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  • #9496 Collapse

    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
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    • #9497 Collapse

      . Jab price is moving average ke upar hoti hai, toh aam tor par yeh bullish trend ko indicate karta hai, jo yeh suggest karta hai ke pair ko upward pressure ka samna hai. Yeh upward movement yeh darshata hai ke buyers sellers se zyada active hain, jo price ko upar push kar rahe hain. 100-period SMA ke upar breach ko aksar bullish signal ke roop mein dekha jata hai, jo aur bhi traders aur investors ko trend mein buy karne ke liye attract karta hai.
      Is technical breakout ke sath positive readings bhi mil rahi hain various oscillators se, jo price movements ke strength aur momentum ko gauge karne ke tools hain. Oscillators jaise ke Relative Strength Index (RSI), Moving Average Convergence Divergence (MACD), aur Stochastic Oscillator market ke current state ke valuable insights dete hain. Is context mein, positive oscillator readings aam tor par yeh indicate karti hain ke bullish momentum ko strong backing mil rahi hai. Jaise agar RSI 50 ke upar hai, toh yeh suggest karta hai ke buying strength selling pressure se zyada hai. Waise hi, positive MACD value ya Stochastic Oscillator reading agar 80 ke upar hai, toh yeh trend ke firmly upward hone ko reinforce karti hai.

      Price ke 100-period SMA ke upar hone aur positive oscillator readings ke combination se ek robust technical setup ban jata hai. Yeh setup aksar continued upward momentum ki taraf lead karta hai, kyunke yeh market forces ke favorable alignment ko reflect karta hai. Investors aur traders isse signal ke roop mein dekh sakte hain ke pair ke bullish trajectory near term mein continue rehne ke chances hain. Yeh aur buying activity ko encourage kar sakta hai, jo trend ko continue karte hue higher prices ki taraf le ja sakta hai.

      Iske ilawa, technical analysis ke context mein, yeh scenario naye participants ko bhi attract kar sakta hai jo pehle cautious ya bullish trend ke confirmation ka wait kar rahe the. In technical indicators ka alignment unhe confirmation deta hai, jo ek stronger conviction offer karta hai ke uptrend sustainable hai. Yeh increased participation bullish momentum ko further fuel kar sakta hai, jise naye buyers existing upward pressure ko add karte hain.

      Summary yeh hai ke price ka 100-period SMA ke upar hona weekly chart par, aur positive oscillator readings ke sath, currency pair ke liye strong bullish momentum ka indication hai. Yeh technical setup yeh darshata hai ke upward pressure likely hai ke continue rahega, kyunke yeh price action aur momentum indicators dono ke sath well-supported trend ko reflect karta hai. Traders aur investors isse bullish signal ke roop mein dekhenge, jo continued buying aur



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      • #9498 Collapse

        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 rahei




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        • #9499 Collapse

          D1 timeframe par, downtrend ke neeche se break karne aur point T2 par bane level, jo ke 1.0937 ke price par tha, se bounce hone ke baad, Euro ne apni rise ko jari rakha. Yeh successful taur par is timeframe par qareebi northern target tak pohncha, jo ke point T3 ke ird gird 1.09487 par bana tha. Filhal, yeh 1.0963 ke aas paas trading kar raha hai. Maujooda market dynamics ko dekhte hue, hum Euro ke liye ek choti si southern correction dekh sakte hain. Yeh choti si retracement market ke natural ebb and flow ka hissa hai, jo consolidation ko mumkin bana rahi hai, jisse northern trend ke jari rehne ka imkaan badhta hai.
          Yeh correction recent gains ko stable karne ke liye ek healthy pullback faraham kar sakti hai aur mazeed upward movement ke liye stage set kar sakti hai. Agar price point T3 par 1.09487 ke upar consolidate karti hai, to Euro ke paas apni choti jaari rakhne ka mazboot moqa hoga. Is level ke upar consolidation strong support aur market confidence ko zahir karegi, jo yeh dikhati hai ke bullish momentum sustain hone ke imkaanaat zyada hain.

          Downtrend se breakout aur point T2 se bounce hona market sentiment mein ek aham tabdeeli thi, jisne pehle bearish outlook ko bullish mein tabdeel kar diya. Is tabdeeli ko Euro ke successful taur par 1.0963 ke price tak chadne se tasdeeq hui. Lekin, agay ka rasta correction aur consolidation ke dor se guzre ga, jo ke ek sehatmand trend ko qaim rakhne ke liye zaroori hain.

          Ek choti si southern correction naye buyers ko bhi attract kar sakti hai, jo initial breakout ko miss kar chuke hain lekin niche price par entry points dhoond rahe hain. Yeh buying interest ka izafa upward trend ko mazeed support de sakta hai, jo Euro ko long term mein ooncha le ja sakta hai. Correction phase ke doran price action par qareebi nazar rakhna zaroori hai. Key support levels, jaise ke point T3 par 1.09487, faislay kun kirdar ada karenge ke kya bullish trend jari rahega. Agar yeh levels hold karte hain, to yeh rally ke aglay marhale ke liye ek mazboot buniyad faraham kare ga.

          D1 timeframe par Euro ne significant strength dikhayi hai, jo ke point T2 par 1.0937 se bounce karke point T3 par 1.09487 tak pohncha. Yeh ab 1.0963 ke aas paas trade kar raha hai, aur ek choti southern correction ke imkaanat hain. Yeh correction ek sehatmand pullback faraham kar sakti hai, jo mazeed gains ke liye stage set kar sakti hai. Agar price 1.09487 ke upar consolidate karti hai, to Euro apni choti trajectory ko jari rakh sakta hai. Key support levels aur market sentiment ko monitoring karna zaroori ho ga correction ke doran, taake is bullish trend ke aglay move ko anticipate kar sakein.
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          • #9500 Collapse

            Analysis mei ne market movement ko H4 timeframe chart ke zariye dekha, jahan May ke aghaz se candlestick position bullish trend mei chal rahi hai. Candlestick asaani se yellow Simple Moving Average 60 indicator ke upar chalti hui upar ja rahi hai. Last month ke end mei ek downward correction zaroor aya tha, lekin iss month price phir se upar chali gayi. MACD indicator pe dotted yellow line abhi bhi zero level ke neeche consistently move kar rahi hai, magar histogram bar chhoti ho rahi hai kyun ke market Monday se sideways move kar rahi hai. Wahi, Relative Strength Index (14) indicator abhi bhi 50 level ke upar hai jo ye indicate karta hai ke market trend abhi bhi uptrend phase mei hai. Mere khayal se ye condition buyer army ki consistent buying volume dikhati hai jo market par bara asar daal rahi hai. H4 timeframe chart ka observation karke ye pata chalta hai ke market conditions abhi bhi bullish continue karne ki potential rakhti hai.
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            Conclusion
            Technical data ke mutabiq jo mei ne EURUSD currency pair ke price movements ko analyze karne ke liye use kiye, zyada indicators yahi tasveer pesh karte hain ke candlesticks abhi bhi bullish trend ke direction mei move kar rahi hain. Mere andaze ke mutabiq, aglay market condition mei bhi further bullish movement dekhne ko milega agar price 1.0910 level se upar breakout kar leti hai. Agar candlestick analysis ke mutabiq move karti hai, to bullish target ke liye mai 1.0980 se 1.1000 ke price range ko buyer troops ke liye target level dekhta hoon.
               
            • #9501 Collapse

              Karobar mein joğyoğaree jor jhool ke halaat mein hai is Mangal ko, 1.0799 ke neeche ke mark ke aas paas hilta julta raha, jabke is mein wazeh rujhaan paane ki koshish kar raha hai. Yeh ghair yaqeeni bartao us waqt ho raha hai jabke tajiron aur tehlilgaron ka intezaar hai ke is haftay baad mein aane wale ahem maqami iqtisadi data ka. Anay wala U.S. labor statistics, khaaskar Nonfarm Payrolls (NFP) report jo June ke liye hai, aur mukhtalif EU ke iqtisadi data ki tarah, qawayat di gayi hai ke yeh market ke movements mein ahem kirdar ada karega. Iqtisadi Data ki Naakami se Currency Markets Pe Bojh:

              Haal hi mein, U.S. Dollar, jo greenback ki taqat ko chhe major currencies ke khilaf napta hai, thoda gir kar lagbhag 105.80 par aa gaya. Yeh girawat uske liye aya jo ke 104.30 ke ahem resistance point ke upar maqam banaane mein naakaam raha. Market ke shirakatdaar keen hai Federal Reserve se isharaat paane ke liye ke ho sakta hai ke interest rate cuts hoon, jo ke mukhtalif honge Friday ke NFP report se.

              Germany se aaya pehla data umeedon par poora nahi utra, kyun ke Consumer Price Index (CPI) jo June ke liye hai usne thoda gir kar 2.2% ki dar dikhaayi, jo ke 2.4% se neeche tha aur umeed se 2.3% bhi kam tha. Isi tarah, U.S. ke iqtisadi indicators jo Monday ko release hue woh bhi mayus karne wale the. ISM Manufacturing Purchasing Managers' Index (PMI) jo June ke liye tha woh 48.5 par aa gaya jo ke 48.7 se kam tha aur umeed ki gayi izafay ko 49.1 tak nahi pohaunch saka. Isi tarah, ISM Manufacturing Prices Paid index bhi kafi girawat ke sath 52.1 par aa gaya jo ke 57.0 se neeche tha, jo ke umeed thi ke 55.9 par girawat aaegi.
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              EUR/USD Consolidation: Technical Support aur RSI Insights

              Nateejatan, EUR/USD filhaal consolidation phase mein hai, midrange mein trading kar raha hai jabke price ek supply zone ke neeche 1.0790 par barqaraar hai. Currency pair ko temporary support mil raha hai 200-hour Exponential Moving Average (EMA) ke qareeb, jo ke filhaal 1.0805 ke aas paas position mein hai.

              14-day Relative Strength Index (RSI) just 50 level ke neeche hover kar raha hai, jo ke yeh darshata hai ke EUR/USD ek range ke andar trade kar raha hai jo ke 1.0850 aur 1.0770 ke darmiyan hai. Agar RSI mein improvement hota hai 50 mark tak, to yeh bearish momentum ko kam kar sakta hai jo ke filhaal pair ko mutasir kar raha hai aur is consolidation range ke upar ek break facilitate kar sakta hai.

                 
              • #9502 Collapse

                Thursday ko, EUR/USD pair ne apne logical decline ko barqarar rakhne ki koshish ki, lekin iss dafa bears ko 1.0888 ke qareebi level ke paas aik na qabil-e-fatah rukawat ka samna karna para. Yeh baat qabil-e-ghaur hai ke iss haftay ke aghaz mein traders bohot zyada active thay, lekin volatility mein kami aagayi aur aakhri kuch dino mein macroeconomic aur fundamental background ka koi asar nahi raha. Isliye, ab hum sirf technical analysis par hi bharosa kar sakte hain. Ab yeh humein kya bata raha hai?
                Hum yeh samajhte hain ke iss waqt sabse important baat daily time frame par 1.0600 se 1.1000 tak ka horizontal channel hai. Price pichlay saat mahino se iss range mein hai. Kyunke iss haftay price ne iss channel ki upper boundary ko touch kiya hai, ab hum yeh expect karte hain ke yeh lower boundary ki taraf giraygi. Isliye, hum yeh samajhte hain ke euro ka girna jaari rahega. Haan, yeh dheere ho sakta hai, lekin hum further growth ke liye koi wajah nahi dekhte. Yeh zaroori nahi ke yeh nahi ho sakta.

                Thursday ko 5-minute time frame par do acchi trading signals form hue. Pehle, pair ne 1.0940 se rebound kiya, phir 1.0888-1.0896 tak gir gaya aur wahan se phir bounce kiya. Is tarah, beginners do trading positions open kar sakte thay, aur dono profitable sabit hui. Pehli sell transaction se traders kareeb 25 pips kama sakte thay aur doosri se kareeb 10 pips.

                Friday ke trading tips:
                EUR/USD ne hourly time frame mein short-term downward trend ko tod diya. Hum samajhte hain ke euro ne apne saare bullish factors ko fully factor in kar liya hai, isliye hum upward movement ke continue hone ki umeed nahi karte. 24-hour time frame ab bhi 1.06-1.10 range mein flat hai. Iss range se bahar nikalne ke koi reasons filhal nazar nahi aate. Pehle ki tarah, hum sirf euro ke girne ki umeed karte hain, kyunke European Central Bank ne monetary policy ko ease karna shuru kar diya hai jabke Federal Reserve ne nahi kiya.

                Friday ko, novice traders 1.0888-1.0896 se price ke rebound karne ke baad long positions mein reh sakte hain, lekin aaj ki movements shayad zyada strong na ho.

                5M time frame par jo key levels dekhne ke qabil hain woh hain: 1.0526, 1.0568, 1.0611, 1.0678, 1.0726-1.0733, 1.0797-1.0804, 1.0838-1.0856, 1.0888-1.0896, 1.0940, 1.0971, 1.1011, 1.1043, 1.1091. Friday ko Germany ke liye Consumer Price Index ka doosra estimate publish hone wala hai. Yeh estimate pehle wale se mukhtalif hone ke chances kam hain, isliye hum market reaction expect nahi karte, ya yeh reaction bohot weak hoga.
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                • #9503 Collapse

                  Euro-Dollar pair ne Thursday ko kaafi sust performance dikhayi, jahan ye 1.0900 level ke aas paas sideways trade karta raha. Is se pehle week mein ek choti si rally hui thi jisme pair ne 1.1000 mark ke qareeb pochne ki koshish ki thi. Yeh surge ziada tar ek market overreaction tha jo US jobs figure ke galat report hone ki wajah se hua, magar baad mein market ne apni cooling kar li. Ab market participants ka dhyan US interest rates ke potential trajectory par hai. Rate cut expectations badhne ke saath, traders ko lagta hai ke September mein Federal Reserve 50 basis point ka reduction karega, aur saal ke aakhri hisse mein mazeed cuts ki bhi umeed hai. Yeh outlook currency dynamics ko bhi effect kar raha hai.

                  Economic data kaafi aham hoga market sentiment ko shape karne ke liye. US producer aur consumer price index (PPI aur CPI) data ka aane wala release inflationary pressures ka andaza lagane mein madad karega. Iske ilawa, Eurozone ki GDP growth figures se thoda modest expansion dikhne ki umeed hai.

                  Technical taur par, EUR/USD pair abhi bhi 2024 ke shuru mein established downtrend channel ke andar hai. Recent price action suggest kar raha hai ke ek consolidation phase ho sakta hai, lekin overall bearish bias abhi bhi hai. 200-day EMA aur Fibonacci retracement levels pe support levels key areas hain jahan potential downside targets dekhne ko mil sakte hain. Agar pair June high ke upar break kar jata hai, to yeh momentum mein shift ka signal ho sakta hai.

                  Akhir mein, EUR/USD pair abhi tak apni recent upward move ke baad consolidate kar raha hai. Market ka dhyan ab economic data aur evolving interest rate landscape par hai. Yahan potential downside ka chance abhi bhi hai, lekin agar pair key resistance levels ke upar sustain kar jata hai to yeh trend mein change ka ishara ho sakta hai. July ke shuru mein downward-sloping trendline se bullish breakthrough ke baad, EURUSD steadily gain kar raha tha. Pichle week mein, isne naya four-month high 1.0947 par hit kiya tha. Magar uske baad se, pair decline mein hai aur price 50- aur 200-day simple moving averages (SMAs) ke qareeb aa raha hai jo converge kar rahe hain.

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                  • #9504 Collapse

                    Comprehensive analysis par mabni trading
                    EUR/USD
                    Assalam Alaikum! Euro/dollar ka joda filhal markazi chadhte hue corridor ke anduruni channel ke andar move kar raha hai. 1.0962 ki satah muzahmat ke taur par kam karti hai. Is bat ka bahut zyada imkan hai keh European currency aaj ya agle hafte is nishan tak pahunch jayegi. Jab yah wahan pahunch jayega to, yah ialqa rebound par short positions kholne ke liye ek behtarin jagah hoga. 1.0881 ke haftawar nichli satah ke ird-gird anduruni channel ki nichli hadd support ke taur par kam karti hai. Is bat ka imkan hai keh euro/dollar ka joda is satah tak gir jayega. Agar qimat is satah se niche aa jati hai to, euro qimat ki makazi corridor tak nuqsanat ko badha dega. Mutabadil taur par, qimat is nishan se ucchal sakti hai aur munafa dobara shuru kar sakti hai.Click image for larger version

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                    • #9505 Collapse

                      4-hour chart par dekha jaye to, price upper red channel line aur upper blue channel line ke darmiyan move kar rahi hai, jisse price mein fluctuations dekhne ko mil rahi hain. Jab price neeche wali channel line se support leti hai to upar ki taraf barhti hai, lekin upper channel line se resistance ka samna hota hai. Is haftay, price ne trading upper limit par shuru ki, phir ek strong upward wave mein barhti hui weekly level 1.1020 tak pohanchi. Uske baad price ne decline shuru kiya, aur yeh tezi se neeche girna us waqt ruka jab price broken channel area mein wapas aayi, aur phir sideways move karne lagi, jaise ke chart mein dikh raha hai.
                      Yeh fluctuation abhi continue rehne ki umeed hai, jab tak ke price is area se, jo chart par white triangle se designate kiya gaya hai, exit nahi karti. Filhal ke liye, trading advice yeh hai ke current level se neeche wali channel line tak sell karna behtar rahega.

                      Economic side par dekha jaye to, EUR/USD ki price global central banks ke tightening ke signals aur US economic recession ke dar se kaafi mutasir hui hai. Euro kuchh had tak vulnerable hai, lekin phir bhi relative gains hasil karne mein kaamyab raha. Friday ko aane wale US jobs data ne yeh concerns barha diye ke US economy recession mein slip kar rahi hai. Iske saath hi, Middle East mein barhti hui tensions bhi ek concern hai.

                      Stock trading front par, German stocks mein izafa dekhne ko mila. Recent trading ke mutabiq, DAX index of German stocks Wednesday ko 0.8% barh kar 17,485 points tak pohanch gaya, jo ke apne European peers ke rise ko track kar raha tha. Traders global economy ke concerns ko shake off karne ki koshish kar rahe the, jab Bank of Japan ke Deputy Governor Uchida ne investors ko kuchh confidence diya ke central bank us waqt interest rates nahi barhaye ga jab financial markets unstable hongi. Isi beech, earnings season bhi continue hui, aur Continental shares mein lagbhag 5% ka izafa dekhne ko mila, jab ke company ne apne full-year sales guidance ko lower karne ke bawajood better-than-expected results diye, jo ke lower car production ke wajah se hua.

                      Is waqt market ki situation aisi hai ke price fluctuations aur external factors ka asar dekhne ko mil raha hai. Trading ke liye behtar hoga ke aap price ke movement aur economic indicators ko closely monitor karen, aur phir apne positions ko adjust karein. Abhi ke liye, selling advice ko madde nazar rakhte hue apne trading decisions lein, aur agle haftay ke potential outcomes ke liye tayaar rahein.
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                      • #9506 Collapse


                        4-hour chart par dekha jaye to, price upper red channel line aur upper blue channel line ke darmiyan move kar rahi hai, jisse price mein fluctuations dekhne ko mil rahi hain. Jab price neeche wali channel line se support leti hai to upar ki taraf barhti hai, lekin upper channel line se resistance ka samna hota hai. Is haftay, price ne trading upper limit par shuru ki, phir ek strong upward wave mein barhti hui weekly level 1.1020 tak pohanchi. Uske baad price ne decline shuru kiya, aur yeh tezi se neeche girna us waqt ruka jab price broken channel area mein wapas aayi, aur phir sideways move karne lagi, jaise ke chart mein dikh raha hai.
                        Yeh fluctuation abhi continue rehne ki umeed hai, jab tak ke price is area se, jo chart par white triangle se designate kiya gaya hai, exit nahi karti. Filhal ke liye, trading advice yeh hai ke current level se neeche wali channel line tak sell karna behtar rahega.

                        Economic side par dekha jaye to, EUR/USD ki price global central banks ke tightening ke signals aur US economic recession ke dar se kaafi mutasir hui hai. Euro kuchh had tak vulnerable hai, lekin phir bhi relative gains hasil karne mein kaamyab raha. Friday ko aane wale US jobs data ne yeh concerns barha diye ke US economy recession mein slip kar rahi hai. Iske saath hi, Middle East mein barhti hui tensions bhi ek concern hai.

                        Stock trading front par, German stocks mein izafa dekhne ko mila. Recent trading ke mutabiq, DAX index of German stocks Wednesday ko 0.8% barh kar 17,485 points tak pohanch gaya, jo ke apne European peers ke rise ko track kar raha tha. Traders global economy ke concerns ko shake off karne ki koshish kar rahe the, jab Bank of Japan ke Deputy Governor Uchida ne investors ko kuchh confidence diya ke central bank us waqt interest rates nahi barhaye ga jab financial markets unstable hongi. Isi beech, earnings season bhi continue hui, aur Continental shares mein lagbhag 5% ka izafa dekhne ko mila, jab ke company ne apne full-year sales guidance ko lower karne ke bawajood better-than-expected results diye, jo ke lower car production ke wajah se hua.

                        Is waqt market ki situation aisi hai ke price fluctuations aur external factors ka asar dekhne ko mil raha hai. Trading ke liye behtar hoga ke aap price ke movement aur economic indicators ko closely monitor karen, aur phir apne positions ko adjust karein. Abhi ke liye, selling advice ko madde nazar rakhte hue apne trading decisions lein, aur agle haftay ke potential outcomes ke liye tayaar rahein.
                           
                        • #9507 Collapse


                          4-hour chart par dekha jaye to, price upper red channel line aur upper blue channel line ke darmiyan move kar rahi hai, jisse price mein fluctuations dekhne ko mil rahi hain. Jab price neeche wali channel line se support leti hai to upar ki taraf barhti hai, lekin upper channel line se resistance ka samna hota hai. Is haftay, price ne trading upper limit par shuru ki, phir ek strong upward wave mein barhti hui weekly level 1.1020 tak pohanchi. Uske baad price ne decline shuru kiya, aur yeh tezi se neeche girna us waqt ruka jab price broken channel area mein wapas aayi, aur phir sideways move karne lagi, jaise ke chart mein dikh raha hai.
                          Yeh fluctuation abhi continue rehne ki umeed hai, jab tak ke price is area se, jo chart par white triangle se designate kiya gaya hai, exit nahi karti. Filhal ke liye, trading advice yeh hai ke current level se neeche wali channel line tak sell karna behtar rahega.

                          Economic side par dekha jaye to, EUR/USD ki price global central banks ke tightening ke signals aur US economic recession ke dar se kaafi mutasir hui hai. Euro kuchh had tak vulnerable hai, lekin phir bhi relative gains hasil karne mein kaamyab raha. Friday ko aane wale US jobs data ne yeh concerns barha diye ke US economy recession mein slip kar rahi hai. Iske saath hi, Middle East mein barhti hui tensions bhi ek concern hai.

                          Stock trading front par, German stocks mein izafa dekhne ko mila. Recent trading ke mutabiq, DAX index of German stocks Wednesday ko 0.8% barh kar 17,485 points tak pohanch gaya, jo ke apne European peers ke rise ko track kar raha tha. Traders global economy ke concerns ko shake off karne ki koshish kar rahe the, jab Bank of Japan ke Deputy Governor Uchida ne investors ko kuchh confidence diya ke central bank us waqt interest rates nahi barhaye ga jab financial markets unstable hongi. Isi beech, earnings season bhi continue hui, aur Continental shares mein lagbhag 5% ka izafa dekhne ko mila, jab ke company ne apne full-year sales guidance ko lower karne ke bawajood better-than-expected results diye, jo ke lower car production ke wajah se hua.

                          Is waqt market ki situation aisi hai ke price fluctuations aur external factors ka asar dekhne ko mil raha hai. Trading ke liye behtar hoga ke aap price ke movement aur economic indicators ko closely monitor karen, aur phir apne positions ko adjust karein. Abhi ke liye, selling advice ko madde nazar rakhte hue apne trading decisions lein, aur agle haftay ke potential outcomes ke liye tayaar rahein.
                             
                          • #9508 Collapse

                            اگست 9 2024 کو یورو/امریکی ڈالر کی پیشن گوئی

                            جمعرات کو، یورو کا ایک غیر مستحکم دن تھا، جس کی حد صرف 30 پِپس سے زیادہ تھی، جس نے دن کو چار پِپس تک کم کیا۔ ہفتہ وار ٹائم فریم پر ایم. اے. سی. ڈی. لائن پر ایک جدوجہد ہے۔

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                            ١.٠٩٠٥ کی سطح سے نیچے یومیہ بند ہونا ریچھوں کے لیے ایک اہم فتح کی نشاندہی کرے گا، ممکنہ طور پر 1.0636 کے ہدف کی طرف درمیانی مدت میں کمی کا آغاز کرے گا۔ تاہم، آج جمعہ ہے، اس لیے سفید موم بتی کے ساتھ ہفتے کے بند ہونے کا زیادہ امکان ہے، جس کا مطلب ایم. اے. سی. ڈی. لائن کے اوپر ہفتہ وار بند ہونا ہے، جو درمیانی مدت کی ترقی کی نشاندہی کرتا ہے۔

                            یومیہ ٹائم فریم میں، مارلن آسیلیٹر ڈائیورجن بنانے کے فوراً بعد زوال پذیر ہے۔

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                            ٤- گھنٹے کے چارٹ پر صورتحال ریچھوں کی طاقت کی اضافی تصدیق کی ضرورت ہوتی ہے - ایم. اے. سی. ڈی. لائن (1.0870) کو توڑنا اور مارلن آسیلیٹر زیادہ فروخت شدہ زون میں گہرائی سے نہیں گرتا۔ دوسری صورت میں، یورو کے خریدار اس پہل کو روک سکتے ہیں۔ یہ بے یقینی اور انتظار کی صورتحال ہے۔ ترقی کا امکان 55% ہے۔

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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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                            • #9509 Collapse

                              EURUSD pair ne hafte ke aghaz mein ek tez ooncha jhamp lagaya jo ke resistance (R2) 1.1021 ke qareeb tak pohanch gaya, lekin uske baad EMA 50 ki taraf niche ko jhuk gaya. Qeemat ne na to ooncha jhamp jari rakha aur na hi niche correction ka zyada asar dekha. Qeemat sirf resistance (R1) 1.0965 aur pivot point (PP) 1.0872 ke darmiyan chal rahi hai. Maslan, agar qeemat EMA 50 se bounce hoke resistance (R1) 1.0965 tak pohanchti hai aur reject hoti hai, to qeemat pivot point (PP) 1.0872 ko test kar sakti hai taake imbalance area ko support (S1) 1.0816 ke paas close kiya ja sake.

                              Awesome Oscillator (AO) indicator ke nazariye se, price increase rally ka zyada support nahi mil raha. Kyunki histogram volume level 0 par hai aur negative area mein enter karne ka imkaan hai, isse momentum direction mein tabdeeli aa sakti hai. Halankeh price pattern structure abhi bhi higher high - higher low condition mein hai aur trend direction bullish hai, phir bhi price niche correction ho sakti hai. Doosri taraf, Stochastic indicator parameters jo oversold zone level 20 - 10 tak nahi pohanch paaye aur level 50 se cross karke overbought zone level 90 - 80 tak ja sakte hain. Ye price ko upar move karne mein madad de sakta hai kyunki buying saturation point tak nahi pohncha.

                              **Entry Position Setup:**

                              Agar price pattern structure jo ke higher high - higher low dikhata hai aur trend direction bullish hai, to trading option BUY moment ka intezar karna hai. Entry position ka placement us waqt kiya ja sakta hai jab price pivot point (PP) 1.0872 ki taraf niche correction ke baad rejection ya false break dekhti hai. Stochastic indicator parameters ke confirmation ke liye intezar karein jo shayad oversold zone level 20 - 10 tak cross kar sake. AO indicator ka histogram uptrend momentum dikhata rahe, jo level 0 ya positive area ke upar rahe. Take profit ke liye target resistance (R1) 1.0965 rakhein aur support (S1) 1.0816 ko stop loss ke liye use karein.
                                 
                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #9510 Collapse

                                Hello. Aaj ke din kisi bhi bade tehrav ka dekhne ko nahi mil raha. Halaanki abhi American trading session baaki hai, jo shayad zyada active ho sakta hai. Lekin filhal ke liye, EUR/USD ki value mein buyers ka control bana hua hai. Abhi ke waqt, euro ki keemat 1.0918 dollars hai. Technical analysis ke nazariye se, jab tak quotes 1.09 ke upar hain, hum ab bhi maan ke chalenge ke northward trend phir se shuru ho sakta hai. Jaise hi EUR/USD quotes 1.09 ke neeche jati hain aur wahan fix hoti hain, tab north trend ka pehla ishara mil sakta hai. Aur phir sales ko priority mil sakti hai. Lekin ismein hairani ki baat nahi hai, kyunke short-term trading mein is hafte ka zyada focus EUR/USD ke selling par hai.

                                Pichle Friday ko news ki wajah se market mein kafi activity thi. Aur aaj ka din shant hai, bilkul jaise hum samundar ke kinare aaram kar rahe hain, dhoob kar so sakte hain.

                                Aaj kal market mein news ke bawajood koi khaas tehrav nahi dekhne ko mil raha, lekin jab bahut negative news aati hai, tab activity kaafi badh sakti hai. Aise moments ko dhyan mein rakhna zaroori hai. Mujhe lagta hai ke market se September se activity dekhne ko milegi, holidays ke baad, filhal traders ko aaram karne diya ja raha hai.

                                Euro/dollar ke liye ek option ye hai ke southern rollback dekhne ko mil sakta hai, jo 1.0860-1.0870 ke levels tak ja sakti hai, aur phir northward trend resume ho sakta hai. Aise southern rollback ko dhyan mein rakhna zaroori hai. Lekin aam taur par trend abhi bhi northern hai, aur ho sakta hai ke turant upar ki taraf jaaye aur high ko update kare. Lekin ye aaj nahi hoga, aaj hum sideways trend ke saath hafte ko close kar sakte hain.
                                   

                                اب آن لائن

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