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  • #8641 Collapse

    USD currency pair par guftagu karoonga. Seedha chart par chalte hain, aur main daily time frame se shuru karoonga takay hum zyada broadly dekh sakein ke market kaisa chal raha hai. Yeh chart dikhata hai ke peechli keemat mein kami ek double bottom chart pattern ban gaya hai, jaisa ke neechay tasveer mein dikhaya gaya hai. Yeh girawat na hui aur 1.0710 ke support level ko tod diya, isliye Thursday ko keemat kaafi had tak 225 pips ke qareeb upar chali gayi. Meri tajziya ke mutabiq is pair mein aglay keemat ke movement mein, keemat zyada buland hone ka imkan hai aur 1.0760 ke resistance level ko test karne ka imkan hai, keemat ko taqwiyat ke saath. H4 time frame par, aik trend reversal pattern aya hai jo pehle ke bearish position se abhi ke bullish position tak aya hai, aur Bollinger band indicator ne ishara diya hai ke mojooda keemat ka halat mid-BB area ke upar hai, jo ke dikhata hai ke ab kharidardar kaafi dominant hain. Agar market mazeed buland rehti hai to aglay haftay ke doran keemat phir se buland hone ka zyada imkan hai. Abhi, main andaza lagata hoon ke keemat ko 1.0765 ke resistance ko test karna hoga, jo ke mojooda keemat se lagbhag 230 pips door hai takay woh mazeed taqwiyat hasil kar sake qareeb bhavishya mein. Is pair mein, kharidne ki option ka bohot zyada ahmiyat hai kyunke is par bohot zyada wazan hai. Aglay haftay ke trading ke liye manzoori. Hum pehle diye gaye technical analysis se ye nateeja nikal sakte hain ke EUR/USD pair pehle se hi ek bullish trend mein hai, isliye aglay haftay ke trading plan ke mutabiq, main bechna ke bajaye kharidne ki taraf rujhan deta hoon is pair par. Area mein dakhil hone ke liye, main pehle keemat ko girte hue dekhna pasand karonga takay woh nazdeeki support level tak correction kare, jis par ek SL lagayi jayegi jiska qareebi faida 30 pips hai aur kam se kam inaam 30 se 40 pips hai. Position ko lambay arsey tak rakhne ke liye, aap use najdeeki resistance level par rakh sakte hain. Mere trading scheme mein bechnay ki option shamil na hone ke bawajood, mera sab se zyada priority kharidne ki option par bani rahti hai jab tak keemat support EUR/USD currency pair ko influence karte hain. Eurozone aur USA ke economic data releases, jese ke GDP growth rates, unemployment data, inflation reports, aur central bank policies, currency pair ke movements ko significantly affect karte hain. Eurozone ka positive economic data Euro ki strength ko support karega aur price ko resistance level breach karne mein madadgar hoga. Wahi pe, USA ka strong economic data USD ki strength ko barhata hai aur Euro ki value ko pressurize karta hai.
    Resistance area mein trading ke liye mukhtalif strategies adopt ki ja sakti hain. Ek common strategy yeh hai ke resistance area ke qareeb short positions lena, kyunke expectation hoti hai ke price is level se gir jayegi. Lekin agar strong bullish signals mil rahe hain, to breakout trading strategy use ki ja sakti hai, jahan pe resistance level breach hone pe buy positions lena suitable hota hai. Stop loss aur take profit levels ko carefully set karna bhi zaroori hai taake risk ko manage kiya ja sake.
    EUR/USD currency pair ki real-time dynamics ka jaiza lena ek complex process hai jo market sentiment, technical indicators, aur fundamental factors ka comprehensive analysis demand karta hai. April ka sales zone ya resistance area traders ke liye aik crucial point hai jahan pe price action ko closely monitor karna chahiye. Effective trading ke liye analysis ko continuously update karna aur market conditions ke mutabiq strategies ko adjust karna zaroori hai

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    • #8642 Collapse

      currency pair par guftagu karoonga. Seedha chart par chalte hain, aur main daily time frame se shuru karoonga takay hum zyada broadly dekh sakein ke market kaisa chal raha hai. Yeh chart dikhata hai ke peechli keemat mein kami ek double bottom chart pattern ban gaya hai, jaisa ke neechay tasveer mein dikhaya gaya hai. Yeh girawat na hui aur 1.0710 ke support level ko tod diya, isliye Thursday ko keemat kaafi had tak 225 pips ke qareeb upar chali gayi. Meri tajziya ke mutabiq is pair mein aglay keemat ke movement mein, keemat zyada buland hone ka imkan hai aur 1.0760 ke resistance level ko test karne ka imkan hai, keemat ko taqwiyat ke saath. H4 time frame par, aik trend reversal pattern aya hai jo pehle ke bearish position se abhi ke bullish position tak aya hai, aur Bollinger band indicator ne ishara diya hai ke mojooda keemat ka halat mid-BB area ke upar hai, jo ke dikhata hai ke ab kharidardar kaafi dominant hain. Agar market mazeed buland rehti hai to aglay haftay ke doran keemat phir se buland hone ka zyada imkan hai. Abhi, main andaza lagata hoon ke keemat ko 1.0765 ke resistance ko test karna hoga, jo ke mojooda keemat se lagbhag 230 pips door hai takay woh mazeed taqwiyat hasil kar sake qareeb bhavishya mein. Is pair mein, kharidne ki option ka bohot zyada ahmiyat hai kyunke is par bohot zyada wazan hai. Aglay haftay ke trading ke liye manzoori. Hum pehle diye gaye technical analysis se ye nateeja nikal sakte hain ke EUR/USD pair pehle se hi ek bullish trend mein hai, isliye aglay haftay ke trading plan ke mutabiq, main bechna ke bajaye kharidne ki taraf rujhan deta hoon is pair par. Area mein dakhil hone ke liye, main pehle keemat ko girte hue dekhna pasand karonga takay woh nazdeeki support level tak correction kare, jis par ek SL lagayi jayegi jiska qareebi faida 30 pips hai aur kam se kam inaam 30 se 40 pips hai. Position ko lambay arsey tak rakhne ke liye, aap use najdeeki resistance level par rakh sakte hain. Mere trading scheme mein bechnay ki option shamil na hone ke bawajood, mera sab se zyada priority kharidne ki option par bani rahti hai jab tak keemat support




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ID:	13035601EUR/USD currency pair ko influence karte hain. Eurozone aur USA ke economic data releases, jese ke GDP growth rates, unemployment data, inflation reports, aur central bank policies, currency pair ke movements ko significantly affect karte hain. Eurozone ka positive economic data Euro ki strength ko support karega aur price ko resistance level breach karne mein madadgar hoga. Wahi pe, USA ka strong economic data USD ki strength ko barhata hai aur Euro ki value ko pressurize karta hai.
      Resistance area mein trading ke liye mukhtalif strategies adopt ki ja sakti hain. Ek common strategy yeh hai ke resistance area ke qareeb short positions lena, kyunke expectation hoti hai ke price is level se gir jayegi. Lekin agar strong bullish signals mil rahe hain, to breakout trading strategy use ki ja sakti hai, jahan pe resistance level breach hone pe buy positions lena suitable hota hai. Stop loss aur take profit levels ko carefully set karna bhi zaroori hai taake risk ko manage kiya ja sake.
      EUR/USD currency pair ki real-time dynamics ka jaiza lena ek complex process hai jo market sentiment, technical indicators, aur fundamental factors ka comprehensive analysis demand karta hai. April ka sales zone ya resistance area traders ke liye aik crucial point hai jahan pe price action

         
      • #8643 Collapse

        Comprehensive analysis par mabni trading
        EUR/USD
        Assalam Alaikum! Euro/dollar ke jode ne pichle tejarati din ko kafi sakht range me aage badhte hue guzara. Yahan tak keh Fed ke Chairman Jerome Powell ki taqreer ka bhi jodi ki harkiyat par koi asar nahin pada. Aaj ka macroeconomic calendar kisi bhi aham khabar ki release se khali hai jo market ke jazbat ko mazbuti se mutassir kar sakta hai. Sirf Powell dobara bat karne ke liye tai shudah hai. Lehaza, market ki suratehal gahir yaqini hai. Takniki nuqtah nazar se, euro/dollar ke jode ke 1.0800 ki support satah tak girne ki tawaqqo hai. Iske false breakout se long positions kholna mumkin ho jayega. Halankeh, yah haqiqat nahin hai keh is tarah ki niche ki movement hogi.

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        Mai is imkan ko mustarad nahin karta keh European currency maujudah satahon se badhegi, 1.0852 ki muzahmati satah par false breakout banayegi, aur fir niche ki taraf palat jayegi. Is cenario ko kharij nahin kiya ja sakta hai. Mutabadil taur par, euro/dollar ka joda range-bound rah sakta hai aur 1.0845 aur 1.0800 ki satah ke darmiyan din ki trading guzar sakta hai.

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        • #8644 Collapse

          rakhein ke European Central Bank ne daro mein kami shuru kar di hai (bilkul Federal Reserve ke mukhalif, jis se sab logon ne March mein ek dar kam ki ummed ki thi), is wajah se euro request dabao mein mubtila hai. Jaisa ke pehle zikr kiya gaya, is ka matlab yeh nahi ke kuch hafton mein brace foran brabar price par gir jaye ga. Capital ka dakhil hona nisbatan dheema hai aur EUR/USD brace ki riyayati dar mein kam inteshar hota hai. Mutaalati tajziya ke mutabiq, EUR/USD brace ki aam inteshar dar pichle paanch dinon ke liye June 25 ke roop mein 48 pips hai, jo ek kam qeemat samjha jata hai. Hum umeed karte hain ke Tuesday ko brace 1.0680 aur 1.0776 ke darmiyan harkat kare ga. Taraqi shuda direct retrogression channel ooper mud gya hai, lekin global downtrend mukammal hai. CCI index oversold ilaqa mein dakhil hua, lekin is waqt hume taqatwar barguzida ka intezar nahi hai. EUR/USD brace global downtrend ko qaim rakhta hai aur 4 ghante ke timeframe mein moving normal ke qareeb hai. Pehle taqreer mein humne bataya ke hum lambi positions ko nahi samajhte hain aur hume downtrend ki qowat ka daam rakhna chahiye. Is waqt, 1.0681 aur 1.0620 ke targets ke saath short positions ab bhi maqbool hain. 1.0681 se jawab, ek aur round of upward correction ko trigger kiya gaya. Hum euro ki khareed ko tajweez nahi karte, kyun ke hume yakeen hai ke global downtrend jari hai aur single currency ke liye barhne ki koi buniyadi waja nahi hai. Lekin price barhne ke dauran kuch arsa ke liye izafe ke liye hosakta hai. EUR/USD ke aadharik map par, hafta peer se aam taqreeban muqami harkat ke saath shuru hua, jahan keemat maqami position ke qareeb trading kar rahi thi. Keemat ne Tuesday, Wednesday aur Thursday ko trading position se neeche girayi, jo 1.0647 tak support ke taraf ek sell signal paida karta hai. Keemat ne is rut ko tasdiq kiya aur isey mazboot sell signal banaya, aur Jumma ko, sell signal ada ho gaya; jab keemat is position ke adhe se zyada aur is support ke qareeb maqami ho rahi thi, doosra sell signal paida kiya. Maqami harkat ke saath range se shuru hua, Monday ko growt hua aur 1.0747 tak resistance tak aaya. Is waqt, if the price through the resistance at 1.0747 is doubtful and the price rolls back, selling will be applicable



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          • #8645 Collapse

            Chalo USD currency pair par baat karte hain. Seedha chart pe chalte hain, aur daily time frame se shuru karte hain taake market ka ek broader view mil sake. Chart dikha raha hai ke pehle price girawat mein ek double bottom chart pattern bana tha, jaisa ke neeche wali image mein dikhaya gaya hai. Yeh decline aage nahi barha aur support level 1.0710 ko tor diya. Isi liye, Thursday ko price lagbhag 225 pips ka bara izafa dikhaya. Meri analysis ke mutabiq, agle price movement mein mazeed izafa hone ka imkaan hai, aur price ke mazboot hone ke sath 1.0760 ka resistance level test karne ka imkaan hai
            H4 time frame par, aik trend reversal pattern dikhayi de raha hai, jo ke pehle bearish position se current bullish position mein aa gaya hai. Bollinger band indicator yeh signal de raha hai ke current price situation mid-BB area ke upar hai, jo ke buyers ki dominance ko zahir karta hai. Agar market barhta rehta hai, to agle hafte price mein mazeed izafa hone ke chances hain. Is waqt, mein andaza lagata hoon ke price 1.0765 ke resistance ko test karega, jo ke current price se lagbhag 230 pips door hai, taake qareebi mustaqbil mein price ko mazid mazboot kiya ja sake.


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            Is pair mein buying option bohot ahmiyat rakhta hai kyunke is pair pe weightage kaafi zyada hai. Agle hafte ke trading plan ke mutabiq, meri tarjeeh buying ki taraf rahegi na ke selling ki taraf. Area mein dakhil hone ke liye, mein pehle price ko qareebi support level tak girne dekhna pasand karunga taake wahan ek correction ho sake. Stop loss qareebi gain ke sath 30 pips pe rakha jayega aur kam az kam reward 30 se 40 pips ka hoga. Lambi duration ke liye position ko rakhne ke liye, ise qareebi resistance level pe rakha ja sakta hai. Mere trading scheme mein selling option na hone ke bawajood, meri top priority buying option hi rahegi jab tak price EUR/USD currency pair support ko asar andaz karta hai
            Eurozone aur USA ke economic data releases, jaise ke GDP growth rates, unemployment data, inflation reports, aur central bank policies, currency pair ki movements pe significant asar dalti hain. Eurozone ke positive economic data Euro ki strength ko support karega aur price ko resistance level breach karne mein madad karega. Isi tarah, USA ke strong economic data USD ki strength ko barhata hai aur Euro ki value pe pressure dalta hai
            Resistance area mein trading ke liye mukhtalif strategies adopt ki ja sakti hain. Aam strategy yeh hai ke resistance area ke qareeb short positions li jayein kyunke yeh umeed hoti hai ke price is level se niche girega. Magar agar strong bullish signals milte hain, to breakout trading strategy ka istemal kiya ja sakta hai, jahan resistance level breach hone par buying positions suitable hoti hain. Stop loss aur take profit levels ko carefully set karna bhi zaroori hai taake risk ko manage kiya ja sake.
               
            • #8646 Collapse

              جولائی 10 2024 کو یورو/امریکی ڈالرکی پیشن گوئی

              گزشتہ روز فاریکس مارکیٹ میں ایک پرسکون دن تھا، یورو کے یومیہ بیلنس انڈیکیٹر لائن (ریڈ موونگ ایوریج) کو اچھالنے کے بعد قدرے کم ہونے کے ساتھ۔ ایسا لگتا ہے کہ بازار جمعرات کو امریکی افراط زر کے اعداد و شمار کے جاری ہونے کا انتظار کر رہے ہیں۔ پیشن گوئی سے پتہ چلتا ہے کہ بنیادی سی. پی. آئی. 3.4% y/y رہے گا اور مجموعی سی. پی. آئی. 3.3% y/y سے کم ہو کر 3.1% y/y ہو جائے گا۔ تاہم، ہم نے پہلے ہی ایف. او. ایم. سی. ممبران سے انتباہات سنا ہے کہ افراط زر مسلسل ہے، لہذا اعداد و شمار توقع سے کہیں زیادہ خراب ہو سکتے ہیں۔ اور اس کے نتیجے میں، ڈالر مخالف ڈالر کی کرنسیوں پر دباؤ ڈال سکتا ہے۔

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              یورو فی الحال 1.0788 کی سپورٹ لیول سے اوپر مستحکم ہو رہا ہے۔ اس سطح سے نیچے کا وقفہ 1.0724 پر ہدف کھولتا ہے۔ ایم. اے. سی. ڈی. لائن دھیرے دھیرے اس سطح پر پہنچ رہی ہے، اور قیمت افقی سپورٹ کو جانچنے کے لیے اسے چھید سکتی ہے۔ مارلن آسیلیٹر مثبت علاقے میں ہے، قیمت کی طرح تحریک کو مضبوط بنانے کے لیے کسی وجہ کا انتظار کر رہا ہے۔

              ٤- گھنٹے کے چارٹ پر، قیمت بیلنس اور ایم. اے. سی. ڈی. انڈیکیٹر لائن کے قریب پہنچ رہی ہے۔ اس سے ظاہر ہوتا ہے کہ قیمت بیک وقت تین لائنوں سے گزرنے کی تیاری کر رہی ہے: قیمت کی سطح، بیلنس لائن، اور ایم. اے. سی. ڈی. لائن ۔ یو ایس سی پی آئی ڈیٹا کا اجراء اس لمحے کے ساتھ موافق ہے۔ یہ ہمارا مرکزی منظر نامہ ہے۔ اگر قیمت 1.0846 کی 8 جولائی کی بلند ترین سطح سے اوپر جاتی ہے تو ایک متبادل منظر نامہ سامنے آئے گا - ہدف کو 1.0905 پر کھولنا۔

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              .تعینات کیا مراد ہے مارکیٹ کے تجزیات یہاں ارسال کیے جاتے ہیں جس کا مقصد آپ کی بیداری بڑھانا ہے، لیکن تجارت کرنے کے لئے ہدایات دینا نہیں*

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              • #8647 Collapse

                Is hafte, hum dekh sakte hain ke EUR/USD currency pair ne kuch khaas news events ke darmiyan kaafi volatility experience ki. Monday ko, market participants ne Powell ke speech aur Bond Auction par tawajju di, jo ke financial markets ka sentiment influence kiya. Iske nateeje mein, technical analysis ne in fluctuations ko navigate karne mein ahem kirdar ada kiya. Shuruat mein, EUR/USD pair ne 1.0818 zone ke ird-gird support paaya, jahan buyers ne resilience dikhayi. Magar jaise jaise hafta guzarta gaya, pair ko is level ke upar momentum maintain karne mein challenges face karna pada. Dheere dheere, sellers ne control wapas haasil kar liya, price ko 1.0800 ke neeche push karte hue critical support 1.0782 tak le aaye.

                Pura hafta, traders ne economic releases ko closely monitor kiya, khaaskar Thursday ko announce hone wale US Unemployment Rate ko. Yeh data release aam tor par Forex market mein significant movements trigger karta hai, jo ke USD aur consequently EUR/USD pair ko impact karta hai. Traders aur analysts ne emphasize kiya ke market sentiment ko samajhna kitna zaroori hai taake informed trading decisions liye ja sakein. Hafta optimism ke saath shuru hua tha jab EUR ne 1.0818 zone ke taraf race kiya, jo potential support indicate kar raha tha. Yeh level ek pivotal point ki tarah serve kiya, jahan buyers apni positions ko defend kar rahe the. Magar jaise USD ko positive economic indicators se strength mili aur market sentiment shift hua, EUR ko downward pressure face karna pada.


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                Natija ye hua ke sellers ne 1.0800 ke neeche opportunities capitalize kiye aur aage chalkar 1.0782 tak ke declines ko target kiya. Is tarah, jab ke technical analysis ne entry aur exit points mein insights diye, external factors jaise ke news events aur economic data releases ne market dynamics ko significantly influence kiya. Is hafte, traders ne EUR/USD pair ko navigate karte hue fluctuating volatility ko face kiya, jo ke technical analysis aur fundamental understanding ke darmiyan ek balanced approach ki zaroorat ko emphasize karta hai. Jaise market global events aur economic indicators par react karti hai, trading strategies ko current conditions ke mutabiq adapt karna wise trading aur Forex market mein opportunities capture karne ke liye zaroori hai.
                   
                • #8648 Collapse

                  Na-umeed kun US economic data ne euro ko US dollar ke muqable mein surge kar diya. Yeh tabdeeli American economy ki sehat ke hawale se barhti fikar ko reflect karti hai aur Federal Reserve ke taraf se tez interest rate cuts ka imkaan bhi barhati hai. Key indicators ne mutma'in naksh naksha banaya. June mein job growth expectations se kam rahi, jahan ADP data ne kam wages walay sectors jaise ke hospitality aur entertainment mein job losses ko reveal kiya. Initial jobless claims bhi barh gayi aur ISM ka Services PMI apne do saalon ke lowest level par chala gaya. Yeh data suggest karta hai ke US economy mein potential slowdown ho sakta hai, jo dollar ki appeal ko kamzor kar raha hai. US dollar ke girne ke sath, euro ne mauqa ka faida uthaya aur 1.0800 level ko briefly cross kar diya. Yeh positive sentiment European data se bhi bolster hua. Pan-EU HCOB PMI ne June mein expectations se zyada perform kiya, jo manufacturing activity mein continued growth ko indicate karta hai. Magar, Eurozone mein producer prices anticipated se zyada contract hui May mein. Aane walay US Independence Day holiday aur German factory order data currency pair ko aane walay dino mein influence kar sakti hai. US markets band rahengi, jo shayad thinner trading activity ko lead kare. German factory orders expected hain ke May mein rebound karengi, jo euro ke performance ko further impact kar sakti hai.


                  Technical hurdles aur further gains ka potential. Euro ko technical resistance ka samna hai 1.0788 level aur 200-day moving average par. Is zone ke upar ek decisive break sharp rise ka rasta bana sakta hai towards October 2023 uptrend line around 1.0955. Khulasah yeh hai ke euro kai factors ka faida utha raha hai: ek potentially slowing US economy ki wajah se weak hota US dollar, aur Fed ke taraf se accommodative monetary policy ka imkaan. Magar, technical resistance levels aur aane wali economic releases US aur Europe mein crucial rahengi ye dekhne ke liye ke euro ke gains sustain ho sakte hain ya nahi.
                     
                  • #8649 Collapse

                    Comprehensive analysis par mabni trading
                    EUR/USD
                    Assalam Alaikum! Agar Shumali Americi session se pahle qimat 1.0850 ya 1.0870 ki satah tak pahunch jati hai to, short positions kholna ek behtarin tejarati faisla hoga. Halankeh, mujhe yaqin hai keh aaj ka Americi inflatio data farokht karne walon ke haq me hoga. Ham dekhenge.
                    Takniki nuqtah nazar se, mujhe aaj long positions kholne ke liye koi conditions nazar nahin aati hai. Mai tawaqqo karta hun keh euro/dollar ka joda 1.0720 ki satah tak gir jayega, jahan misali taur par long positions kholi ja sakti hai.
                    Khas taur par, pound sterling ne ghair mutawaqqe taur par mazbut badhat hasil kiya, jo keh aam group se alag tha. Bartanwi currency ko kal BoE ke numainde ki kal ki taqreer se support mila. Halankeh, agar euro/dollar ka joda niche chala jata hai to, pound sterling ke girne ka khatrah hai.
                    To aaiye Americi session ka intezar karte hain aur taiyar ho jate hain. Mai yaqini taur par aaindah Americi infaltion ke aidad o shumar par trade karne ka iradah rakhta hun. European currency ek tawil arse se ek range me trade kar rahi hai, lehaza iska breakout bahut taqatwar ho sakta hai.

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                    • #8650 Collapse


                      EUR/USD PAIR

                      Is hafte, maaliyat ke bazaar ne shafaqat ke nishane dikhaye hain, lekin EUR/USD jodi ne aham 100-period simple moving average (SMA) line tak pahunchne mein kathinaiyan ka saamna kiya hai, jo mahinay ki trend mein qaaim rahe hue bearish jazbaat ko darshaata hai. EUR/USD chart ki tajziyaat se zahir hota hai ke pichle do hafton mein ek saaf bearish pattern zahir ho raha hai, jo behtareen mausam ke zor se neeche rukh ki taraf isharaat dete hain jab sellers ke dabaav mein prices ko 100-period SMA had tak qayam rakhne ki koshish karte hain.

                      June ke shuru mein, jodi ne is mufeed SMA line ke neeche girna shuru kiya, jo ek mazboot bearish jazbaat ki alamat thi jo haal hi mein hafton tak qayam raha. Is haftay mein kharidari karne walon ki darmiyan mein daurane waali koshishon ke bawajood, yeh bullish koshishen fani thin aur mukhtasar raaste mein safar nahi kar sakin, jo badi hui bearish rukh ko palatne mein nakam rahe.

                      Maujooda bazaar ke haalaat aur taza tajarbat ke roshni mein, aane waale sessions mein mazeed keemat girne ke imkaanat hain. Sellers khaas tor par tawajjo se 1.0671 ke aham price zone ko todne par lagaye hue hain, jise ek candlestick closure is level ke neeche samajhna bearish trend ke jari rahne ka eham saboot hai.

                      Aage dekhte hue, sellers ka agla maqsad 1.0642 ilaqa hai jaise ke neeche ki taraf qayam hone wali keemat mein. Technical nazar se, trading strategies abhi Sell positions ko afzal samajh rahi hain, khaas kar jab tak ke prices 100-period SMA zone ke neeche qayam rahen. Yeh strategy mahine bhar ke bearish jazbaat ke saath milta julta hai.


                      Tehqiqat ke mutabiq is hafte maaliyat ke bazaar mein kuch sudharati harkatien dekhi gayi hain, lekin EUR/USD jodi ne 100-period SMA line ko paar karne mein mushkilat ka saamna kiya hai, jo mahine ki trend mein qaaim rahe hue bearish jazbaat ki numayan alamat hai. Sellers ke dabaav ko qayam rakhne aur ahem support levels ko nishana banane ke saath, tajziya ke mutabiq jodi ke qareeb future mein mazeed keemat girne ke imkaanat zahir hain. Traders ko 1.0671 jaise ahem levels ke aas paas ke price actions par teht-e-nazar rakhne ki salahiyat di jaati hai, jo mojooda bearish manzar mein market sentiment aur trading strategies ko taayin karne mein ahmiyat rakhta hai.

                         
                      • #8651 Collapse

                        Jadeed tareen market data ke mutabiq, EUR/USD pair ek dynamic trading environment se guzar raha hai jahan kai technical indicators ahem insights fraham kar rahe hain. EUR/USD ka mojooda price ek ahem level ke qareeb hai jahan resistance aur support wazeh tor par dikhai de rahe hain. Filhal ka resistance level 1.2200 par hai, jo kai martaba test ho chuka hai, yeh upward movement ke liye ek strong barrier ban gaya hai. Neeche ke side par, support level 1.2000 ke qareeb hai, jo ek critical threshold hai jo kai dafa test aur hold kar chuka hai, aur decline ko rok raha hai. Candlestick patterns bullish aur bearish sentiments ka mix dikhate hain, recent candles lambi wicks ke sath traders ke darmiyan indecision ko zahir kar rahi hain. RSI (Relative Strength Index) filhal 55 par hai, jo neutral zone mein hai aur yeh indicate karta hai ke market na to overbought hai na oversold, is se yeh lagta hai ke market dono taraf move kar sakta hai depending on upcoming market catalysts. Dosray technical indicators ke lehaz se, 50-period EMA (Exponential Moving Average) filhal 200-period EMA ke neeche hai, jo longer term mein bearish trend ko signal karta hai. Bollinger Bands relatively tight hain, jo lower volatility ko zahir karti hain, aur price filhal middle band ke qareeb hai, jo ek balanced market ka ishara hai. Zigzag indicator recent higher highs aur higher lows dikhata hai, jo yeh hint deta hai ke agar price resistance level ko break kar sakta hai to ek possible uptrend ho sakta hai. Demand Index, jo buying aur selling pressure ko measure karta hai, moderately positive hai, jo buyers ko slight edge deta hai. Stochastic Oscillator 65 par hai, overbought zone se door hota huwa lekin upper range mein, jo cautious optimism ko zahir karta hai. Aakhir mein, Average True Range (ATR), jo market volatility ko measure karta hai, 0.0020 par hai, jo relatively stable market conditions ko zahir karta hai lekin potential breakout movements ke sath. Overall, EUR/USD pair filhal ek well-defined range mein trade kar raha hai, in technical indicators ke combination se yeh suggest hota hai ke traders ko potential shifts in market dynamics ke liye tayar rehna chahiye.

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                        • #8652 Collapse


                          rakhein ke European Central Bank ne daro mein kami shuru kar di hai (bilkul Federal Reserve ke mukhalif, jis se sab logon ne March mein ek dar kam ki ummed ki thi), is wajah se euro request dabao mein mubtila hai. Jaisa ke pehle zikr kiya gaya, is ka matlab yeh nahi ke kuch hafton mein brace foran brabar price par gir jaye ga. Capital ka dakhil hona nisbatan dheema hai aur EUR/USD brace ki riyayati dar mein kam inteshar hota hai. Mutaalati tajziya ke mutabiq, EUR/USD brace ki aam inteshar dar pichle paanch dinon ke liye June 25 ke roop mein 48 pips hai, jo ek kam qeemat samjha jata hai. Hum umeed karte hain ke Tuesday ko brace 1.0680 aur 1.0776 ke darmiyan harkat kare ga. Taraqi shuda direct retrogression channel ooper mud gya hai, lekin global downtrend mukammal hai. CCI index oversold ilaqa mein dakhil hua, lekin is waqt hume taqatwar barguzida ka intezar nahi hai. EUR/USD brace global downtrend ko qaim rakhta hai aur 4 ghante ke timeframe mein moving normal ke qareeb hai. Pehle taqreer mein humne bataya ke hum lambi positions ko nahi samajhte hain aur hume downtrend ki qowat ka daam rakhna chahiye. Is waqt, 1.0681 aur 1.0620 ke targets ke saath short positions ab bhi maqbool hain. 1.0681 se jawab, ek aur round of upward correction ko trigger kiya gaya. Hum euro ki khareed ko tajweez nahi karte, kyun ke hume yakeen hai ke global downtrend jari hai aur single currency ke liye barhne ki koi buniyadi waja nahi hai. Lekin price barhne ke dauran kuch arsa ke liye izafe ke liye hosakta hai. EUR/USD ke aadharik map par, hafta peer se aam taqreeban muqami harkat ke saath shuru hua, jahan keemat maqami position ke qareeb trading kar rahi thi. Keemat ne Tuesday, Wednesday aur Thursday ko trading position se neeche girayi, jo 1.0647 tak support ke taraf ek sell signal paida karta hai. Keemat ne is rut ko tasdiq kiya aur isey mazboot sell signal banaya, aur Jumma ko, sell signal ada ho gaya; jab keemat is position ke adhe se zyada aur is support ke qareeb maqami ho rahi thi, doosra sell signal paida kiya. Maqami harkat ke saath range se shuru hua, Monday ko growt hua aur 1.0747 tak resistance tak aaya. Is waqt, if the price through the resistance at 1.0747 is doubtful and the price rolls back, selling will be applicable

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                          • #8653 Collapse

                            EUR/USD:
                            Sb dosto ko salam,
                            Pair ne recent weeks mein 1.0841 pe dip karne ke baad rally ke signs dikhaye hain. Jaisay hi naya trading week unfold ho raha hai, risk appetite mein palpable increase dekhne ko mil raha hai, jo effectively US Dollar ko lower push kar raha hai aur Euro ko support de raha hai. Is waqt, pair 1.0839 mark ke aas-paas hover kar raha hai, jo market dynamics mein Euro ko favor karte hue subtle shift ko reflect kar raha hai.

                            EUR/USD ke Fundamentals:

                            In positive movements ke bawajood, Euro ko challenges face hain jo imminent snap election in France ke outcome ke surrounding uncertainties se stem karte hain. Investors apprehensive hain ke potential change in government Eurozone ke second-largest economy ke fiscal landscape ko worsen kar sakta hai. Iske ilawa, pichle Friday ko release hui flash PMI figures ne June ke doran Eurozone mein business activity growth mein significant slowdown ko highlight kiya. Ye factors, ongoing US Dollar buying ke sath mil kar, EUR/USD pair par collectively downward pressure exert kar rahe hain.

                            Four-hour Time Frame Technical Outlook:

                            Recent market trends ko analyze karte hue, yeh notable hai ke Euro ne specific price range ke andar resilience dikhayi hai. Forecasts jo indicate karte hain ke pair 1.0815 ke neeche clear break ko sustain nahi kar payega, accurate sabit huye hain, jab EUR briefly 1.0807 ko touch karte hue rebound kiya aur near 1.0790 close hua, marking a marginal decline of 0.08%. Yeh deceleration in downward momentum suggest karta hai ke immediate term mein Euro ki further weakening unlikely hai. Aaj, EUR/USD expected hai ke ek range ke andar consolidate karega, likely oscillating between 1.0824 and 1.0840.
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                            Technical standpoint se, pair ke liye key support lower boundary of the Bollinger Band at 1.0770 ke around lie karta hai. Is level ke neeche breach potentially 1.0750 ki taraf rasta bana sakta hai, with psychological barrier of 1.0700 serving as an additional downside threshold jo closely monitor karne layak hai.
                            Good luck, apka din acha guzray.
                               
                            • #8654 Collapse

                              EUR/USD pair aaj ke opening level 1.0835 ke qareeb trade kar raha hai aur daily pivot level 1.0822 ke upar hai. Yeh indicate karta hai ke market mein bullish trend hai. Price 72-period Moving Average trend line ke upar hai, jahan aksar volume distribution hoti hai. Agar price 1.0840 ke upar jati hai, toh yeh north ki taraf move karega aur levels 1.0855 aur mumkin hai 1.0900 ko target karega.
                              Key indicators bhi yeh dikhate hain ke market bullish trend mein hai. Yeh bhi dekhne ko milta hai ke agar price 1.0822 ke level se neeche jati hai, toh mujhe umeed hai ke pair decline karte huye levels 1.0805 aur mumkin hai 1.0796 tak jaye. Yeh pivot level significant hai aur market ki movement ke liye ek critical point ban gaya hai.

                              Price ka 72-period Moving Average trend line ke upar hona bullish momentum ko support karta hai. Market mein volume distribution bhi indicate karti hai ke upward move ka potential strong hai. Yeh levels support aur resistance ke tor par kaam karte hain jo market ki direction ko influence karte hain.

                              Agar price 1.0840 ke level ko break karti hai, toh next target 1.0855 aur uske baad 1.0900 tak ho sakta hai. Yeh levels technical analysis mein important hain aur market participants ke liye decision making mein help karte hain.

                              Agar price 1.0822 ke neeche jati hai, toh market mein selling pressure barh sakta hai jo price ko neeche la sakta hai. Iss scenario mein, 1.0805 aur 1.0796 ke levels support ke tor par kaam kar sakte hain. Yeh levels potential buying interest generate kar sakte hain jo market ko stabilize kar sakte hain.

                              Daily pivot level 1.0822 ka hona ek crucial point hai jo market ki short-term direction ko define kar raha hai. Price movements ko closely monitor karna zaroori hai taake timely trading decisions liye ja sakein. Yeh bhi zaroori hai ke risk management tools jaise ke stop-loss orders ko implement kiya jaye taake unexpected price moves se bacha ja sake.

                              72-period Moving Average ke upar price ka hona market sentiment ko bullish direction mein guide kar raha hai. Volume distribution bhi upward move ko support kar rahi hai, jo market mein buying interest ko highlight kar rahi hai.

                              Agar price 1.0840 ko break karti hai, toh market mein bullish continuation dekhne ko mil sakta hai jo 1.0855 aur 1.0900 ke targets ko achieve kar sakta hai. Agar price 1.0822 se neeche jati hai, toh market mein downward pressure barh sakta hai jo 1.0805 aur 1.0796 ke levels ko test kar sakta hai.
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                              Yeh analysis forex traders ke liye useful hai jo EUR/USD pair mein trading karte hain aur market ki short-term direction ko understand karna chahte hain. Market trends aur key levels ko nazar mein rakhna trading decisions ko asaan banata hai aur market ki volatility se bachne mein madadgar hota hai.
                                 
                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #8655 Collapse

                                EUR/USD ke movements ka ta'alluq aksar bazar ki ahmiyat rakhnay wali khabron ke saath hota hai. Aaj, agar Powell koi aham bayanat deta hai, toh is ka asar foran EUR/USD ke rate par dekhne ko mil sakta hai. Lekin ye bhi mumkin hai ke koi bhi bara impulsi move (tez izafa ya nuksan) foran theek ho jaye.
                                Aaj ke din EUR/USD ka pair 1.08831 ya 1.08931 ka test kar sakta hai. Yeh levels important hain aur agar pair in levels ko cross karne mein kamiyab hota hai, toh aage ka rasta asaan ho sakta hai. Lekin yeh bhi zaroori hai ke bazar mein stability banaye rakhne ke liye, support aur resistance levels ka khayal rakha jaye.

                                Aane wale do se teen dinon mein EUR/USD ka movement ziada confined nazar aa raha hai, jo ke 1.08731 se 1.08628 ke darmiyan ho sakta hai. Yeh range technically important hai aur traders is range ke ander trading karte huay dekhai de sakte hain. Market ka sentiment bhi yahan par role play karega; agar bazar optimistic hai toh upper range ko test kar sakta hai, aur agar pessimistic hai toh lower range ko test kar sakta hai.
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                                Forex trading mein, technical analysis ke saath-saath fundamental analysis bhi bahut ahmiyat rakhta hai. Powell ke bayanat ke ilawa, doosre economic indicators jaise ke US ka Non-Farm Payrolls (NFP), inflation data, aur GDP growth bhi EUR/USD ke rate par asar dal sakte hain. Agar US economy strong signals dikhati hai toh dollar strengthen ho sakta hai, jo EUR/USD ko downward pressure de sakta hai. Iske bar'aks, agar eurozone ki economy acchi performance dikhati hai, toh euro ki strength mein izafa ho sakta hai.

                                Traders ko is waqt apni positions ko cautiously manage karna chahiye. Risk management tools jaise ke stop-loss aur take-profit orders ko implement karna zaroori hai taake kisi bhi unexpected move se bach sakein. Yeh bhi zaroori hai ke market news aur updates par nazar rakhi jaye taake timely decisions liye ja sakein.

                                In tamam points ko madde nazar rakhtay huay, yeh kehna galat nahi hoga ke aaj aur aane wale dinon mein EUR/USD ke pair ke movements largely confined rahenge. Lekin forex market mein koi bhi cheez certainty ke saath nahi keh sakte. Market ki volatility aur sudden news updates kabhi kabhi unexpected movements ko janam deti hain. Isliye, traders ko flexible aur alert rehna hoga taake wo market ke her move ka faida utha sakein.
                                   

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