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  • #10801 Collapse

    NZD/USD Price Move

    Aaj hum NZD/USD currency pair ke price action ka tajziya karenge aur apni findings discuss karenge. Agar 0.6186 range ka breakdown hota hai, toh yeh ek upward trend ka aghaz ho sakta hai. Agar price 0.6196 ko cross kar leti hai, toh mazeed taqat mil sakti hai, jo ek accha buying opportunity hogi. Agar 0.6186 ka breakdown confirm ho jata hai, toh continued growth ideal buying condition ko present karega. Lekin agar price 0.6123 se neeche rehti hai, toh yeh sell ka signal hoga.

    US session ke dauran agar price 0.6186 ke upar breakout karti hai aur upper levels par consolidate hoti hai, toh yeh ek buy signal hoga, jahan target 0.6251 set kiya gaya hai, jahan pe key resistance maujood hai. Agar Fibonacci grid ko first wave par lagaya jaye, toh decline ka target 161.8% level ke mutabiq hoga, jahan intermediate technical target 0.6128 tak ho sakta hai. Agar price retrace karti hai, toh koi bhi pullback short positions mein entry ka mauqa day sakta hai. Buying 161.8% level tak possible hai, aur is point par ek corrective wave form ho sakti hai, jo short-term trades ke liye suitable hogi. Aaj koi khaas economic news release nahi hai.

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    H4 chart ka tajziya karte hue, NZD/USD pair mein week ke aghaz par US dollar mazid taqatwar nazar aata hai. Is four-hour chart par downtrend emerging hai, jahan wave structure steady downward move kar raha hai. Bullish indicator apni signal line ke neeche lower selling zone mein hai. Pichle dafa CPI aur RSI indicators ne triple bearish divergence dikhayi thi. Sath hi, ek ascending wedge pattern bhi successful tha, jo bearish signal ko confirm karta hai. Price drop hui, aur initial support 0.6168 ke aas-paas mila, jiske baad ek corrective rise hui aur price mirror resistance level 0.6253 tak gayi, jo support se resistance mein tabdeel ho chuka hai. Ye level historically strong selling point raha hai. Ek aur ahem factor jo ongoing decline mein hai, wo PVI indicator ka weekly period se upper overheating zone se neeche aana hai.
       
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    • #10802 Collapse

      NZD/USD Price Analysis

      Aaj hum NZD/USD currency pair ke price changes ka tajziya karenge. Chaliye dekhte hain ke technical analysis kya suggest karta hai. Moving averages strong sell ka signal de rahe hain, technical indicators bhi selling recommend kar rahe hain, aur overall outlook bhi sell ka hai. Aaj ke liye sab kuch downward trend ke continuation ki taraf ishara kar raha hai, lekin final decision lena zaroori hoga. Saath hi koi important news releases ko bhi dekhna hoga. OPEC ne apni monthly report release ki hai, aur US se kuch ahem news aayi hai, lekin ab tak ka forecast neutral hi hai. New Zealand se koi khaas updates nahi hain. Yeh pair zyada likely bearish move kar sakta hai. Possible sales ka target support level 0.6121 ho sakta hai, jabke kisi bhi buying ka target resistance level 0.6154 ho sakta hai. Overall, bearish movement ka chance zyada lag raha hai. Yahan aaj ka trading plan hai.

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      NZD/USD pair ke liye, current level par buying ek option ho sakti hai, lekin yeh reliable tabhi hogi jab kam az kam 201 points ka stop loss rakha jaye aur 799 points ka profit target banaya jaye. Yeh approach tab kaam karegi jab bulls resistance zone 0.6351 aur 0.6391 ke darmiyan breakout karenge, jo ek upward trend ka hissa hai. Is baat ka high probability hai ke bulls yeh achieve karenge, lekin abhi sab kuch market par depend karta hai. Yeh bhi worth mentioning hai ke New Zealand dollar achi position mein hai, jabke US dollar mazid taqatwar ho raha hai. Halankeh kuch pressure bearish side par hai, humein 0.6126 se neeche dip dekhne ko mila, lekin koi strong hold nahi tha, jo ek false breakout ka ishara hai.

      Dukh ki baat yeh hai ke immediate targets ki kami hai. Phir bhi, aage chal kar US dollar kis tarah trade karta hai, yeh bohot important hoga. Overall situation thodi complex hai. Main ab bhi thoda cautious hoon, lekin agar hum 0.6131 tak wapas aate hain, toh main buy karne ki koshish kar sakta hoon, khaaskar jab stop loss minimal ho.
         
      • #10803 Collapse

        Trading Opportunities in NZD/USD Prices

        Aaj hum NZD/USD currency pair ke price behavior ka tajziya karenge. Hourly chart ke mutabiq, bears downtrend ko dobara resume karne ki koshish kar rahe hain. Price ne 0.6216 par 25% resistance level se rebound kiya aur 1/12 angle ko break kiya, aur ab 50% support level 0.6067 ke upar hai. Agar bearish trend momentum pakad leta hai, toh bears price ko is level ki taraf push kar sakte hain. EMA (21/4) aur MACD indicators correction signals de rahe hain. Isliye, mujhe lagta hai ke short term mein consolidation ke baad bearish movement dekhne ko milegi. Lekin, movement ke beech mein, bears ne control wapas le liya aur bulls ko upward push complete karne se roknay mein kamiyab rahe. Pair phir se 0.6133 ke support level ke kareeb aa rahi hai. Agar price is level ke neeche break hoti hai aur wahan hold karti hai, toh aage decline dekhne ko mil sakti hai, targeting next support 0.6109, jo intermediate importance rakhta hai. Dusri taraf, bullish traders ek aur upward move ki koshish kar sakte hain, lekin iske liye unhein achi momentum ki zarurat hogi.

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        Moving average indicator strong bearish sentiment ko highlight karta hai, jo tab tak rahega jab tak reversal signal nahi aata. H1 chart par NZD/USD 0.610 par trade kar raha hai, jo correction ke beginning ka signal hai. Decline ko continue karne ke liye, price ko 0.615 ke correction zone ko break karna padega. Agar yeh hota hai, toh price channel critical levels 0.636 tak open ho sakta hai. In points par consolidation sellers ki strength ko confirm karegi. Lekin, 0.613 level se upward movement ke bhi potential hain. Iske liye buyers ko trend line ko break karna padega, jo bullish traders ke liye ek significant barrier hai. Agar upward trend develop hota hai, toh intermediate resistance level 0.626 pe pehla obstacle hoga. Kal NZD/USD ne 0.6133 ke support level ko touch kiya, aur aaj pair iske upar hold kar rahi hai, bulls ne briefly price ko upar lift kiya.
           
        • #10804 Collapse

          Aaj, main NZD/USD currency pair ka analytical review H1 chart ke base par provide kar raha hoon. Filhal, trading instrument 0.5920 par positioned hai. Aaj ke Asian trading session ke doran, pair ne 0.5956 par resistance ka saamna kiya. Is level ko cross karne mein nakam rahe, price neeche aane lagi aur 0.5918 tak decline kar gayi. Market conditions aur observed movements ko dekhte hue, lagta hai ke price 0.5900 level se neeche gir sakti hai. Yeh bearish trend ke continuation ka signal hai. Ab tak, NZD/USD pair ne 0.5900 level ko cross karte hue 0.5876 tak decline kiya hai. Chart par ek reversal zone emerge hua hai, jo 0.5859 aur 0.5886 ke levels ke beech confined hai. Zaroori hai ke agar price resistance level 0.5886 se upar rise karke ek ghante ke candle ko is level ke upar close karti hai, toh current decline sirf ek stop collection ho sakti hai. Isse rebound ka potential aur resistance level 0.5978 ki taraf rise dekhne ko mil sakta hai. Is scenario mein, stop-loss orders ko niche place karna behtar hoga.

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          New Zealand dollar (NZD) ne US dollar (USD) ke muqablay mein apni upward trajectory ko continue kiya, aur pichle paanch consecutive sessions mein apne winning streak ko extend kiya. Pair ki rise primarily bullish technical outlook ke wajah se thi, jo rising ascending channel aur positive Relative Strength Index (RSI) se supported thi. NZD/USD pair ki ascending channel ke bullish boundary mein consolidation ne prevailing bullish sentiment ko reinforce kiya. RSI, jo 70 level ke thode neeche tha, confirmed bullish momentum ko indicate karta hai. Lekin, mazeed gains pair ko overbought zone mein push kar sakti hain, jo short-term correction ko lead kar sakta hai. Pair ki short-term bullish momentum ko nine-day exponential moving average (EMA) ke 50-day EMA ke upar trade karne se bhi support mila. Yeh positive technical indicator suggest karta hai ke NZD/USD ek sustained upward trend ka samna kar raha hai. Upar ki taraf, pair ko ascending channel ke upper boundary ke aas-paas immediate resistance ka saamna hai, jo 0.6190 par hai. Agar is level ko successfully breach kiya jata hai, toh 0.6247 ke do-maheenay ke high ki taraf move karne ka darwaza khul sakta hai. Neeche ki taraf, nine-day EMA 0.6092 direct support level ke roop mein kaam kar raha hai. Agar is support se neeche break hota hai, toh bullish bias kamzor ho sakta hai aur pair ko 50-day EMA 0.6045 aur phir ascending channel floor 0.6030 ki taraf push kiya ja sakta hai. Channel floor ke neeche breakdown bearish sentiment ko trigger kar sakta hai, jo decline ko "rebound support" 0.5850 ki taraf le ja sakta hai.
             
          • #10805 Collapse

            NZD/USD Price Action

            Aaj hum NZD/USD currency pair ke price behavior ka tajziya karenge. US CPI data ke release se pehle, jo Federal Reserve ke interest rate decision ko influence kar sakta hai, NZD/USD currency pair ne limited movement dikhayi. Price quotes aksar 0.6132-0.6150 ke tight range mein thi, jahan 0.6132 lower bound ke tor par support ka kaam kar raha tha aur 0.6150 upper bound ke tor par resistance bana hua tha. Pehle, theoretical analysis ne predict kiya tha ke ek downward trend shuru ho sakta hai jab strong support level 0.6081 ke nazdeek aaya. Lekin, ab uncertainty aa gayi hai aur trading tab tak chalegi jab tak situation clear nahi hoti. Market review abhi bhi solid aur bullish hai. Tab tak cautious rehna behtar hai. Significant news data par trading karte waqt careful approach zaroori hai.

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            Kabhi-kabhi jo unfold ho raha hai wo third wave nahi, balki emerging downtrend ke sath alignment mein ek correction ho sakti hai. Agar yeh assumption sahi hai, toh downward momentum aur tez ho sakti hai, khaaskar agar correction trend ke against move kare. Is scenario mein, decline ko oppose karne wali forces ke paas prevailing trend ka muqabla karne ki ability nahi hai. Meanwhile, jab price pehle hafte ke doran 0.6125 tak dip hui, toh ab yeh opening level ki taraf wapas aa rahi hai. Ek puzzling factor weekly oscillator ka histogram hai, jo dheere-dheere downward move kar raha hai. Lekin, jaise jaise correction progress hoti hai, hum ek clearer signal dekh sakte hain. Daily histogram downward shift ho chuka hai, aur jab ke linear oscillator ab bhi neeche hai, yeh upward correction ko follow kar raha hai. Yeh nuanced behavior market sentiment mein potential shifts ka indication hai, lekin poora picture CPI data ke release ke baad hi clear hoga.
               
            • #10806 Collapse

              NZD/USD

              Is hafte New Zealand ki currency ne US dollar ke muqablay mein steadily behtari dikhayi hai, jo November 2023 ke lows se kaafi recover kar chuki hai. NZD/USD pair filhal teen hafte ke high ke qareeb trade kar raha hai, jo New Zealand ke positive economic data aur kamzor US dollar ke combination ki wajah se hai. NZD ko support karne wala ek key factor Wednesday ko release hui behtar-than-expected employment data hai. Isne Reserve Bank of New Zealand ke rate cut ke expectations ko kam kar diya hai aur New Zealand economy mein investor confidence ko barhawa diya hai. Iske ilawa, stronger-than-anticipated Chinese inflation figures bhi NZD ko faida pohncha rahi hain, kyunki China New Zealand ka major trading partner hai.

              US dollar pe pressure kai factors ki wajah se hai. Thursday ko strong US labor market report ke bawajood, investors ab bhi Federal Reserve se September mein 50 basis point interest rate cut ki ummeed kar rahe hain. Is expectation ne US Treasury yields ko giraya hai, jiski wajah se dollar investors ke liye kam attractive ho gaya hai. Market sentiment bhi overall positive hai, jisne risk-on assets, jaise ke New Zealand dollar, ko safe-haven currencies jaise USD pe tarjeeh di hai.

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              NZD/USD pair ab apne pehle ke downward trend se potential turnaround ke signs dikhata hai. Average Directional Movement Index gir raha hai, jo downtrend ke kamzor hone ka signal hai. Relative Strength Index 50 level ke upar jane ki koshish kar raha hai, jo momentum shift ka indication ho sakta hai. Stochastic oscillator bhi higher trend dikhata hai, jo further upward movement ki possibility ko support karta hai. Agle hafton mein, pair ke volatile rehne ke ummeed hai, jahan price movements RBNZ interest rate decision aur US consumer price index data jese key events se driven honge. Agar positive momentum barqarar raha, to pair 0.6037-0.6092 resistance level ko target kar sakti hai, jo 38.2% Fibonacci retracement, pehle ke support levels aur key moving averages ko include karta hai. Is resistance ka successful break October 2019 ke low 0.6198 ki taraf move open kar sakta hai. Lekin, market conditions tez se change ho sakti hain, isliye cautious rehna zaroori hai. Traders ko economic indicators, central bank policies aur geopolitical developments ko closely monitor karna chahiye, taake NZD/USD exchange rate pe potential impacts ka andaza lagaya ja sake.
                 
              • #10807 Collapse


                Price Action Insights: EUR/USD

                Aaj hum EUR/USD currency pair ki price action analysis par baat karenge. ECB kal apne Monetary Policy Meeting ki report release karega. ECB aur Fed ne interest rates ko simultaneously lower karne ka faisla kiya hai market disruptions ko minimize karne ke liye. Volatility ke liye, impact 9 points se lekar 101 points tak ho sakta hai, lekin recent market reactions ke mutabiq, volatility upward trend karegi. Previous meeting mein specifics ki lack thi, lekin yeh meeting clarity provide karegi.

                Humne do din notable intraday movements dekhe hain, jisse volatility dono directions mein hoga, ultimately growth ko le jayega. Sellers likely upper boundary par pair ko reach hone ka wait kar rahe hain ascending channel ke, phir selling ko more favourable price par karne ke liye. Critical sawal yeh hai, purpose kya hai, aur kis ko benefit hoga? Dollar ko bearish pressure ka samna hoga aur weaken hoga U.S. market ke opening ke saath.


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                Lekin, yeh mere perspective hai, chart mein dikha hai, jahan long-term sideways movement significant attention kheench raha hai. Hum euro/USD pair ki market situation ko analyze karte hain. Daily chart ko review karne ke baad, maine hourly chart par focus kiya hai. Yahan, humne sell signal receive kiya hai ascending price channel ke lower boundary 1.1119 par breakdown ke baad. Isne corrective decline ko lead kiya, aur analysis ke mutabiq, euro/dollar pair 1.1114 par trade kar raha hai. Technically, pair ko further bearish decline ho sakti hai is level se, potentially 1.1079 par fall kar sakti hai, daily chart ke mutabiq. Lekin, main sell karne se hesitant hoon market sentiment chart ke liye, jo strong bias ko selling ki taraf dikha raha hai. Aisi imbalance ke saath, significant player likely price ko upward push karega, corrective declines ya pullbacks ko buying karke
                   
                • #10808 Collapse

                  Chaliye EUR/USD trading instrument ko daily chart par dekhte hain. Is haftay hum dheere dheere gir rahe hain aur price ne pichle haftay ka minimum update kiya hai. Is senior period par wave structure ab bhi upar ki taraf ban raha hai. MACD indicator, halanke yeh upper purchase zone mein hai, apni signal line ke neeche gir raha hai, jo ek correction phase ko indicate karta hai. Mere khayal se, girawat khatam nahi hui hai, price ab bhi mushkil se gir rahi hai; pehle ki growth bahut asaan thi, yeh upar baar baar chal gayi thi. Qareeb aur main target horizontal support level 1.0950 hai jo candle ke closing prices par bana hai. Mera kehna hai ke hum aakhir mein is tak pohnch jayenge; yeh na sirf daily level hai, balke weekly bhi hai. Pichle haftay price ne girawat se upar ki taraf correction banayi aur mirror level 1.1150 tak pohnch gayi, jo ek bohot powerful sales zone hai. Friday ko USA se aayi news par price tezi se upar gayi thi, lekin utni hi tezhi se neeche bhi gir gayi thi. Mera maan na hai ke pichle mahine ke itne zyada growth ke baad, ek downward correction model kam az kam teen waves tak hoga. Agar hum pehli downward wave ke size ko superimpose karain, to price movement kaafi hai 1.0955 level tak pohnchne ke liye jo candle ke closing prices par bana hai. Price aksar aise cycle mein chalti hai jahan pehli wave aur teesri wave ka size qareeb hota hai, aur yeh mukhtalif periods par hota hai, lekin yeh ek pattern hai. Isliye mujhe lagta hai ke yeh girawat yahin se jaari rahegi. Yahan Fibonacci target grid bhi pehli wave par superimpose kiya ja sakta hai. Lekin asal mein, yeh zaroori nahi hai, target ab bhi 1.0950 level hai. Aaj raat se hum 1.1013 support level se rebound kar rahe hain, lekin mujhe lagta hai ke yeh temporary phenomenon hai aur jald hum phir se neeche jaayenge specified target tak. Aaj ki news jo note ki jaani chahiye: 15:30 Moscow time par - USA ka Core Consumer Price Index (CPI) mahine aur saal ke hisaab se. Consumer Price Index (CPI) bhi USA ka mahine aur saal ke hisaab se.


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                  • #10809 Collapse

                    kiya tha aur market mein entry decisions is par banaane ka plan kiya tha. Ab hum 5-minute chart dekhtay hain aur dekhte hain kya hua. Girawat hui, lekin is level par na to koi test hua aur na hi false breakout formation hui. Low volatility ki wajah se koi suitable entry points nahi milay. Phir bhi, doosray half of the day ke liye technical picture ko thora revise kiya EUR/USD mein Long Positions kholne ke liye Germany ka GDP figures economists ki forecasts ke mutabiq aaye, aur halaan ke report disappointing thi, lekin euro par sirf thoda pressure pada, kyun ke pehlay se hi data ne GDP contraction ko indicate kar diya tha second quarter mein. Doosray half of the day mein ziada activity ki umeed hai, jab ke US consumer confidence, Richmond Fed manufacturing index, aur 20 barae US shehron mein home price index ke data aa rahe hain. Agar consumer confidence mein kami hoti hai, to euro ko support milne ke chances hain, lekin agar yeh indicator barhta hai, jo ke mojooda surat-e-haal mein mumkin hai, to EUR/USD aur neeche ja sakta hai, jisko main fayda uthane ke liye dekh raha hoon. Agar 1.1153 support level par girawat ke baad false breakout hota hai, to yeh long positions kholne ke liye ek acha moka hoga, jisme euro ka rise aur bullish trend ka mazid mazbooti ka aim hoga, aur 1.1199 ka monthly high wapas aayega. Is range ka breakout aur upward retest pair ko barhata hua 1.1237 ka test karne ka moka dega. Aakhri target 1.1274 hoga, jahan main profits le lunga. Agar EUR/USD second half of the day mein 1.1153 ke aas paas significant activity ke baghair girta hai, to sellers ke paas ek bara correction ka moka hoga. Is surat mein, main sirf 1.1130 ke aglay support level par false breakout ke baad entry karunga. Mazeed, main 1.1107 se rebound par long positions kholne ka plan kar raha hoon, 30-35 points ki upward correction ka target rakhte hue EUR/USD mein Short Positions kholne ke liye Sellers ne bhi wait-and-see approac apnay hai, aur Germany ke data par sirf thoda react kiya hai. Agar euro second half of the day mein barhta hai (aur yaad rahe, hum bullish trend mein hain), to mujhe umeed hai ke sellers sirf 1.1199 ke resistance ke aas paas nazar aayenge, jo aaj tak hum nahi pohanchay hain. Is level par false breakout short positions kholne ka moka dega, jisme pair ko 1.1153 support tak reduce karne ka target hoga, jahan moving averages hain jo bulls ke haq mein hain. Is range ka breakout aur consolidation neeche aur downward retest mazeed selling ka moka dega, jisme movement 1.1130 tak hogi, jahan mujhe bulls se ziada active response ki umeed hai. Aakhri target 1.1107 hoga, jahan main profits le lunga. Agar EUR/USD weak US economic data ke bawajood barhta hai aur 1.1199 par koi bears nahi miltay, jo ke mumkin nahi hai, to buyers wapas initiative le lenge, jisme monthly high ko renew karne aur pair ko mazeed barhane ka moka hoga. Is surat mein, main selling ko aglay resistance 1.1237 ke test tak postpone karunga. Main wahan bhi sell karne ka plan kar raha hoon, lekin sirf unsuccessful consolidation ke baad. Main short positions foran rebound par 1.1274 se kholne ka plan kar raha hoon, 30-35 points ki downward correction ka target rakhte


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                    • #10810 Collapse

                      EUR/USD ke Trading Opportunities

                      Hamari guftagu mein hum currency pair ki price changes ka tajziya karenge. Din ke doran maximum value 1.1102 tak pohnchi, jabke lowest point 1.1069 par tha. Hourly chart ke technical analysis ke mutabiq, is waqt signals sellers ke favor mein hain. MACD indicator, jo abhi bhi positive zone mein hai, decline ke signs dikhata hai. Yeh pair apne downward trend ko continue kar sakta hai, jiska target 1.0874 mark hai. Kal EUR/USD ki daily aur weekly closings 1.1099 par rahi. Salam, Nikolai. Umeed hai aapka weekend achha raha. Halanke resistance mazboot tha, closing price 1.1069 ke upar rahi—jahan pehle bearish signs nazar aane lage the. Filhal, bulls ko control wapas milta hua lagta hai. Overall trend upar ki taraf hai, lekin margin analysis ke mutabiq, Monday ke liye short-term bearish trend ki ummeed hai. 1.1039-49 range mein selling ka ek ideal opportunity mil sakti hai. Agar reversal zigzag ban jata hai, toh yeh ek aur favorable selling point signal kar sakta hai, pehle pullback ke baad stop-loss lagana zaroori hoga.

                      Main theory mein confident lag raha hoon, lekin meri preference bearish shift ki taraf hai, jaise meri intuition keh rahi hai. Umeed hai ke price mere modest goal 1.0859 tak kam ho sakti hai, magar hum further developments ko dekhenge. Yeh zaroori hai ke EUR/USD situation challenging hai, kyunke koi clear objectives saamne nahi aaye hain. Pair ne 1.099 ke neeche jaane mein mushkil ka samna kiya, aur 1.109 ke upar firm position establish nahi kar paya. Kal ke session ke baad downward shift dekha gaya, daily chart par ek pin chhoda, jo further declines ka signal de raha hai. Aane wale haftay mein Federal Reserve meeting ke sath increased volatility ki ummeed hai. Magar, main current levels par sell karne ke mood mein nahi hoon aur long positions par focus karunga. Agar price 1.1024 ke neeche girti hai, toh main small stop-loss ke sath buy karne ka sochunga.

                      Support 1.0939-0949 range mein hone ki ummeed hai, khas taur par agar expected 24 basis point interest rate cut accurate hota hai. Mahine ke end tak, main foresee karta hoon ke pair 12-figure range tak pohnch sakta hai. Jitna zyada drawdown hoga, utni hi behtareen buying opportunities milengi. Hourly aur four-hour charts dono par price Ichimoku cloud aur moving average ke neeche hai, jo medium-term downward trend ke consistent hai. MACD indicator (12.26.8) downward point kar raha hai, jo bearish sentiment ko confirm karta hai, jabke CCI indicator (9) bhi weakly oversold area mein down turn kar raha hai. Sab signs further decline ke liye hain. Agar price apne recent lows ko update nahi karti, toh yeh indicate kar sakta hai ke buyers pause par hain. Ideally, European session isko clarify karegi. Magar, 1.1079 level ke aas paas abhi bhi ek delay hai, jo tab tak hoga jab tak price softer resistance levels ko clear nahi karti.
                         
                      • #10811 Collapse

                        EUR/USD Ka General Points:

                        Humne dekha ke European Main Refinancing Rate aur ECB President ki taqreer ne Euro ko kaafi behtar banaya, jo EUR/USD market ko upar push kar sakti thi. Lekin kuch US news events aur technical factors ne market ki direction ko badal diya hai. Ab yeh bullish trend follow kar sakti hai aur 1.1165 level tak pohnch sakti hai. Isliye humein bahut ehtiyaat se trade karni chahiye aur stop-loss tool ka istemal karna chahiye taake hum apni protection kar saken.

                        Broad view mein, is initial optimism ke bawajood, kuch US news events aur technical factors ne market ki direction ko badal diya hai. Hal hi mein, US ne aise data release kiye hain jo US Dollar ki strength ko influence kar rahe hain. Misal ke taur par, inflation, unemployment, aur doosre economic indicators ke reports ne uncertainty create ki, jo traders ki nazar mein USD ko impact kar rahi hai. Halankeh Euro ne strength dikhayi, magar USD ki movement ne news events ke base par caution introduce kiya hai. Traders ko dono economic regions ki conditions ko consider karna padta hai, jo EUR/USD pair ke movements ko complex bana deti hai. Ab, in mixed signals ke bawajood, EUR/USD still bullish trend follow kar sakti hai aur 1.1165 level tak pohnch sakti hai. Yeh level ek key resistance area hai jo breach hone par aur bhi upar momentum lead kar sakti hai. Eurozone aur US ke ongoing economic developments ko dekhte hue, market sentiment ab bhi flux mein hai. Jaise hi pair is critical level ke kareeb aati hai, traders ko technical aur fundamental indicators dono par nazar rakhni chahiye. Isliye, humein bahut ehtiyaat se trade karni chahiye aur stop-loss tool ka istemal karna chahiye. Volatile markets mein, risk ko effectively manage karna zaroori hai. Stop-loss tool ensure karta hai ke agar market humare khilaf chalti hai to hum apni losses ko limit kar sakein aur apne capital ko safeguard kar sakein. Ehtiyaat ke sath trading aur appropriate stop-loss levels set karke, traders potential bullish opportunities ka fayda utha sakte hain aur sudden market reversals ya unexpected news events se exposure ko minimize kar sakte hain jo pair ke movement ko impact kar sakti hain.
                           
                        • #10812 Collapse

                          EUR/USD ke trading moqay

                          Hamari guftagu mein hum currency pair ke price changes ka tajziya karen ge. Aaj ke doran, maximum value jo pohanch gayi wo 1.1102 thi, jabke lowest point 1.1069 raha. Hourly chart ke technical analysis ke mutabiq, signals filhaal sellers ke haq mein hain. MACD indicator, jo abhi positive zone mein hai, decline ke asar dikhata hai. Yeh pair shayad apni downward trend ko barqarar rakhe aur 1.0874 ka target kare. Kal ka EUR/USD ka daily aur weekly closing 1.1099 par raha. Salam Nikolai, umeed hai tumhara weekend acha guzra. Halanke resistance mazboot raha, closing price 1.1069 ke upar hi rahi—jahan pehli bearish signs zahir hue the. Filhaal, bulls ne shayad dobara control hasil kar liya hai. Overall trend upward lagta hai, magar margin analysis ke mutabiq, Monday ke liye short-term bearish trend ka imkaan hai. Price 1.1039-49 range mein achi selling opportunity de sakti hai. Agar ek reversal zigzag banta hai, to yeh doosri achi selling point ka ishara ho sakta hai, jahan pehli pullback ke baad stop-loss lagana behtareen hoga.
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                          Jabke theory mein main kaafi pur-aitemad lagta hoon, meri preference bearish shift ki taraf hai, kyun ke meri intuition aisa kehti hai. Main anticipate karta hoon ke price meri modest goal 1.0859 tak gir sakti hai, magar hum aage dekhte hain kya hota hai. Yeh baat zaroori hai ke EUR/USD ki surat-e-haal ab tak mushkil hai, kyun ke koi clear objectives samne nahi aaye. Jabke pair ne 1.099 ke neeche girne ki koshish ki, yeh 1.109 ke upar mazboot position nahi bana saka. Kal ka session ek downward shift ke sath khatam hua, jo ke daily chart par ek pin chhod gaya, jo mazeed declines ka ishara karta hai. Federal Reserve ka meeting agle haftay hai, to hum ziada volatility expect karte hain. Phir bhi, main filhaal current levels par sell karne ka raghbat nahi rakhta, aur long positions par focus karoonga. Agar price 1.1024 se neeche girti hai, to main small stop-loss ke sath buying consider karoon ga.
                             
                          • #10813 Collapse

                            Main EUR/USD pair ki movement par nazar rakhoon ga kyunke aglay haftay yeh aik trading mauqa ho sakta hai. Guzashta haftay ke aghaz se market ki halat ne position 1.1084 se safar shuru kiya tha aur 1.1003 ke area tak neeche jaanay ki koshish ki, yeh 4-hour time frame chart se dekhne ko mila. Aisa lagta tha ke Friday ya Saturday raat ko market ke khulnay ke baad buyers ki strength nazar aayi thi, jo ke market ka trend mazid mazboot kar sakti thi. Lekin yeh rise haftay ke aghaz ke level ko cross nahi kar saka.
                            Overall, lagta hai ke is haftay ke trading session mein market abhi bhi neeche ki taraf ka rujhan dikhata hai. Point 1.1075 par candlestick ka safar kuch arsay ke liye ruk gaya. Abhi bhi market sellers ke haath mein hai jo ke prices ko mazid neeche le jaa sakte hain aur highest monthly zone se door kar sakte hain. Jo monthly candlestick shuru mein bullish thi, wo aakhir kar ke is haftay EUR/USD pair ke price girne ki wajah se opening position ke neeche chali gayi.
                            Mujhe lagta hai ke ab bhi sellers ka control bana reh sakta hai, jo ke prices ko neeche le jaane ki koshish kar rahay hain, aur aglay haftay ke liye market ka yeh hi pattern ho sakta hai. Is haftay ka sabse neecha price level 1.1003 par hai. Agar aglay haftay yeh level break hota hai to lagta hai ke market ka downtrend lamba chalay ga. Hafta ke aakhir mein thori si buying interest dekhne ko mili, lekin woh market ko upar rehne nahi de saka. Trend pattern yeh dikhata hai ke sellers ka raaj rahe ga, is liye mujhe lagta hai ke aglay haftay bhi sellers market ko control mein rakhein ge.
                            Bearish side ko barqarar rakhne ke liye, mujhe lagta hai ke price neeche ki taraf move karne ki koshish karta rahe ga. Subah jo candlestick khatam hui thi, wo 100 simple moving average zone ke neeche thi, jo yeh dikhata hai ke market ka trend mazid decline karne ka imkaan hai. Agar selling candlestick ko 1.1046 ke price zone ke neeche le jaane mein kamyaab hoti hai, to aglay haftay bhi bearish trend market par haavi reh sakta hai.

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                            • #10814 Collapse

                              European Main Refinancing Rate aur European Central Bank (ECB) ki monetary policy EUR/USD currency pair ko bohat zyada influence karti hain, khaaskar un buyers ke liye jo 1.1055 zone cross karna chahte hain. ECB ka ye key rate Eurozone mein lending conditions ko directly affect karta hai, jo economy ko tezi ya slow down kar sakta hai, aur issi tarah EUR/USD exchange rate ko bhi impact karta hai. Buyers aksar ECB Press Conference ka intezaar karte hain kyun ke ye event market mein bohat zyada volatility le kar aata hai. Iss conference mein ECB ke officials future monetary policies aur economic outlook ke hawale se insights dete hain, jo market sentiment par asar dalte hain. Dusri taraf, US dollar ki movement bhi high-impact news events, jaise ke Unemployment Rate aur Core Producer Price Index (PPI) data se bohat zyada mutasir hoti hai. Ye indicators US economy ki sehat ka strong reflection dete hain. Rising unemployment aksar dollar ko weak karta hai, aur PPI mein tabdeeliyan inflation expectations ko influence karti hain. Aaj ke market ko uncertain samjha ja raha hai kyun ke dono taraf se conflicting news events aa rahe hain. Trading ke hawale se, mein EUR/USD par buy order place karna pasand karunga, aur short-term resistance 1.1055 ko target karunga. Key economic events ka ye confluence ek acha mouqa bana sakta hai jahan pair ko higher move karne ka chance milay, khaaskar agar data US dollar ko weak karta hai ya ECB ki taraf se dovish stance aata hai. Ideal outcome yahi hoga ke market buyers ko favor karte hue EUR ko 1.1055 target tak momentum de.
                              Lekin yaad rakhnay ki baat ye hai ke events jese ECB Press Conference ya US economic data releases market sentiment ko aasani se shift kar sakte hain, jo sudden reversals ya increased volatility create kar sakte hain. Isliye, jab initial bias bulls ke haq mein hai, phir bhi ehtiyat aur flexibility zaroori hai, kyun ke in events se market direction din ke aakhri hissay mein badal bhi sakti hai.


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                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #10815 Collapse

                                EURUSD dusre din ke liye niche trade kar rahi hai aur blue moving average ke neeche wapas aa gayi hai chaar ghante ke chart par, jo ke continued decline ka ishara hai, aur support 1.0877 par mil raha hai. Is measure par poora bharosa nahi hai. Indicators already bohot strong oversold conditions dikhate hain, aur bulls ke market mein wapas aane ki possibility ko nazar andaz nahi kiya ja sakta. Isliye, agar quotes 1.0877 level ke neeche rehti hain, to main downward trend ke continue hone ki ummeed karta hoon. Doosri scenario ko bhi nahi bhoolna chahiye, agar quotes 1.0927 resistance ke upar wapas aati hain, to main long-term rise aur ek aur uchaai ki ummeed karta hoon. EUR/USD pair taqatwar bullish trends ka dikhawa kar raha hai. Yeh behad nichay 1.1000 ke levels se tezi se ubhar raha hai, chand waqton ke liye 1.0950 se oopar chala gaya hai. Pair ne 200-din EMA par 1.0826 se bhi guzar gaya hai, jo taqatwar short-term bullish sentiment ko zahir karta hai. Yeh technical tor par breakthrough yeh darust karta hai ke upri trend jari reh sakta hai, traders resistance levels aur potential breakout points ko qareeb se nigrani me rakhte hue. Ikhtisar mein, Euro ke US Dollar ke muqable mein haal ki quwwat ko kamzor US economic indicators aur European markets mein itminani sentiment ka milaap mana jata hai. Jab EUR/USD pair ahem resistance levels ke qareeb pounchega, market participants qareeb aanay wale economic data aur geopolitical developments ko nigrani me rakhtay hue is currency pair ke mustaqbil ke harkaton par asar dalne wale cheezon ka tawaju se intezar karenge.
                                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 data 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, kyunki 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 near term mein further price appreciation ki taraf le ja sakta hai
                                EUR/USD ke upar jane ke chances abhi bhi hain. Iske ilawa, white kumo penetrate ho chuki hai aur iska color brown mein tabdeel ho gaya hai, jo yeh bhi indicate karta hai ke buyer ka pressure zyada ho raha hai. Lekin candle ke shoulder area mein rukne se yeh bhi mumkin hai ke yeh dono lines cross kar jayein aur EUR/USD phir se neeche gir jaye.
                                Stochastic indicator se bhi yeh idea milta hai ke EUR/USD overbought condition mein hai, kyunki line ne h1 timeframe par 80 level ko penetrate kar liya hai. Lekin abhi ke liye yeh line upar ki taraf hai, chahe condition overbought hi kyu na ho. Filhaal koi neeche jane ke signs nazar nahi aa rahe. Neeche girne ki condition tab hogi jab yeh line neeche ki taraf move karegi


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