment of Traders (COT) data ka intezaar kiya jaye takay hum haal hi ki market activity aur sentiment ke potential tabadlaat ko samajh sakein. Iske ilawa, setups ka jaeza lagane wale ke hawale se, khaaskar options contracts ke hawale se, ne guzishta somvar ko put contracts ki ghulabi hone ki tajweez di, jo ke market ko mutasir kar sakti hai. Ab qeemat ka position kisi ilaake mein gir gaya hai, candlestick ka position ab bhi 100 period simple moving average line ke neeche hai, jo ke bara waqt ke frame mein bearish trend ka jari rakhne ki nishaani hai. Aglay haftay ke market ke mahol ke liye, sirf intezaar karen ke qeemat dobara girne ka sell signal mile, ye mumkin hai ke sellers qeemat ko 100 period simple moving average line ke neeche ki taraf le kar jana chahte hain. Agar main halaat ke haalat ko dekhta hoon jo ke bearish taraf ko mael karta hai, to meri raaye mein market phir se sellers ke control mein aa sakta hai aur dobara girne ki sambhavna hai taake yeh nateeja calculations aur technicalities par mabni hai. Meri raaye mein, qeemat ka safar Downtrend taraf jari rahega.

                  Agar aap pair ki qeemat ki harkaat ko dekhein to waqt frame mein, to saaf hai ke market trend ko downtrend ki taraf le ja raha hai. Is haftay ke market harkaat ke mutabiq kam hota ja raha hai, lekin mumkin hai ke qeemat dobara ilaake tak gir jaaye taake yeh bearish taraf jaari rahe aur agle haftay ke liye bhi. Trading ke doran, hum moqa dekh sakte hain ke kis ilaake mein suitable position kholne ke liye.

                  Market ka mood sthaapit karne mein ghalati ho sakti hai, jo ke maali nuqsaan ka sabab ban sakti hai. Isliye, chaliye hum apne aala ka chart kholte hain jis mein 4 ghante ka time frame hai aur dekhte hain ki moolyavi shartein - H1 aur H4 waqt ke dauran trend ki harkaat ek dosre ke sath milti hai. Is tarah, pehli qanoon ko pura karte hue, hume yakeen ho jata hai ke aaj market humein aik behtareen moqa deta hai taake hum sehatmand position khol sakte hain.

                  • #7194 Collapse


                    EURUSD

                    Euro Middle East ke unrest ke darmiyan wapas ja chuka hai: Forex trading ke daire mein, EUR/USD pair ne Middle Eastern ilaqon mein barhti hue tensions se mutaliq shuruati fikron ke bawajood himmat dikhai hai. Reports ke mutabiq Israel aur Iran ke darmiyan jangliyat mein izafa ke dabe ke asrat zahir hue, jis se Euro mein thori dair ke liye girawat dekhi gayi. Magar, haal hi ke tajziyat ne pair ko mustaqil karne ka amal dekha, jo tanazaati tensions ke darmiyan investors ko umeed ki ek chamak faraham kar raha hai. ****ad tab shuru hua jab Israel ne 13 April ki hamlay ka jawab denay ke tor par Iran ke taraf unmanned aerial vehicles ka istemal kiya. Ye jawabi iqrar aik mustaqbil mein barhte hue izafa ke khaufat ko jala deta hai jis se pehli trading sessions mein Euro mein ek shuruati girawat dekhi gayi. Magar, jab waqiaat samne aaye, EUR/USD pair ne aik qabil-e-zikar recovery dikhayi, jo market ki salahiyat ko tanazaati shifts ko zaban dalne aur adapt karne ka ishara deta hai. Shuruati turbulence ke bawajood, analysts tasleem karte hain ke EUR/USD bari downtrend ke andar consolidation phase mein hai. Ye ishaara deta hai ke hal hi ke izafa encouraging hai, lekin Euro ke baray mein overall sentiment cautious hai. Traders Middle East ke tajziyat mein barhne wali tafteeshon ko hoshiyar taur par nigrani mein rakhte hain, currency markets mein mazeed tawazun ke liye ahtiyaat barti hui hain. Geopolitical tensions ke darmiyan EUR/USD pair ka mazbooti se barhna global waqiyat aur currency values ke darmiyan paich-o-taab ka paigham hai. Jabke short-term fluctuations ko tanazaati waqiyat se mutasir kiya ja sakta hai, lambi muddat ke trends ko economic indicators, monetary policy decisions, aur market sentiment jese mukhtalif factors se mutasir kiya jata hai.

                    Technical Analysis: Pair ke darmiyan Price Consolidation ke darmiyan mixed signals: Is currency pair ki daily chart analysis mein, hum ek qabil-e-zikar sequence of candlestick patterns dekhte hain. Shuruati tor par, bulls ne do inverted hammer candles ke baad aik lambi bullish candle banakar apni taqat dikhayi. Magar, agle candle ne bullish candle ke body ko paar nahi kiya, balkay darmiyan mein band hua. Hal hi mein, mojooda candle mein aik lower wick hai, jo aik bullish pin bar ki manind hai. Ye uncertainty pair ke agle trend ke liye koi wazeh rahnumai nahi dikhata. Iske ilawa, Relative Strength Index (RSI) 40.00 ke neeche hai, jo market mein tajwez nahi hone ka aur zyadah wazeer hai.

                    Ghantay ki chart par murnay par, hum dekhte hain ke pair 1.0697 se 1.0601 ke darmiyan aik range mein consolidate ho raha hai. Aaj, price ne sideways support ko 1.0600 par test karne ke liye nichle border ki taraf downward movement kiya. Magar, price ne is level tak pohnchne se pehle rukh badal liya, pivot level ki taraf mud daurne laga.

                    Maujooda manzar ke mutabiq, traders jo short positions dhoondh rahe hain unhe 1.0697 tak price pohanchne ka intezar karna chahiye phir bechna chahiye. Ulta, wo jo buying opportunities dhoondh rahe hain unhe 1.0601 tak price pohanchne ka intezar karna chahiye. Is range ke bahar nikalna lambi muddat ke trend mein potential shift ka ishara kar sakta hai.

                    Ikhtisar mein, technical indicators is currency pair ke liye aik mixed picture pesh karte hain, jahan daily aur hourly charts dono mein conflicting signals hain. Traders ko ehtiyaat se kaam lena chahiye aur wazeh signals ka intezar karna chahiye positions shuru karne se pehle.

                     
                    • #7195 Collapse

                      utsalar unko jo mazeed neeche ki taraf momentum ke liye muqarrar thay. Halaanki, aakhri maamlaon se pehle chowkne aur puri market ke mansoobe ko ghoor kar kamyabi ka nataija nikalna ahem hai. Tehqiqati ishaarat aur market ki dynamics ke mutabiq, samne aane wale tor par kuch rukawat ka andesha hai, jise jodi ke rukh mein ulat pherne ki taraf le ja sakta hai. Asal mein, "taqat mein farokht" ka vasaar yahan mayne rakhta hai. Chahe ke itaraf se numaya bullish tod phod ho, lekin Tajruba kar traders samajhte hain ke market aksar ulta chal sakta hai, aur jo numaya bullish kadam lagta hai, woh haqiqat mein choti lehar darust karne ka mauqa ho sakta hai. Is maamle mein, sabr aur mazeed tasdeeq ka intezar karna munasib hai pehle se farokht ki kisi ki dastakht karne se pehle. Ek tareeqa ye ho sakta hai ke jodi 1.0820 ke resistance level tak pohanche. Ye level ahem hai kyunke ye mazeed upar ki taraf chalne ka rukawat ka kaam karta hai, aur shayad market ke shirakat daron ka farokht ka dilchaspi paida kare. Daring traders ke liye jo zyada risk uthane ko tayyar hain, 1.0820 level par farokht karne ka mauqa potential niche ke momentum ka faida uthane ka hosakta hai. Halaanki, yeh zaroori hai ke sahi risk nigrani ke tareeqe ko amal mein laaya jaaye aur stop-loss orders ka istemaal kiya jaaye takay kisi nuqsan se bacha ja sake agar trade umeed ke khilaaf chalay. Zindagi ke liye khichdi ka vasaar dilchaspi paida karta hai aur is mai aaiadat taariqiyan ki fitri ghaflat ko darust karta hai. Jaise ke zindagi mein, jahan haalaat moujooda surat mein faida pohancha sakte hain lekin ghair mutawaqa tor par mushkilat a sakti hain, wahi trading mein bhi yeh sach hai. Markets achanak jazbat aur rukh mein tabdeeli dikhate hain, jo traders ko tarteeb dene aur mutabiq karne ke liye majboor karta hai. Mukhtasar mein, laal level 1.0708 ke oopar tod phod ne EUR/USD jodi mein intahai bearish jazbat ko mansookh kar diya hai, lekin ehtiyaat zaroori hai. Tajruba kar traders ko chokas rahna chahiye aur farokht karne ke liye 1.0820 jaise ahem resistance levels par market ka rawayya dekhna chahiye. Sabr aur sahi risk nigrani tashtari ke complexities ko samajhne aur trading ke mauqe par faida uthane ke liye ahem sifat hain. De

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                      • #7196 Collapse



                        EUR-USD PAIR REVIEW

                        EURUSD pair ki price movement, jo pehle Kumo cloud se guzar gayi thi aur uske upar thi, ek bullish condition ko darust karti thi. Magar, jab 1.0691 range tak pohanch gayi, jo ke lagbhag 1.0700 darja tak pohanch gayi thi, to upar ki rally mazeed upar chalne mein kaamyaab nahi rahi. Subah ke Asian session mein price phir se neeche chali gayi thi, jisse ke wo Kumo cloud ke neeche thi lekin 1.0610 tak ke support ko chu nahi saki. Agar mojooda price movement Kumo cloud ke area mein dakhil hota hai aur upar ki taraf jaane ki tend mein hai, to bullish condition kal ki tarah jaari reh sakti hai aur 1.0691 ki bulandiyon ko dobara test kar sakti hai.

                        Magar, stochastic indicator ke parameters taqreeban overbought zone tak pohanch gaye hain, jisse ke upar ki rally rokne ke liye jagah ban gayi hai. Iske ilawa, jab parameters cross ho gaye hain, to giravat jaari reh sakti hai bina price ko bulandiyon ya 1.0700 darja ko test karne ki koshish kiye. Mojud European session mein sirf German PPI m/m maaliyat data report hai, jiska natija bohot ummedwar hai lekin koi ahem asar nahi padta. Wahi, aaj raat New York session mein koi bhi US maaliyat data report nahi hai, jiska matlab hai ke EURUSD pair ki price movement mehdood ho sakti hai.

                        Taqreeban trading plan ke baray mein, shayad aap SELL ko chunenge kyunke price Kumo cloud ke neeche thi aur abhi koi yaqeen nahi hai ke wo uske upar hogi. Entry ek position kholne ka mauqa tab hota hai jab stochastic indicator ke parameter maan jurm shudah zone ko cross kar chuke hote hain. Support 1.0610 ko take profit aur stop loss ke tor par istemal kiya jata hai, 30-40 pips ke hisaab se open position ke se lagaya jata hai.

                        • #7197 Collapse

                          EUR/USD

                          EUR/USD ka taruf Forex Men

                          EUR/USD ek bohot popular currency pair hai Forex market mein. Yeh Euro (EUR) aur United States Dollar (USD) ke beech ka exchange rate darj karta hai. Yeh pair bohot zyada trading volume ke sath aam taur par trade kiya jata hai, iski wajah se iski liquidity bhi bohot zyada hoti hai.

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                          EUR/USD pair ka movement economic indicators, geopolitical events, central bank policies, aur market sentiment ke mutabiq hota hai. Ismein Eurozone ki economic data, jaise ke GDP growth, employment rates, aur inflation figures, ke sath sath US economic data, jaise ke non-farm payrolls, GDP growth, aur interest rate decisions, ka bhi impact hota hai.

                          Is pair ka spread bhi generally kam hota hai, jo ke traders ke liye acha hota hai kyunki transaction costs kam hote hain. Iske alawa, is pair ka volatility bhi moderate hota hai, jo ke beginners ke liye bhi acha hota hai kyunki sudden price swings ki chances kam hoti hain.

                          Overall, EUR/USD ek popular aur liquid currency pair hai jo traders ke liye attractive ho sakta hai, especially beginners ke liye jo market ko samajhna aur trading techniques ko test karna chahte hain.

                          EUR/USD ka Technical Analysis Forex men

                          EUR/USD ka technical analysis karne ke liye traders usually various tools aur indicators ka istemal karte hain jo market trends aur price movements ko samajhne mein madad karte hain. Yeh kuch important technical analysis tools aur concepts hote hain:
                          1. Trend Lines: Trend lines ko plot karke traders price ke patterns aur trends ko identify karte hain. Upar ki aur (upward trend) ya niche ki aur (downward trend) ki movement ke signals ko trend lines se dekha jata hai.
                          2. Support aur Resistance Levels: Support levels woh price points hote hain jahan se price gir kar upar ki taraf ja sakti hai, jabki resistance levels woh hote hain jahan se price gir sakti hai. In levels ko analyze karke traders entry aur exit points ka faisla karte hain.
                          3. Moving Averages: Moving averages market trends ko smooth karte hain aur price ke patterns ko identify karne mein madad karte hain. Short-term moving averages aur long-term moving averages ka istemal kiya jata hai trading signals ko confirm karne ke liye.
                          4. Relative Strength Index (RSI): RSI market ki overbought ya oversold conditions ko measure karta hai. Jab RSI 70 ke upar hota hai, toh market overbought ho sakti hai aur downside ki possibility barh jati hai, jabki RSI 30 se neeche jaane par market oversold ho sakti hai aur upside ki possibility barh jati hai.
                          5. Candlestick Patterns: Candlestick patterns jaise ki Doji, Engulfing, aur Hammer bhi price movements aur reversals ko identify karne mein madadgar hote hain.
                          6. Fibonacci Retracement: Fibonacci retracement levels ko use karke traders previous price moves ko analyze karte hain aur potential support aur resistance levels ko determine karte hain.
                          Yeh tools aur concepts traders ko EUR/USD pair ke technical analysis mein madadgar hote hain. Har trader apne trading strategy aur risk tolerance ke according in tools ka istemal karta hai.




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                          • #7198 Collapse



                            EUR/USD H4 waqt se EURUSD currency pair ka karkardagi ko aik sath sath bohot se asraat ka samna hota hai, jo ke iqtisadi alaamaat, sahoolat-e-siyasat aur monetary policy ke faislon mein shaamil hote hain. Traders aksar technical analysis techniques par bharosa karte hain, jese ke candlestick patterns ko pehchan'na aur support aur resistance levels ko pehchanna, taake unho ne sahi aur mutamad trading strategies banai ja sakein. Haal hi mein EURUSD ki be had dull performance ko duniya bhar ke markets mein mojood constant uncertainties ki wajah se mansub kiya ja sakta hai. Ye uncertainties iqtisadi phailaw, mahangi riwayaat aur markazi bankon ke qararati iradon ke baare mein andishaat ko shamil karte hain, jo ke euro aur US dollar dono ki talaab par intehai asar dalte hain. Is ke ilawa, sahoolati tensions aur chalte hue trade disputes market volatility ke mazeed aham asbaab hain, jis se EURUSD ke harek aghaz par bara asar hota hai. Is maahol ke samne, Monday ke trading session ne zaroorat ko wazeh kiya ke ahem technical thresholds ko nigahein bandh kar ke rakha jaye aur zaroori market developments ke mutabiq raabte mein rehna zaroori hai.

                            EURUSD, forex market mein sab se zyada tajziyafti currency pairs mein se aik hai, jo hamesha mukhtalif fundamental factors ke aagay ek nae chalti hui daryafti hai. Iqtisadi data releases market sentiment aur price action par bohot bada asar dalte hain, kyun ke ye muashiyat ki sehat ke baray mein andaza dete hain. Ahem indicators jese ke Gross Domestic Product (GDP) growth rates, mahangi figures aur rozgar ke data market participants ke liye raahnuma hotay hain, jinhe unke trading decisions ke liye hidayat di jati hai. Is ke ilawa, markazi bankon ke monetary policy decisions, khas tor par European Central Bank (ECB) aur Federal Reserve (Fed), EURUSD exchange rate ke liye gehri asarat rakhte hain. In asraat mein interest rates mein tabdeeliyan, quantitive easing programs aur in idaroon ke dawam dene wale hawale kaat rate currency valuations mein numaya fluctuations ka ba'is ban sakti hain.

                            Is ke ilawa, sahoolati waqiat investor sentiment aur market dynamics ko shakal denay mein ahem kirdar ada karte hain. Mumalik ke darmiyan izafah ho rahe tensions, sahoolati mushkilat, aur qarardad-e-aalami taalukat ke aas-paas uncertainty, investors mein risk ehtiyat ko utpann kar sakti hai, jo forex market mein uchhal kood mein izafa kar sakti hai. Maslan, sahoolati waqiat jese ke Brexit negotiations, US-China trade tensions, aur Middle East mein sahoolati unrest, peechle dino mein EURUSD exchange rate mein fluctuations ka sabab ban gaye hain.

                            • #7199 Collapse


                              EURUSD

                              Jab hum agle trading week ke liye tayar ho rahe hain, toh zaroori hai ke hum bazaar ko barabar dimaag se dekhein, potential khatron aur mauqein ko pehchaanke. Qeemat ki harkat ko nazdeek se dekhte hue aur ek acchi tarah se tay ki gayi trading strategy ko follow karte hue, hum bazaar mein pur sukooni aur mazbooti ke saath chal sakte hain, jisse hum volatility ke beech kamiyabi ke liye apne aap ko set kar sakte hain. Agla trading week ke liye dekhte hue, mushkilat aur buyer jo ek potential uptrend ki taraf dekh rahe hain ko na bhulna zaroori hai. Bullish traders ke darmiyan udasi ki mahol ke bawajood, haal mein market ki gatividhiyon ko samajhne aur sentiment mein tabdiliyon ko pehchanne ke liye Commitment of Traders (COT) data ka release ka intezar karna behtareen hai. Iske alawa, setups ka ek jaiza lena jo Monday ko, khaaskar options contracts ke mutalliq tha, put contracts ke ghul jaane ka pata chala, jo ek downturn ko nuksan pohchane ki nishani hai. Ab price position 100 period simple moving average line ke neeche gir chuka hai, jo ke bade time frame mein bearish trend ka jari rehne ki nishani hai. Agale haftay ke market scenario ke liye, bas price ko dobara girne ka intezar karna hai takay ek sell signal mil sake, shayad sellers price ko 100 period simple moving average line ke neeche wali area tak le jaana chahte hain. Agar main mojooda price ki harkat ko jo bearish tend mein hai dekho, toh meri raay mein, bohot zyada mumkin hai ke market dobara sellers ke control mein aa jaaye aur dobara zone ko test karne ke liye gir jaaye, kyunki yeh hisaabon aur technicalities par mabni hai. Meri raay mein, price ka safar Downtrend ki taraf jari reh sakta hai. Agar aap pair ki price ki harkat ko time frame mein dekhte hain, toh wazeh hai ke market trend ek downtrend ki taraf ja raha hai. Is haftay ke market movements ke mukable mein, yeh girawat ki taraf jaane ka tend rakhta hai, lekin yeh mumkin hai ke price dobara zone tak gir jaaye taake yeh bearish side ki taraf jaari rehne ke mauqe ko khole, agle haftay ke liye bhi. Trading period ke doran, hum moqa talaash kar sakte hain ek munasib position kholne ke liye. Bazaar ki mood ki sthapna mein koi ghalti na karna, jo ke maali nuksan ka sabab ban sakti hai. Toh, chaliye humare instrument ka chart 4 ghanton ke time frame ke saath kholte hain aur bunyadi haalat dekhte hain - trend movements H1 aur H4 time periods par aik dosre ke saath milna chahiye. Is pehle qaid ko pura karne ke baad, hume yakeen hai ke aaj market hamen ek behtareen mauqa deta hai

                               
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                              • #7200 Collapse

                                EURUSD ne daily time frame chart par 1.0697 ke zyada taqatwar support level ko toor diya hai. Jab market ek aham support level ko todta hai, yeh usually significant hai aur traders ke liye important signals provide karta hai. Is situation mein, yeh kuch factors par depend karta hai jo market sentiment aur fundamentals ko influence karte hain. Ek possible reason ho sakta hai ki market mein kisi economic release ya geopolitical event ki wajah se sudden volatility aayi ho, jiske results mein support level break hua. Economic indicators jaise ki GDP growth, employment data, aur inflation figures, market sentiment ko directly influence karte hain. Agar kisi indicator ki expectations se alag result aata hai, to market mein volatility badh sakti hai, aur support levels ko break kar sakta hai. Dusri possibility hai ki central bank policies ya monetary policy decisions ne market sentiment ko affect kiya ho. Central banks apni monetary policy ke through interest rates aur money supply ko control karte hain, jo currency values par asar daal sakta hai. Agar kisi central bank ne unexpected policy change kiya ho ya phir koi indication di ho future policies ke baare mein, to market mein sharp movements aane ki sambhavna hoti hai, jo support levels ko break kar sakti hai. Technical analysis ke perspective se, agar ek support level break hota hai, toh traders usually market mein bearish sentiment ko signify karte hain. Yeh ek signal ho sakta hai ki sellers ne control gain kar liya hai aur market downward trend mein jaane ki sambhavna hai. Is situation mein, traders apne positions ko adjust kar sakte hain, jaise ki short positions lekar ya existing positions ko hedge karke apne risk ko manage karte hue. Is tarah ke situations mein, traders ko careful rehna chahiye aur market ke further movements ko closely monitor karna chahiye. Support level break hone ke baad, next potential support levels ko identify karna important hota hai, taki traders apni strategies ko adjust kar sakein. Market sentiment, economic indicators, aur technical analysis sabhi ko consider karke, traders apne decisions ko base karte hue risk ko manage karte hain. In sabhi factors ko dhyan mein rakhte hue, traders ko apne trading plans ko adapt karna chahiye aur market ke movements ke saath pace rakhna chahiye. Support level break hone par, market mein volatility aur uncertainty badh sakti hai, isliye risk management ko prioritize karna zaroori hai.
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