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  • #9136 Collapse

    EUR/ USD Price Action
    EUR/USD ke price fluctuations ka analysis karenge. EUR/USD pair ki situation kaafi complex hai. Price ne kaafi significant positions kho di hain, aur 1.0861 level ke neeche chali gayi hai, jo 30% Fibonacci retracement ko represent karta hai. Is threshold ke neeche trading ke hone ke chances hain un sellers ke dwara jo abhi apne assets ko liquidate kar rahe hain aur abhi bhi is process ko complete nahi kiya hai. Buy positions initiate karne walon ke liye scenario thoda bleak hai, kyunke buyer targets abhi tak clear nahi hain. Zyada tar market participants EUR/USD ko uski unpredictability ke wajah se avoid kar rahe hain, lekin trading ideas ab bhi ubhar rahe hain aur dheere dheere mumkin lag rahe hain. Mera sell target 1.0751 hai. Main 1.0911 par ek stop order place karunga aur trade ko closely monitor karunga, quotations ke har uptick ke sath sales volume ko barhata rahunga.

    Jab tak price higher time frames par narrowing yellow triangle ke andar reh rahi hai, mujhe bullish trend ka koi signal nahi nazar aa raha. Agar yeh triangle se breakout karta hai, to main phir se soch sakta hoon, lekin filhal triangle ka upper boundary kaafi significant resistance bana hua hai. Aakhri teen daily candlesticks ke long upper shadows hain, jo bearish pressure ko indicate karte hain. Magar direction abhi bhi uncertain hai. Pair ko 1.0830 ke neeche break karna hoga aur daily chart par Junior Andrews Pitchfork ke territory se bahar nikalna hoga. Mera take-profit target 1.0811 par hai. EUR/USD pair, pound ki tarah, pichle teen din se sideways move kar raha hai. Main Monday ko bhi koi significant movement expect nahi karta, kyunke sideways trend shayad continue rahega. Iske ilawa, economic calendar mein koi major news nahi hai. Pitchfork ko mere liye zyada stable hona chahiye, kyunki yeh different time frames par alag directions ki taraf point kar raha hai, jo trend ki direction ko determine karna mushkil bana raha hai.
       
    • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
    • #9137 Collapse

      **Aaj Ka Euro Analysis**

      Shuru mein, euro ne trading week ke doran rally karne ki koshish ki, lekin 1.09 level par resistance ka samna karna pada, jisse market neeche chali gayi. Euro baad mein 1.08 tak gir gaya aur phir rebound hua. Overall, yeh market abhi bhi noisy aur remote hai, jisse kisi bhi taraf zyada excitement dikhana mushkil ho raha hai.

      Agar euro last week ke shooting star ke top ko break karta hai, toh yeh sentiment mein change ka indication ho sakta hai, jo currency ko 1.10 level ki taraf push kar sakta hai. Dusri taraf, agar yeh 1.08 ke neeche break karta hai, toh euro 1.07 level tak wapas ja sakta hai. Yeh support aur resistance levels ke beech ka oscillation ek market ko indicate karta hai jiska clear direction nahi hai aur jo kai factors se influence ho raha hai.

      Aam tor par, current period quiet hai, aur euro-dollar pair pichle do saalon se trending mein hai. Yeh relatively weak long-term period broader economic uncertainty aur market participants ke cautious stance ko indicate karta hai. Dono European Central Bank aur Federal Reserve ke is saal ke baad interest rates cut karne ki ummeed hai, jo ek "race to the bottom" scenario create kar raha hai. Aise scenario mein, ek currency doosri se behtar nahi ho sakti, kyunki dono similar pressures ka samna kar rahi hain. Isliye, traders long-term positions lene se reluctant hain aur choti fluctuations ka fayda uthane ke liye short-term trades ko prefer kar rahe hain.

      Iske ilawa, geopolitical aur economic exposures market sentiment ko influence karte rehte hain, jo noise aur clear direction ki kami ko contribute karte hain. Misal ke taur par, eurozone aur U.S. se aane wale economic reports recent times mein mixed picture present kar rahe hain, jo uncertainty ko barhawa de raha hai. Yeh ongoing uncertainty marketers ke liye definitive trends establish karna mushkil banati hai.

      Laga bhaga, euro ko 1.09 resistance aur 1.08 support ka samna hai. Is level par ya iske neeche thodi der ke liye rukna further recovery ka signal de sakta hai, lekin overall market central bank policies, seasonal lulls aur economic uncertainty ki wajah se marginal raha hua hai. Short-term trading current situation ke liye justified hai, kyunki long-term trends predict karna mushkil hai. Yeh careful approach zaroori hai taake forex market ke volatile aur unpredictable nature ko navigate kiya ja sake in times ke doran.
         
      • #9138 Collapse

        USD D1** Kal EUR/USD ne umeed ke mutabiq north ki taraf ek strong bullish impulse ke sath move kiya, jis ke nateja mein ek full bullish candle bani jo asaani se resistance level 1.08850 ko tor kar uske upar consolidate kar gay. Mojooda surat-e-haal mein, yeh expect kar raha hoon ke aaj northward movement continue hogi aur price agle northern targets ki taraf impulsively move karegi, jo mere markings ke mutabiq 1.09425 aur 1.09812 par hain. In resistance levels ke qareeb do scenarios ho sakte hain. Pehla scenario yeh hai ke price in levels ke upar consolidate karegi aur further over the same period. Dono hi readings market ke expectations se kam thi aur investors ko September mein Federal Reserve ke rate cut ki umeed jaari rakhi. CME FedWatch tool ke mutabiq, Fed ko policy rates ko September mein be change rakna ke chances 10 ke nichhe they. PICH day main, Producer Price Index data for June US economic docket mein shamil hai. Mahine ke hisab se, PPI ka 0.1 percent barhne ka tajaawur hai. Ek negative reading USD par aur dabaw dal sakti hai aur EUR/USD ko oopar le jane mein madad kar sakti hai. Dusri taraf, ek mazboot tajaawur maazbot dollar ke rivayton ke khilaf madadgar ho sakti hai, magar market ke reaction mein had maayat ho sakti hai. EUR/USD ko uchaal deti hai. US affectation data bhi bari had tak asar daal sakta hai aur dealers isse nazar andaaz nahi karenge. Agar US Dollar Index




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ID:	13059746 104.40 –104.60 ke support position ke neeche settle ho jata hai, to yeh EUR/USD ke liye bullish signal hoga
        Kul mila kar, EUR/USD ka faida aur dealers jo US affectation data par tawajah dein, request dynamics par asar daal rahe hain. Germany ke affectation rate mein kami aur US Dollar Index ka support position ke neeche settle hone ki soorat mein, EUR/USD ke liye mauqa ban sakta hai. Dealers ko iss halaat par nazar rakhte hue informed trading decisions leni chahiye
        Agar EUR/USD 1.0900 –1.0915 resistance position ko tor deta hai, to wo 1.1000 –1.1015 aane wale resistance position ko test karne ka rasta kholega. Ye bullish movement request mei

        northward movement hogi. Agar yeh plan work out hota hai, to main price ko resistance level 1.11393 tak move hone ka intezar karunga. Is resistance level ke qareeb main ek trading setup banne ka intezar karunga jo trading ka further direction determine karne mein madad karega. Ek doosra option bhi hai ke door ke northern target, jo ke 1.12757 par hai, ko work out kiya jaye, magar yahan situation dekhni padegi aur sab kuch depend karega ke news background kya hota hai aur price designated far northern goals par kaise react

           
        • #9139 Collapse

          y 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
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          • #9140 Collapse

            y 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
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ID:	13059762 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
               
            • #9141 Collapse

              EUR/USD Price Action
              Hum EUR/USD currency pair ke price fluctuations ka analysis explore kar rahe hain. EURUSD pair ki situation waqai complex hai. Price ne significant positions lose kar di hain, 1.0861 level se neeche break karke, jo 30% Fibonacci retracement represent karta hai. Iss threshold ke neeche trading ziada tar sellers ke through hogi jo apne assets abhi liquidate karna shuru kiye hain aur abhi tak complete nahi kiya. Jo log buy positions initiate kar chuke hain unke liye scenario bleak hai, kyunke buyer targets ab tak apparent nahi hue hain. Zyada tar market participants EURUSD trade karne se bach rahe hain iski unpredictability ki wajah se, lekin trading ideas phir bhi samnay aate hain aur dheere dheere likely ho rahe hain. Mera sell target 1.0751 hai. Main ek stop order 1.0911 par place karunga aur trade ko closely monitor karunga, har uptick par sales volume increase karte hue. Jab tak price higher time frames par narrowing yellow triangle ke andar hai, mujhe bullish trend ka koi signal nazar nahi aa raha. Agar break out karta hai to main reconsider kar sakta hoon, lekin abhi ke liye, triangle ki upper boundary significant resistance pose kar rahi hai. Aakhri teen daily candlesticks ke long upper shadows hain, jo dikhate hain ke bearish pressure abhi bhi hai. Lekin, direction abhi bhi uncertain hai. Pair ko 1.0830 se neeche break karna hoga aur daily chart par Junior Andrews Pitchfork ke territory se exit karna hoga. Mera take-profit target 1.0811 par hai. EURUSD pair, pound ki tarah, pichle teen dinon se sideways move kar raha hai. Main Monday ko bhi significant movement expect nahi kar raha, kyunke sideways trend likely persist karega. Furthermore, economic calendar mein koi major news nahi hai. Pitchfork mere liye stable nahi hai, alag alag time frames par different directions point karta hai, jis se trend ka direction determine karna mushkil ho jata hai
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              • #9142 Collapse

                Hello. Kal hafta shuru hua aur hum yahan phans gaye jaise hum so gaye hain, aaj hum H4 muddat ke chart ko ek baar phir dekhenge - EURUSD currency pair. Yahan par wave structure ne apna order neeche banane ka aghaz kiya hai, MACD indicator ab nichle bechne wale zone mein hai aur apne signal line ke neeche hai. Pehle, do ya teen wave structures ke growth cycle ne upar ki taraf banaya gaya tha. Yeh pura cycle unchaiyon ke bahar nikal kar khatam ho gaya tha aur MACD indicator par standard parameters ke saath ek aur triple bearish divergence tha. Is divergence ne apna asar dikhaya aur price pehle dheere dheere niche gaya, phir horizontal support level 1.0907 ko tor diya, aur saath hi saath upar jaane wale channel ko bhi neeche tor diya gaya, jismein price haal hi mein upar gaya tha. Iske baad, ab girawat ke zyada chances hain. Main yeh samajhta hoon ke girawat jari rahegi, kal raat jab market khula toh woh thoda sa badh gaya tha aur almost 1.0907 ke horizontal resistance level ko test kar liya, jo ki ek growth ke kinaare par ek darpan level ban gaya tha. Is muddat par yeh extreme hai, zaroor younger muddaton par growth ke kinaare par ek zyada extreme level hai. Price ne bhi 1.0875 ke support level par girne ko rok diya hai. Ek accumulation zone ban gaya hai, meri raay mein aur bhi zyada girawat hone ki kafi possibility hai. Agar aap daily chart dekhte hain, toh aap dekh sakte hain ke ek candlestick pattern ban chuka hai - bearish engulfing, jo mazeed girawat ki taraf ishara karta hai. Main khareedari ko nahi consider karta, shayad kuchh growth ho sakti hai, lekin woh clear taur par woh nahi hai jis par aap paisa kama sakte hain, shayad pehle woh price accumulation zone ke thoda upar daal de takay buyers ko action mein lana ho. Aap 1.0844 ke level par khareedari ko consider kar sakte hain. Aaj arthik calendar mein sirf aik important news item hai - USA mein secondary housing market ke sales.
                hai. Higher-than-expected payroll numbers ne softening labor demand ke hawalay se pareshaniyon ko kam kar diya hai, jo ke recent employment indicators se paida hui thi. April ke liye JOLTS Job Openings data aur May ke liye ADP Employment Change dono ne expectations se kum perform kiya, jabke 31 May tak ke week ke Initial Jobless Claims ne estimates ko exceed kar diya, jo ke labor market mein thodi cooling dikhata hai.
                Is labor data ne investors ko apni expectations reconsider karne par majboor kar diya hai ke Federal Reserve (Fed) September mein rate cut karega. Iske natije mein US Treasury bond yields elevated rahein. Persistent high yields aur equity markets mein cautious sentiment ne safe-haven US Dollar (USD) ko mazid support diya, jo ke EUR/USD pair par downward pressure dal raha hai.
                EUR/USD ek descending triangle mein trade kar raha tha pehle ke rising dikhaye, jo ke is chart pattern ke height ke barabar ek rise dikhata hai. Price pichle resistance level par gir gayi, jo ab support ke tor par kaam kar raha hai. Fibonacci Extension tool ke mutabiq following upside targets hain, aur pair ne 38.2% stretch ka tajurba kiya second psychological level 1.0750 par. Mazid bullish momentum ise 50% Fibonacci level 1.0762 tak ya 61.8% Fibonacci level tak push kar sakta hai, jo swing high 1.0775 ke saath coincide karta hai. 76.4% level 1.0790 par hai, aur full extension 1.0815 par hai.
                Overall, 100 SMA abhi 200 SMA ke oopar cross hua hai, jo confirm karta hai ke rally strengthened hai na ke falling. Moving averages bhi triangle ke broken tip ke saath aligned hain, jo support ko mazid taqat deta hai. Magar, Stochastic Oscillator overbought region se neechay move kar raha hai, jo buyer fatigue aur possible selling pressure return ko dikhata hai. Oscillator ke paas abhi bhi neechay move karne ki kafi gunjaish hai seller fatigue reflect karne se pehle. Dusri taraf, RSI ke paas abhi bhi upar move karne ki gunjaish hai overbought region tak pohanchne se pehle, jo buyer fatigue ko dikhata hai aur rally ko jaari rehne ka ishara deta hai.
                Is haftay ke aakhir mein, US non-farm payrolls report release hogi, jo June mein weak employment show karne ki tawakku hai. Agar aisa hota hai, tou dollar mazeed kamzor ho sakta hai jab traders dobara federal government se monetary policy ko ease karne ki demand karte hain. Weak fundamental data, jaise ke labor force participation rate aur average hourly earnings bhi dollar ki direction ko affect kar sakte hain.
                EUR/USD pair ke liye mufeed outlook ko tasdeeq karega aur pair ko agle relevant resistance tak le ja sakta hai, jo ke 1.0960-1.0965 area ke qareeb hai. Momentum March peak, yani 1.0880 area ke paar ja sakta hai, jisse spot prices ko pehli baar January se pehle 1.1000 psychological mark tak pohnchne ka mauqa mil sakta hai, European Central Bank



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                • #9143 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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                  • #9144 Collapse

                    ### EUR/USD Market Analysis:

                    Current market price of EUR/USD 1.0876 hai, jo previous close se -0.05% ka slight decline show kar raha hai. Ye choti si change market ki relative stability indicate karti hai, lekin aanay wale economic events volatility introduce kar sakte hain. Aaj do high-impact economic reports expected hain: EUR Retail Sales MoM aur USD Personal Income and Spending MoM. Ye reports market ki direction ko significantly influence kar sakti hain.

                    #### Support aur Resistance Levels:

                    **Support Levels:**
                    - 1.0840
                    - 1.0820
                    - 1.0800

                    Ye levels potential areas indicate karte hain jahan price ko floor mil sakti hai aur wahan se upwards rebound ho sakta hai. Jab price in levels tak girti hai, traders inhe buying opportunities ke liye dekhte hain.

                    **Resistance Levels:**
                    - 1.0900
                    - 1.0920
                    - 1.0940

                    Ye resistance levels crucial hain kyunki yeh potential barriers represent karte hain jahan price selling pressure face kar sakti hai aur downward reverse ho sakti hai. Jab price in levels tak pohanchti hai, traders selling opportunities consider karte hain.

                    ### Pivot Point aur Trend:

                    Aaj ka pivot point 1.0885 hai. Pivot point ek technical indicator hai jo traders ko different time frames par overall market trends determine karne mein madad karta hai. Current market price 1.0876 pivot point se neeche hai, jo bearish outlook suggest karta hai. Jab price pivot point se neeche hoti hai, toh yeh weak buying interest aur further declines ki potential indicate karti hai.

                    Moving average EUR/USD ke liye 1.08728 par hai, jo downward trend show kar rahi hai. Moving average price data ko smooth out karne mein madad karti hai taake ek flowing line create ho sake, jo trend ka direction identify karne mein asaan banati hai. Current moving average indicate kar rahi hai ke overall trend bearish hai, kyunki yeh pivot point aur current market price se neeche hai.

                    ### Bearish Scenario:

                    Given ke current market price 1.0876 pivot point 1.0885 se neeche hai aur moving average downward trend indicate kar rahi hai, toh bearish scenario predict hota hai. Matlab market sentiment selling ke taraf jhukta hai. Traders expect kar sakte hain ke price mentioned support levels ki taraf move karegi.

                    Agar aaj ke economic reports Eurozone ki weak retail sales ya US mein stronger-than-expected personal income and spending show karti hain, toh yeh bearish outlook ko further strengthen kar sakta hai. Euro ke liye negative news ya US Dollar ke liye positive news usually EUR/USD pair ko drop kar deti hai.
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                    ### Conclusion:

                    Abhi ke technical indicators aur market conditions EUR/USD ke liye bearish outlook suggest karte hain. Price pivot point se neeche hai, moving average trend downward hai, aur aanay wale economic reports selling pressure ko add kar sakti hain. Traders ko support aur resistance levels closely watch karne chahiye aur aaj ke economic events ka impact consider karna chahiye jab trading decisions lete hain. Cautious rehna aur in reports par market reaction monitor karna informed trading decisions lene mein madadgar ho sakta hai.
                       
                    • #9145 Collapse

                      **EURUSD Analysis: Weekly Summary and Forecast**

                      Doston, aaj hum EURUSD ke pichle haftay ka analysis aur agle hafte ke liye forecast ko dekhenge. Pichle haftay ke weekend par, maine socha tha ke EURUSD ki price 1.0910 ke level ki taraf correction kar rahi hogi. Lekin, dekha gaya hai ke price is level ke neeche hi bani hui hai. Yeh is baat ko darshata hai ke mera forecast sahi nahi hua. Halankeh, 1.0910 ka level abhi bhi relevant hai aur iski taraf ek baar phir se dekhne ki zaroorat hai.

                      Ek aur level jo hamare liye maayne rakhta hai wo hai 1.0940. Is level par humne ek "shark" formation dekha hai, jo aam tor par reversal ki nishani hoti hai. Yeh formation market ki direction ko palatne ke ishaare de sakta hai, aur isliye 1.0940 ka level bhi ek strategic point hai.

                      Mera purana medium-term chart bhi is waqt relevant hai. Is chart mein ek laal zigzag upar ki taraf number one ke saath chal raha hai, aur mere plans bhi yeh suggest karte hain ke zigzag upar ki taraf smoothly transition hota rahega. Lekin, yeh sellers ke liye ek nuksaan hai kyunki price kafi der se neeche ja rahi hai aur zigzag upar ki taraf abhi tak form nahi hua. Aam tor par, yeh situation fakeout ka indication hota hai, jiska matlab hai ke zigzag neeche ki taraf number two ko chhota karke execute kiya ja sakta hai taake sellers ko confuse kiya ja sake. Ek chhota zigzag sellers ki kamzori ka bhi ishaara hota hai, aur isliye yeh zaroori hai ke sab zigzags ko waqt par execute kiya jaye.

                      Mere Friday subah ke forecast ke mutabiq, hum 1.0910 ka target nahi pohoch paaye, isliye Monday se price continuation ki ummeed ki ja sakti hai. Yeh analysis kehte hai ke market abhi bhi volatile hai aur strategic levels ko monitor karna zaroori hai. Isliye, aage ki planning ke liye in levels ko dhyan me rakhte hue trading decisions lena hoga.
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                      • #9146 Collapse

                        **EURUSD Analysis: Weekly Summary and Forecast**

                        Doston, aaj hum EURUSD ke pichle haftay ka analysis aur agle hafte ke liye forecast ko dekhenge. Pichle haftay ke weekend par, maine socha tha ke EURUSD ki price 1.0910 ke level ki taraf correction kar rahi hogi. Lekin, dekha gaya hai ke price is level ke neeche hi bani hui hai. Yeh is baat ko darshata hai ke mera forecast sahi nahi hua. Halankeh, 1.0910 ka level abhi bhi relevant hai aur iski taraf ek baar phir se dekhne ki zaroorat hai.

                        Ek aur level jo hamare liye maayne rakhta hai wo hai 1.0940. Is level par humne ek "shark" formation dekha hai, jo aam tor par reversal ki nishani hoti hai. Yeh formation market ki direction ko palatne ke ishaare de sakta hai, aur isliye 1.0940 ka level bhi ek strategic point hai.

                        Mera purana medium-term chart bhi is waqt relevant hai. Is chart mein ek laal zigzag upar ki taraf number one ke saath chal raha hai, aur mere plans bhi yeh suggest karte hain ke zigzag upar ki taraf smoothly transition hota rahega. Lekin, yeh sellers ke liye ek nuksaan hai kyunki price kafi der se neeche ja rahi hai aur zigzag upar ki taraf abhi tak form nahi hua. Aam tor par, yeh situation fakeout ka indication hota hai, jiska matlab hai ke zigzag neeche ki taraf number two ko chhota karke execute kiya ja sakta hai taake sellers ko confuse kiya ja sake. Ek chhota zigzag sellers ki kamzori ka bhi ishaara hota hai, aur isliye yeh zaroori hai ke sab zigzags ko waqt par execute kiya jaye.

                        Mere Friday subah ke forecast ke mutabiq, hum 1.0910 ka target nahi pohoch paaye, isliye Monday se price continuation ki ummeed ki ja sakti hai. Yeh analysis kehte hai ke market abhi bhi volatile hai aur strategic levels ko monitor karna zaroori hai. Isliye, aage ki planning ke liye in levels ko dhyan me rakhte hue trading decisions lena hoga.
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                        • #9147 Collapse

                          Euro ne Friday ko US Dollar ke against strength dikhayi, jahan EUR/USD pair ne 1.0850 level breach kiya. Yeh upward movement US Dollar Index ke decline ki wajah se hui, halaanke US core Personal Consumption Expenditures (PCE) inflation data June ke liye hotter-than-expected thi. PCE report ne annual core inflation ko 2.6% par dikhaya, jo economists ke 2.5% ke expectation ko surpass karti hai. Monthly inflation bhi 0.2% tak accelerate hui, jo pechle month ke 0.1% se zyada thi. Federal Reserve ka preferred inflation metric hone ke nate, PCE data ne price pressures ke narrative ko reinforce kiya, jo early interest rate cut ki hopes ko dampen kar rahi hai. Market participants September mein rate reduction anticipate kar rahe hain, lekin sticky inflation figures ne aise expectations ko temper kiya hai. Aane wali Federal Reserve monetary policy meeting Wednesday ko closely watch ki jaayegi taake central bank ke future rate path ke clues mil sakein.

                          PCE data release hone ke baad, EUR/USD pair rally karti hui 1.0860 tak pohanchi lekin baad mein retreat kar gayi, aur daily chart par symmetrical triangle pattern form kiya. Pair ka descent 20-day Exponential Moving Average (EMA) ke neeche 1.0840 ke qareeb potential downside risks ko suggest karta hai, jahan support levels 1.0800 aur 1.0700 par hain. Upside par, round-figure resistance 1.0900 Euro bulls ke liye ek significant hurdle hai. 14-day Relative Strength Index (RSI) ne neutral territory mein return kiya, jo bullish momentum mein decline ko indicate karta hai. Overall, Euro ke recent gains primarily Dollar weakness ki wajah se thi, na ke Eurozone ki fundamental strength ki wajah se. Ab market ka focus Federal Reserve ki policy decision aur subsequent commentary par hai taake interest rate expectations aur unke US Dollar par impact ke liye further direction mil sake.

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                          • #9148 Collapse

                            EUR/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


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                            • #9149 Collapse

                              Haal hi ke daily chart ke mutabiq EUR/USD currency pair ka uptrend ab bhi qaim hai, jahan Supertrend indicator bullish conditions ko signal kar raha hai. Lekin kuch nishaniyan nazar aa rahi hain ke bullish momentum kamzor ho rahi hai. Khaaskar, price abhi haalat me hai ke woh us ascending channel se neeche gir gayi hai jo uptrend ko define karta tha, jo ke market dynamics me shift ko suggest karta hai.
                              EUR/USD pair ne 1.0917 ke pehle breach hue high se neeche gir gayi hai. Yeh level, jo pehle resistance ka point tha, ab upward movement ke liye ek significant barrier ban sakta hai jab price recover karne ki koshish karega. Yeh technical shift ek possible transition ko highlight karta hai, jo bullish se bearish phase ki taraf indicate karta hai, yeh resistance short-term rallies ko cap kar sakti hai. Lower timeframes par, technical indicators zyada bearish outlook ko support kar rahe hain. Price action ne kuch signals dikhaye hain jo decline ke continuation ko point karte hain. Traders ke liye yeh suggest karta hai ke aane wale hafte me short positions explore karne ka mauqa mil sakta hai.

                              Agar downward movement continue hota hai, to EUR/USD pair potential support zone 1.0710 ke ird gird target kar sakta hai. Yeh level ek key area of support represent karta hai jo historically firm raha hai. Lekin yeh note karna zaroori hai ke jab tak yeh level plausible hai, significant breakdown below 1.0710 is stage par unlikely lagta hai. Is area ke support se zyada substantial declines ke khilaf ek buffer offer kar sakta hai, kyun ke yeh pehle se strong support level ke taur par act kar chuka hai.

                              In summary, jab tak long-term uptrend EUR/USD ke liye qaim hai, recent price action aur technical indicators suggest karte hain ke ek short-term bearish phase emerge ho sakti hai. Traders ko 1.0917 level par potential resistance ke liye prepared rehna chahiye aur agar pair decline continue karti hai to short positions enter karne ke mauqe dhoondhne chahiye. Support 1.0710 par crucial hoga bearish move ki extent ko determine karne me, significant drop below this level less anticipated hai. In technical levels ko monitor karna EUR/USD ke evolving market conditions me navigate karne me key hoga aane wale hafte ke liye.
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                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #9150 Collapse

                                Currency pair ne Jumma ke New York session mein aik numaya behtar hone ka samna kiya, jis se halat ne tezi se sudhar liya tha ek haal hi mein hua giravat se, jo usay qareeb le gaya tha 1.0870 ke qareeb jo aik haftay ke unchaaiyon tak pahunch gaya tha. Pair ne sahulat daryaft ki jab US Dollar (USD) June ke anay wale US core Personal Consumption Expenditures (PCE) Price Index data ke ird gird shak-o-shuba ke darmiyan sudhaar kar raha tha. Ye data izhaar-e-raaye ke liye muntakhib hai aur is se mustahkam inflation ke rujhanat par roshni daal sakta hai, jo future Federal Reserve (Fed) ki siyasat ke faislon par asar andaz hota hai.
                                EUR/USD ke bunyadi asool:

                                106.10 ke ahem resistance level ko torne ki koshishen muntakhib amoor se milti rahi hain, jo bazari shak-o-shuba ke aagey ahem iqtidaarati data release ke samne numayan hain. Khaas tor par, jo inflation figures tawaja mein rakhne ke qabil hain, wo tawajjah ko pehle Fed rate cuts ki taraf murne ki surat mein badal sakte hain, jo aam taur par USD par neechay dabao dalte hain. Mukhalif tor par, mustehkam iqtidaati daleelain Fed stance ko zyada mehdood samjha sakti hain.

                                Market ki ittefaq yeh hai ke Fed September se tajarbe ke taur par interest rate kami ki ibtida karega, jisme saal ke baad mazeed cuts ke imkaanat hain. Yeh ehtiyati umang Fed aur European Central Bank (ECB) ke darmiyan siyasi farqiyat ke baray mein wasee pareshanion ko taasir andaz hoti hai. Aise farqiyat investors ke liye nazar rakhi jati hain, jo EUR/USD jaise bari currency pairs ki taqat mein asar andaz hoti hain.

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                                Rozana time frame technical outlook:

                                Pair ke liye fori technical challenge hain. Ahem resistance levels mein shaamil hain 14-day Exponential Moving Average (EMA) jo 1.0855 par hai aur haal hi ki range ke upper boundary 1.0870 ke qareeb. In levels ke decisive breakout se agle taraf ki raftar ko madad mil sakti hai jo aik descending channel ke upper boundary ke qareeb 1.0880 ke aas paas ho sakta hai, jis se hosheyari bunyadi manfi had ko 1.0900 tak pahunchne ka rasta saaf ho sakta hai.

                                Technically, EUR/USD daily candlestick patterns mein ek consolidation phase ko sail karte hue hain. Pair aik descending channel ke andar manzar e aam par hai, jahan par 200-day Exponential Moving Average (EMA) ke bearish side ke nazdeek sahara mojood hai, jo taqreeban 1.0816 ke qareeb hai.
                                   

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