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  • #7861 Collapse

    EUR/USD ka Technical Analysis
    H-4 Timeframe Analysis

    Pichlay working week mein euro thora gir gaya, jo pehlay kay growth trend ka correction tha. Is waqt price 1.0837 level kay just neeche break hui, jo key support tha. Support break honay kay baad, price ne apne losses ko recover karna try kiya aur 1.0837 kay upar wapas aa gaya, jahan yeh foothold bananay ki koshish kar raha hai. Pehlay wale scenario ke mutabiq, target area reach nahi ho saka. Iss doran, price chart super-trending red zone mein hai, jo yeh dikhata hai ke sellers hedging kar rahe hain.

    Technical analysis ki nazar se, aaj 4-hour chart ko closely dekhain to ek negative simple moving average crossover price ko upar se suppress kar raha hai. Is point se, downtrend ka imkaan hai aur day trading 1.0875 aur 1.0900 ki extended resistance se neeche hogi. Agar price 1.0800 se neeche jata hai, to further losses ka rasta khul jayega towards 1.0730. Dusri taraf, agar price 1.0900 se upar stable rehta hai to bearish scenario prevent ho sakta hai aur EUR/USD temporary recovery experience kar sakta hai, initially rising to 1.0970.

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    Is waqt, pair mukhtalif directions mein trade kar raha hai aur week ke start ke muqable mein slow move kar raha hai. Central support zone test hui aur intact rahi, jo rebound ka sabab bani, aur upward vector ki relevance ko dikhata hai. Price ko 1.0837 ke current area ke aas-paas consolidate karna chahiye, jo central support area ke kareeb hai. Is area ka retest aur subsequent bounce ek aur higher move ka mauka dega with target between 1.1033 and 1.1121.

    Agar support break hoti hai aur price 1.0763 pivot level se neeche girti hai, to current situation reverse ho jayegi.
       
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    • #7862 Collapse

      EUR/USD/H1


      Combined PMI ne pichle teen mahino se 50 ke upar continue kiya hai, jo yeh indicate karta hai ke Eurozone economy mazbooti dikh rahi hai. Manufacturing PMI growth ko new orders ke increase ne primarily drive kiya. Services sector, halaan ke output aur input costs mein decline dekh raha hai jo pichle teen saalon mein lowest level par hai, fir bhi historical averages se upar hai. Yeh European Central Bank (ECB) ke liye achi khabar hai. Magar risks phir bhi hain, kyun ke employment index May mein barh gayi, jo increased economic activity ko indicate karti hai.

      EUR/USD currency pair ne 1.0910 ke high se decline experience kiya aur baar baar 1.0844 ke aas paas resistance mili Friday ko, jo H1 timeframe par "double bottom" ka initial signal create kiya. Currency pair ki recent strength ne apne low 1.0844 se 1.0910 ke high tak 50% se zyada ka rebound dikhaya, aur daily timeframe par bullish engulfing pattern complete kiya, jo potential reversal ko indicate karta hai.



      EUR/USD H1 timeframe chart par, higher timeframes ko dekhne ke liye candlestick reversal patterns ya notable technical events identify karte hain. Hourly timeframe se shuru karte hain, koi candlestick reversal patterns evident nahi hain, week ko ek bearish candle ke sath conclude kiya jo preceding candle mein encapsulated thi. Lekin, yeh lack of discernible patterns future price movements ko necessarily dictate nahi karta, kyun ke market dynamics swiftly change ho sakte hain. Isliye, vigilant rehna aur analysis ko accordingly adapt karna imperative hai.

      Daily timeframe par move karte hain, similar scenario unfold hota hai, koi evident reversal patterns observe nahi hue. Lekin, aise periods of consolidation aksar significant market shifts ko precede karte hain, jo continued monitoring ko warrant karte hain. Monthly timeframe par zoom out karte hain, broader perspective lack of conspicuous reversal patterns reveal karta hai, jo ongoing market indecision ko signal karta hai. Conclusion mein, current observations clear signals provide nahi karte, lekin comprehensive analysis framework ko maintain karna crucial hai dynamic market conditions ko navigate karne aur potential opportunities ko capitalize karne ke liye.
         
      • #7863 Collapse

        EUR/USD Chart Technical Analysis

        EUR/USD chart is saaf taur par aik sell scenario dikhata hai, jo market ka mazboot faisla zahir karta hai jab keemat ek narrowing triangle pattern se bahar nikli hai. Ye breakout bearish outlook ko suggest karta hai, jo ke aaj ke din ke liye selling aik relevant strategy banata hai. Khaaskar, sellers ko market mein tab entry leni chahiye jab keemat 1.0853 ke level par wapas aaye. Is sell strategy ke initial targets 1.0802 aur 1.0775 ke darmiyan honge, jo current price movements ke madde nazar potential profit zone offer karte hain. Lekin, yeh zaroori hai ke recognize kiya jaye ke yeh selling strategy tab invalid ho jaye gi agar keemat mein significant upward movement hoti hai. Agar keemat 1.0873 se ooper chali jati hai, toh yeh sell signal cancel ho jaye ga, khaaskar agar keemat 1.0895 ka level breach karne ki koshish karti hai. Aise scenario mein, market dynamics aik bullish trend ki taraf shift suggest karengi aur traders ko apni positions ko dubara assess karna chahiye.


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        Aaj ki market action aik robust downward candle se characterized hai, jo ke continued decline ke likelihood ko reinforce karti hai. Yeh downward momentum tab tak continue rehne ki umeed hai jab tak market oversold na ho jaye kisi bhi technical indicator par jo aam tor par traders use karte hain. Oversold conditions aam tor par aik potential reversal ya kam az kam aik temporary halt in the decline ko signal karti hain, jo traders ke liye closely monitor karne wala aik important factor hai. Yeh noteworthy hai ke EUR/USD pair ne recently increased volatility experience ki hai. Yeh heightened market activity trading environment mein complexity add karti hai, lekin overarching trend bearish hi rehti hai jab tak keemat critical level of 1.0835 se neeche rehti hai. Iss level ke neeche decline ko sustain karna market ke bearish sentiment ka aik significant indicator hai.

        In conclusion, EUR/USD chart ka current analysis sell strategy ko support karta hai given the breakout from the narrowing triangle aur subsequent downward pressure. Traders ko 1.0802 ke targets ke darmiyan levels ko target karna chahiye.
           
        • #7864 Collapse

          EUR/USD ki technical analysis ke mutabiq, euro thori si gir gaya tha peechle kaam ke hafte mein, pehle ki growth trend ki correction karte hue. Is waqt, qeemat ne bus 1.0837 level ke neeche girna muqarrar kiya tha, jahan pe key support mila. Is support ko tor kar, qeemat ne apne nuqsan wapas hasil karne ki koshish ki aur 1.0837 ke upar wapas aagayi, jahan pe wapas hasil karne ki koshish kar rahi hai. Pichli manzoori ke muqable mein jo umeed thi, woh maqsaad nahi poora ho sakta. Is dauran, qeemat ka chart super-trending red zone mein hai, jo yeh dikhata hai ke sellers apne nuqsaan se bach rahe hain.

          Technical analysis ke nazariye se, aaj, 4-H mein nazdeek se dekhne par bhi ek negative simple moving average crossover hai jo qeemat ko upar se dabaa raha hai. Yahan se, aik downtrend mumkin hai jab day trading extended resistance at 1.0875 aur 1.0900 ke neeche hoti hai, jab 1.0800 ke neeche chalne se qeemat ke liye mazeed nuqsan ki raasta kholte hain 1.0730 ki taraf. Dosri taraf, 1.0900 ke upar trading mazboot rehti hai, jiska matlab hai ke maqsood bearish scenario rok sakta hai jahan EUR/USD ko temporary recovery mehsoos hoti hai, jo pehle se 1.0970 tak barh sakti hai.

          Is waqt, pair ek different direction mein trade kar raha hai aur hafte ke shuru mein se thori dair se move kar raha hai. Central support zone ko test kia gaya aur yeh barqarar raha, ek rebound karate hue, jo preferred upward vector ki ahmiyat ko dikhata hai. Qeemat ko is waqt ke 1.0837 price area ke aas paas consolidate karna chahiye, jo central support area ke qareeb hai. Is area ko dobara test aur is ke baad bounce, ek aur move ke liye moqa pohanchayega jo 1.1033 aur 1.1121 ke darmiyan target mein hota hai.

          Agar support toot jata hai aur 1.0763 pivot level ke neeche aur gir jata hai, to current situation ulta ho jayega.
             
          • #7865 Collapse

            Aaj market mein kaafi kam activity dekhi gayi. Intraday level ko 1.0700 tak update karne ke baad, halki utar chadav ki tasdeeq hui, lekin afsos, uske baad koi mazeed taraqqi nahi hui. Is na-ummeedi ki kami ko market dynamics mein temporary rukawat ka sabab samjha ja sakta hai, jis se traders aur investors apni tawajju un reasons par jama kar rahe hain jo is stagnation ke peeche ho sakte hain aur qareebi mustaqbil mein kya ho sakta hai.

            1.0700 level ki taraf movement ki tasdeeq ne shuru mein ek mumkin market sentiment ka shift darust kiya. Magar, mazeed sannata ye dikhata hai ke market participants shayad mazeed mazboot maalumat ya waqiyat ka intezar kar rahe hain pehle koi bhi significant qadam uthane se pehle. Ye ho sakta hai mukhtalif factors ki wajah se jaise ke economic data releases, geopolitical events, ya phir mazeed market conditions jo trader behavior ko influence kar rahe hain.

            Aaj ki khamoshi ka doosra potential factor bhi ho sakta hai zyada behtar market sentiment aur overall investor caution. Low volatility aur movement ki kami waqtan-fa-waqtan market participants ke darmiyan bari uncertainty ya risk aversion ki bhi numayish kar sakti hai. Ye waqt tab aata hai jab geopolitical tensions, economic uncertainties, ya phir major global events ke qareeb aate hain. Jab investors future market ki direction ke bare mein ghair yaqeeni hote hain, to woh aksar wait-and-see approach apnate hain, jo subdued trading activity ko le kar aata hai.

            Technically, 1.0700 tak shuru hone ke baad follow-through ki kami bhi dekh sakte hain jaise ke market ek damki le rahi hai. Ye tab hota hai jab price aik ahem level tak pohanch jata hai magar usme wo momentum nahi hota jo usay mazeed usi direction mein agay push kar sake. Aise cases mein, market ek consolidation phase mein enter ho sakta hai jahan woh ek tang range ke andar trade karta hai jab tak buyers aur sellers aapas mein balance nahi ho jate. Ye consolidation market cycle ka aik sehatmand hissa hota hai, jo agle significant move se pehle energy ka ikattha hone ka mauqa deta hai.



            Aage dekhte hue, kal ki trading session ke liye tafseelat ke liye nazar rakhna zaroori hai. Halat ki ye rukawat sach mein temporary ho sakti hai, aur market ho sakta hai ke apni movement dobara shuru kare jab tak intezar kiye gaye maqool data ya waqiyat samne aajayein. Traders ko mutasir hone wale kisi bhi naye development ka jawab dene ke liye muta'assir rehna chahiye jo market ki direction mein clear insights faraham kar sakte hain.

            Ikhtitami tor par, aaj market mein ek inactive din tha, jo 1.0700 level tak ke shuru hone ke baad kisi bhi mazeed taraqqi ki kami se characterized tha. Ye khamoshi upcoming economic data, central bank announcements, broader market sentiment, ya technical consolidation phase ki intezar ki wajah se ho sakti hai. Kal ki trading session zyada definitive information faraham kar sakta hai, aur traders ko kisi bhi naye opportunities ko capture karne ke liye alert rehna chahiye. Market ke developments ko nazdeek se monitor karke aur adaptable reh kar, traders periods of inactivity se guzar sakte hain aur agle significant move ke liye tayar reh sakte hain.
               
            • #7866 Collapse

              EUR/USD Ka Tajziya: Aaj Ki Currency Fluctuations Ko Samajhna

              Euro (EUR) aur US Dollar (USD) ki currency pair ne haftay ki shuruat mein aik quiet start ki, Asian session ke dauran tight range mein trading hui aur minimal volatility nazar ayi. Yeh pichlay haftay ke volatile end ke baad hai, jahan USD pehle mazboot hua lekin phir mixed economic data releases ki wajah se US aur Europe dono se kuch gains wapas diye. Aaj ka trading session Memorial Day holiday ki wajah se US mein aur kisi major economic news ke bagair Europe se bhi subdued rehne ki umeed hai. Magar, traders ko Euro group meeting par nazar rakhni chahiye, jo Eurozone countries ke finance ministers ka ijtima hai. Pehle half din mein kisi significant price swing ki umeed nahi hai, lekin EUR/USD pair ke liye aik slight downward correction ka chance hai. Overall outlook positive hai, aur din ke aakhir mein upward trend ka resumption ho sakta hai. Key support level 1.0815 par hai.

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              Agar EUR/USD price is level se neeche break karti hai aur consolidate hoti hai, to yeh aur zyada decline ki raah khol sakta hai towards 1.0795 aur hatta ke 1.0765 tak. Is scenario mein, main buying opportunities dhoondhunga in lower levels ke aaspaas. Upside resistance abhi 1.0815 par hai. Agar price is level ke upar breakout hoti hai aur hold karti hai, to yeh uptrend continuation ka signal hoga. Is case mein, main long positions (buying EUR) enter karne par focus karunga with a target price range of 1.0915 se 1.0965 tak. Overall, near-term outlook uncertain hai, lekin long-term bias EUR/USD pair ke liye upside ki taraf lagti hai. Traders ko price action ko monitor karna chahiye key support aur resistance levels ke aaspaas taake potential entry aur exit points identify kar saken apne trades ke liye. Yaad rahe, yeh sirf aik tajziya hai, aur unexpected economic news ya events hamesha market direction ko change kar sakte hain.
                 
              • #7867 Collapse

                Assalam-o-Alaikum sab ko,

                Aaj Monday hai aur hum kaam ke dinon mein hain. Aaj main EUR/USD ka 4 hours time frame chart dekh raha hoon jo bearish structure dikhara hai aur isi ke bare mein baat karne wala hoon. Lekin pehle, hum USA dollar index se kya tawajjo rakh rahe hain? Aur US dollar ke liye koi bhi aham events nahi hain. Dollar abhi pressure mein hai, lekin news ka background market sentiment par kam asar dal raha hai. Isliye, jitni kam news, utna behtar. Trading volumes shayad kam rahain, lekin news ke bagair, koi bhi news dollar ke khilaf interpret karna mushkil hoga. Market ke liye yeh zaroori hai ke "sell the dollar" model se door jaye. Ek calm news background is mein madadgar ho sakta hai.

                Humein GDP report ko highlight kar sakte hain jo pehle quarter ke liye Thursday ko release hogi. Agle din, personal consumption expenditures price index aur American consumers ki personal spending aur income ke reports publish hongi. Jaise ke pehle kaha gaya, reports bohot kam hain. Dusri preliminary GDP estimate market mein dilchaspi nahi paida karegi. Friday ka data bhi itna important nahi. Isliye, market Eurozone inflation report ko analyze karne par focused rahegi.

                4 hours time frame chart par EUR/USD abhi resistance trend line ko test kar raha hai aur kuch 4 hours candles pehle hi resistance trend line par reject ho chuki hain. Isliye, current price se sell karna achi strategy hai. Hum dekh sakte hain ke EUR/USD recent support levels se neeche break kar raha hai aur bearish movement dikha raha hai. Is waqt, EUR/USD resistance level ko test kar raha hai jo sell opportunity dekhne ka acha waqt hai. Warna, agar EUR/USD resistance trend line ke upar break karta hai to yeh bearish se bullish momentum mein tabdeel ho sakta hai.





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                • #7868 Collapse

                  Meri prediction ke mutabiq, agar pichlay haftay price movements mein koi wave aayi hai, to market ke khulne par aaj ke din ek correction ya sideways movement hoga.

                  EUR/USD pair ka movement ab bhi ek upward trend dikhata hai aur is rally ne do Moving Average (MA) lines ko cross karte hue ek golden cross signal paida kiya hai. Magar, price pattern structure ab tak nahi badla kyunke invalidation level ab bhi 1.0964 ke highest price par hai. Jab tak price is high point ko cross nahi karti, tab tak price ke 1.0730 ke low price se neeche ek naya low banane ka rujhan barqarar hai.

                  Is waqt, price minor supply area 1.0855 - 1.0878 ko reach karne ke baad decline experience kar rahi hai. Agar price EMA 10 aur SMA 20 ke upar stay kar sakti hai jo ke cross kar chuki hain, to yeh bullish trend ko indicate karta hai aur minor supply area ko re-test karne ki potential rakhta hai, taake apni upward rally ko continue kar sake. Indicator jo ke level 20 ke upar crossover dikhata hai, upward price movement ko support karta hai. Magar agar indicator level 70 ko cross karne mein nakam hota hai aur oversold zone ki taraf turn karta hai, to yeh possibility hai ke price ek correction phase mein chali jaye. Yeh isliye kyunke EUR/USD pair ka price increase lagbhag ek mahina se chal raha hai, to pehle ek downward correction ho sakti hai.


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                  Meri raaye mein, trading recommendation yeh hai ke price ko niche correct hone ka intezar karein jab tak yeh EMA 10 ya SMA 20 ke aaspaas na pohanch jaye jo ke cross kar chuki hain, phir ek SELL entry position place karein. Confirmation ke liye Stochastic indicator ke cross ka bhi intezar karein jo ke wapas oversold zone mein jane ka imkaan rakhta hai. Take profit minor supply area 1.0855 - 1.0878 ke aaspaas le sakte hain, aur stop loss ka placement lowest price 1.0700 par rakhein.
                   
                  • #7869 Collapse

                    EUR/USD ne Jumma ko neeche trade kiya. Correction correction ke khilaf lagbhag ek hafta pehle shuru hui thi. Choti correction ke hawale se, price takriban 80 pips girne mein kamiyab hui, jabke badi correction mein, euro ek mahine mein takriban 260 pips gir gaya. Is tarah, volatility kaafi kamzor hai. Jumma ke din pair ne downward movement continue kar sakti thi, magar market ne kuch aur decide kiya.

                    Eurozone mein koi khaas events ya reports nahi thi, siwaye Germany ke GDP numbers ke Q1 ke second estimate ke. Doosri taraf, US ne kaafi ahem reports publish ki, jaise durable goods orders aur University of Michigan se consumer sentiment. Dono reports forecasts se behtar nikli, aur hum yad rakhein ke ahem comparison pichle mahine se nahi, balkay forecast se hota hai. To, dono reports dollar ke haq mein thi, aur yeh pura din girti rahi. Bunyadi taur par, yeh sab kuch hai jo aapko market ke reaction pattern ke baare mein fundamental aur macroeconomic background se samajhna chahiye. 5-minute timeframe par koi trading signals nahi bane. US trading session ke doran, price 1.0838-1.0856 ke area mein enter hui, jahan yeh market band hone tak trade karti rahi. Peer ko, is area se nikalne par ek signal generate hoga, magar Mondays ko volatility aam tor par bohot kam hoti hai, to pair ka movement agar intended direction mein move karega to kaafi kamzor ho sakta hai.

                    Peer ke din ke liye trading tips:
                    Hourly chart par, bullish correction ab bhi barqarar hai, jo zyada tar ek independent trend ki tarah lagti hai. Hum samajhte hain ke euro ko medium term mein girna chahiye, aur global trend downward hai. Iske bawajood, market ab tak kisi unknown reason ki wajah se dollar ko kharidne se inkar kar rahi hai aur volatility bhi kam hai. Na to US mein koi ahem reports ya events schedule hain, na hi Eurozone mein. Ziada chances hain ke hum ek aur "boring Monday" dekhein ge jahan price changes minor honge.



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                    • #7870 Collapse

                      Euro (EUR) ne dusre din bhi US Dollar (USD) ke muqable mein faida hasil kiya, aur Peer ke din ke shuruati Asian trade mein 1.0850 ke aas paas tha. Yeh izafa May ke Eurozone PMI data ke tajziyon se support hua, jo ke shetra mein maeeshat ki masbat fa'aliyat ko zahir karta hai. Magar, European Central Bank (ECB) ke aanay wale maheenon mein interest rates kam karne ki imkaanat Euro ki growth ko rok sakti hai. Doosri taraf, Federal Reserve ke officials ki hawkish statements aur mazboot US maeeshat ke data ne US mein monetary easing cycle ko der karne ke andazay ko barhawa diya hai. Yeh sentiment shift is baat se zahir hoti hai ke Fed ke September rate cut expectations kam ho gayi hain, jo ke aik hafta pehle 64% thi aur ab 53% ho gayi hain. Aanay wale Jumeraat ko US GDP data Q1 ke liye bhi aik ahem factor hai. Mazid mazboot GDP figure USD ko arzi taur par support de sakta hai.


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                      Qareebi muddat mein, EUR/USD pair ek consolidation phase mein phans gaya hai, jahan resistance 1.0895 par hai aur support 1.0814 par. Technical indicators is waqt directional momentum mein aik pause ka ishara kar rahe hain. Stochastic oscillator ne potential downside move ka ishara diya hai, jabke RSI 70 level ke neeche hai, jo strong buying pressure ki kami ko zahir karta hai. Bullish side par, agar price 1.0895 se upar break hoti hai to yeh 1.0940 ka retest kar sakta hai, jo ke mazid 1.0980-1.1000 resistance zone ki taraf le ja sakta hai. Bar'aks, agar price 1.0814 se neeche girti hai to yeh volatility ko trigger kar sakti hai, iske baad 1.0785 ke qareebi downtrend line aur key moving averages se break hone ka imkaan hai. Agar selling pressure barhta hai, to 20-day moving average jo ke 1.0765 par hai temporary support de sakti hai. Is level ke neeche girne se, aur phir 1.0720 ke mark se neeche jaane se, aik more sustained bearish trend ka signal mil sakta hai.
                         
                      • #7871 Collapse

                        EUR/USD ki technical analysis ke mutabiq, euro thori si gir gaya tha peechle kaam ke hafte mein, pehle ki growth trend ki correction karte hue. Is waqt, qeemat ne bus 1.0837 level ke neeche girna muqarrar kiya tha, jahan pe key support mila. Is support ko tor kar, qeemat ne apne nuqsan wapas hasil karne ki koshish ki aur 1.0837 ke upar wapas aagayi, jahan pe wapas hasil karne ki koshish kar rahi hai. Pichli manzoori ke muqable mein jo umeed thi, woh maqsaad nahi poora ho sakta. Is dauran, qeemat ka chart super-trending red zone mein hai, jo yeh dikhata hai ke sellers apne nuqsaan se bach rahe hain.

                        Technical analysis ke nazariye se, aaj, 4-H mein nazdeek se dekhne par bhi ek negative simple moving average crossover hai jo qeemat ko upar se dabaa raha hai. Yahan se, aik downtrend mumkin hai jab day trading extended resistance at 1.0875 aur 1.0900 ke neeche hoti hai, jab 1.0800 ke neeche chalne se qeemat ke liye mazeed nuqsan ki raasta kholte hain 1.0730 ki taraf. Dosri taraf, 1.0900 ke upar trading mazboot rehti hai, jiska matlab hai ke maqsood bearish scenario rok sakta hai jahan EUR/USD ko temporary recovery mehsoos hoti hai, jo pehle se 1.0970 tak barh sakti hai.

                        Is waqt, pair ek different direction mein trade kar raha hai aur hafte ke shuru mein se thori dair se move kar raha hai. Central support zone ko test kia gaya aur yeh barqarar raha, ek rebound karate hue, jo preferred upward vector ki ahmiyat ko dikhata hai. Qeemat ko is waqt ke 1.0837 price area ke aas paas consolidate karna chahiye, jo central support area ke qareeb hai. Is area ko dobara test aur is ke baad bounce, ek aur move ke liye moqa pohanchayega jo 1.1033 aur 1.1121 ke darmiyan target mein hota hai.

                        Agar support toot jata hai aur 1.0763 pivot level ke neeche aur gir jata hai, to current situation ulta ho jayega.
                           
                        • #7872 Collapse

                          EUR/USD M-15 Analysis

                          Assalam-o-Alaikum Alexey. Aapne news saturation kahan dekhi hai? Main likhta hoon ke Saturday phir boring ho sakti hai. Humaare paas sirf Thursday (US GDP) aur Friday (European Inflation) ke major 3-star news hain. Jab tak yeh macroeconomic data release nahi hota, kuch khaas nahi hoga. Aaj US aur UK mein public holiday hai. Mera khayal hai aaj foreign exchange market, khaaskar EUR/USD pair mein, kuch khaas nahi hoga. Thursday se pehle, main chahta hoon ke keemat 1.0816 area tak giray aur phir 1.0863 resistance todne ke liye upar jaye. Jaise aap keh rahe hain, agar log bech rahe hain to pair upar jaata hai. Yahan pehle short sellers ka stop 1.0863 pe hoga. Main unke peechay chalna chahunga. Aur phir news usko bigaad degi.


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                          EUR/USD M-30 Analysis

                          Sab traders aur analysts ko salaam jo EUR/USD currency pair ki dynamics ko monitor kar rahe hain. Meri analysis mein main Bollinger indicator ka use karta hoon aur price behavior ko moving averages ke mutabiq dekhta hoon. Additional indicator ke tor pe main vertical thick volume values pe bhi tawajjo deta hoon. Pair is waqt 1.08495 pe trade ho raha hai aur Bollinger Average 1.08487 pe hai, jo ke upward trend ka continuation dikhata hai. Bollinger indicator do key levels ko highlight karta hai: upper level 1.08511 aur lower level 1.08464. 1.08511 ka level take profit set karne ke liye theek hai, jabke 1.08464 sell target ho sakta hai. Sales ke liye baat karna abhi jaldi hai. Short position kholne ke liye conditions tab relevant hongi jab price 1.08487 ke neeche girti hai. Aise price distribution ke sath, Bollinger levels ke mutabiq, sab long-term positions ko loss pe close kiya ja sakta hai. Mera strategy upward trend ke continuation pe focus karta hai, magar main market changes ko adapt karne ke liye tayar hoon.



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                          • #7873 Collapse

                            EUR/USD Price Action Analysis

                            Pichle teen hafton se meri EUR/USD currency pair ke liye trading strategy lagatar ek hi rahi hai. Main is pair ke girne pe kharidta hoon aur uthne pe bechta hoon. Iss haftay bhi meri outlook mein koi tabdeeli nahi hai, kyun ke mujhe ab bhi lagta hai ke EUR/USD ek flat trend dikhayega. Growth targets ke lehaz se, mera foran ka maqsood 1.0905 par hai. Magar mujhe yeh bhi lagta hai ke yeh pair mazeed barh sakta hai, aur yeh 1.0920 aur 1.0940 tak bhi ja sakta hai. Yeh levels bohot zaroori hain kyunki yeh significant resistance points hain, jahan main apni strategy ko dobara assess karne aur profits ko lock karne ka plan rakhta hoon.

                            Dosri taraf, downside pe mera target ab bhi 1.0590 pe hai. Yeh level ek critical support point hai jahan mujhe strong buying interest ke ubharne ki umeed hai, jo ke long positions enter karne ka potential moqa faraham karta hai. Meri strategy yeh hai ke in anticipated movements ka faida uthate hue lower end pe buy karoon aur higher end pe sell karoon, iss tarah expected price fluctuations ka faida utha sakoon. Yeh approach iss assumption pe mabni hai ke EUR/USD relatively narrow range mein trade karta rahega. Currency pair ne recent times mein yeh tendency dikhai hai ke yeh certain bounds ke andar rehta hai, aur mujhe umeed hai ke yeh flat trading pattern mustaqbil mein bhi barqarar rahega. Yeh limited volatility ki expectation meri current trading strategy ka buniyadi asool hai.

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                            Specific targets set karne se, chahe wo upside ho ya downside, main apni trades ko zyada effectively manage kar sakta hoon. Key cheez yeh hai ke hamesha chaukanna rahoon aur market ke evolve hone par apni positions adjust karne ke liye tayar rahoon. Jab mera primary target for growth 1.0905 par hai, main yeh possibility bhi madde nazar rakhta hoon ke pair is level se agey barh ke 1.0920 aur 1.0940 tak bhi ja sakta hai. Isi tarah, 1.0590 support level pe nazar rakh kar main optimal entry points for buying identify kar sakta hoon.

                            Mukhatan, meri trading plan for EUR/USD pair yeh hai ke girawat par khareedna aur oont par bechna jaari rakhoon, apne predefined target levels pe focus rakhoon. Mujhe umeed hai ke pair iss haftay flat trend mein rahega, potential growth targets 1.0905, 1.0920, aur 1.0940 par hain, aur downside target 1.0590 par hai. Iss strategy pe amal karte hue aur market movements ko closely monitor karte hue, main anticipated price fluctuations ka faida uthane aur risk ko effectively manage karne ki koshish karoonga.
                               
                            • #7874 Collapse

                              EUR/USD karansi pair ki mojooda pricing 1.08772 par ek munasib mauqa zahir karti hai taake long positions initiate ki ja sakein. Yeh position 1.08570 ke middle level ke upar hone ka matlab hai ke market mein bullish sentiment hai. Yeh upward movement is baat ki mazid tasdiq karti hai ke pair apna urooḍ jaari rakh sakta hai. Is context mein, jo traders is trend se faida uthana chahte hain, woh long positions open kar sakte hain is umeed ke saath ke mazeed faida hoga. Middle level ka breach karna ek strategic entry point offer karta hai un traders ke liye jo badhte hue prices ka faida uthana chahte hain.
                              Jab market ka trend bullish ho aur prices middle level se upar chal rahi hoon, to yeh ek strong indicator hota hai ke prices aur bhi upar ja sakti hain. Trading ke point of view se, yeh waqt perfect hai long positions ko initiate karne ke liye. Jis tarah se prices 1.08570 ke middle level se upar gayi hain, yeh ek bullish momentum ka izhar hai. Yeh market ke bulls ke liye ek positive signal hai jo ke market mein buying interest ko further enhance karta hai.

                              Ab, jab hum is scenario mein partial profit-taking ki baat karte hain, to pehla target 1.09113 par set kiya gaya hai. Yeh level traders ko ek acha mauqa deta hai ke woh apne kuch profits lock kar sakein aur apne gains ko secure kar sakein. Yeh target level ek psychological benchmark bhi hai, jo traders ko confidence deta hai ke unka decision sahi direction mein ja raha hai. Is target tak pohanchna initial analysis ko validate karega aur upward movement ki taqat ko confirm karega.

                              Partial profit-taking ek trading strategy ka ahem hissa hota hai. Is se traders ko yeh faida hota hai ke woh apne kuch gains secure kar lete hain jab ke abhi bhi ek portion apni position ka open rakhte hain mazeed potential gains ke liye. Yeh approach risk management ko balance karti hai aur is se traders ko yeh surety milti hai ke unka overall risk manage ho raha hai jab ke unki profitability ke chances bhi intact hain.

                              Lekin, yeh zaroori hai ke 1.09113 ko sirf ek partial profit-taking ka target na samjha jaye; yeh level long position ke raste ka sirf ek milestone hai. Market ka broader trend aur dynamics yeh suggest karte hain ke price is level se aage bhi ja sakti hai. Is liye, 1.09113 par profits secure karna zaroori hai, magar traders ko mazeed developments par bhi nazar rakhni chahiye. Agar market ke fundamentals aur technical indicators positive direction mein hain, to yeh chances hain ke price is level ko cross karke aur bhi upar ja sake.
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                              Traders ko apni strategy flexible rakhni chahiye aur market ke changes ke mutabiq adjust karna chahiye. 1.09113 se upar ka level agle targets ke liye identify karna chahiye, jaise ke 1.09500 ya us se bhi upar. Yeh trading mein ek prudent approach hoti hai ke jab market favorable direction mein ho, to apne profits ko maximize kiya jaye aur risk ko manage kiya jaye. Is tarah se traders ko apne overall trading performance ko improve karne ka mauqa milta hai aur woh market ke trends se maximum faida uthane ke qabil hote hain.

                              Summary mein, EUR/USD karansi pair ki mojooda pricing ek favorable mauqa deti hai long positions initiate karne ka. 1.08570 ke middle level ke upar position hone ka matlab hai ke market mein bullish sentiment hai aur upward movement ka strong indicator hai ke pair apna urooḍ jaari rakh sakta hai. Is context mein, traders ko partial profit-taking ka pehla target 1.09113 par rakhna chahiye aur mazeed gains ke liye position ko open rakhna chahiye. Trading strategy ko flexible rakhte hue, mazeed upward movement ka faida uthaya ja sakta hai aur overall trading performance ko improve kiya ja sakta hai.
                                 
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                              • #7875 Collapse

                                EUR/USD karansi pair ki mojooda pricing 1.08772 par ek munasib mauqa zahir karti hai taake long positions initiate ki ja sakein. 1.08570 ke middle level ke upar position lene ka matlub yeh hai ke market mein bullish sentiment hai. Yeh upward movement is baat ki mazid tasdiq karti hai ke pair apna urooḍ jaari rakh sakta hai. Is context mein, jo traders is trend se faida uthana chahte hain, woh long positions open kar sakte hain is umeed ke saath ke mazeed faida hoga. Middle level ka breach karna ek strategic entry point offer karta hai un traders ke liye jo badhte hue prices ka faida uthana chahte hain.
                                Partial profit-taking ke liye ek target set karna kisi bhi trading strategy ka ahem hissa hota hai. Is scenario mein, pehla target 1.09113 par identify kiya gaya hai. Yeh level na sirf ek measurable milestone ko represent karta hai jahan traders apne kuch gains secure kar sakte hain, balki yeh ek psychological benchmark bhi hai. Is target tak pohanchna initial analysis ko validate karega aur upward movement ki taqat ko confirm karega. Partial profit-taking iss maqam par traders ko faida lock karne ka mauqa deta hai jab ke abhi bhi ek position bana rahe ke mazeed upward momentum ka faida uthaya ja sake. Yeh approach risk management ki zaroorat ko balance karti hai mazeed profitability ke potential ke saath.
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                                Lekin, yeh zaroori hai ke level 1.09113 ko sirf ek partial profit-taking ka target na samjha jaye; yeh long position ke raste ka ek stepping stone hai. Broader trend aur market dynamics yeh suggest karte hain ke price is level se aage bhi ja sakti hai. Is liye, 1.09113 par profits secure karna zaroori hai, magar traders ko mazeed developments par bhi nazar rakhni chahiye. Is target se aage ek hissa position open rakhna, mazeed upward movement ka faida uthane ka mauqa deta hai, jo overall gains ko maximize karta hai. Yeh strategic approach ensure karti hai ke traders trend ke full potential ka faida uthayein jab ke apna risk effectively manage kar sakein.
                                   

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