Peer soomwar ko, Euro ne North American trading ke doran thoda sa rebound dekha, jab ke Asian session mein ye kafi nuqsan utha chuka tha. 1.11 ka level chhote waqt ke charts par mazboot support faraham kar raha hai, jo market ke liye ek ahm psychological zone hai. Itihaas mein, EUR/USD aksar bade gol numbers ke darmiyan ghoomta hai, is liye agar Euro aur girta hai, to agla maqool target 1.10 level hoga.
1.10 ka mark pehle bhi ek ahm support area ke tor par kaam kar chuka hai, aur agar Euro is level ke neeche girta hai, to ye ek mazboot bottom banne ki nishani ho sakta hai. Dusri taraf, agar market recover hota hai, to 1.12 ka level resistance ke tor par kaam karega. Filhal, pair kafi choppy aur sideways action ka samna kar raha hai, is liye traders ko in key round numbers par tawajjoh deni chahiye jab market inke darmiyan oscillate kar raha ho. Is pair ki technical nature, jo high liquidity aur mazboot options market se asarandaz hoti hai, in levels ko khaas tor par sensitive banati hai.
Is waqt, Eurozone aur U.S. economy dono ke uncertain halaat ke chalte, ye pata lagana mushkil hai ke Euro aur U.S. dollar mein se kaun sa lambay arse ka winner ban sakta hai. Is liye, ek zyada strategic approach ye ho sakti hai ke U.S. dollar ki taqat ko map karain aur ise doosri currency pairs par lagoo karain. Maslan, agar dollar Euro ke muqablay mein mazid mazboot hota hai, to dollar ko kisi tez chalne wali ya exotic currency ke khilaf trade karna zyada faida mand ho sakta hai.
EUR/USD pair ke liye, ye zyada suitable hai ke short-term chart analysis par tawajjoh di jaye, di gayi market volatility aur price level ke fluctuations ko mad e nazar rakhte hue. Eurozone aur U.S. economies mein uncertainties ke mad e nazar, traders ko EUR/USD pair mein 1.10 aur 1.12 levels par khaas tawajjoh deni chahiye. Ye levels significant support aur resistance points hain, jo short-term trading decisions ko guide kar sakte hain.
Market ki in key levels par sensitivity central bank policies aur global economic conditions ke asar se barh gayi hai. Jab ke ECB aur Federal Reserve apne easing measures ko jari rakhte hain, pair mein volatility barhne ki umeed hai, jo short-term trades ko long-term positions par zyada faida mand banata hai. Traders ko ehtiyaat aur agility barqarar rakhni chahiye, taake wo current market environment ko behtar taur par navigate kar sakein.
1.10 ka mark pehle bhi ek ahm support area ke tor par kaam kar chuka hai, aur agar Euro is level ke neeche girta hai, to ye ek mazboot bottom banne ki nishani ho sakta hai. Dusri taraf, agar market recover hota hai, to 1.12 ka level resistance ke tor par kaam karega. Filhal, pair kafi choppy aur sideways action ka samna kar raha hai, is liye traders ko in key round numbers par tawajjoh deni chahiye jab market inke darmiyan oscillate kar raha ho. Is pair ki technical nature, jo high liquidity aur mazboot options market se asarandaz hoti hai, in levels ko khaas tor par sensitive banati hai.
Is waqt, Eurozone aur U.S. economy dono ke uncertain halaat ke chalte, ye pata lagana mushkil hai ke Euro aur U.S. dollar mein se kaun sa lambay arse ka winner ban sakta hai. Is liye, ek zyada strategic approach ye ho sakti hai ke U.S. dollar ki taqat ko map karain aur ise doosri currency pairs par lagoo karain. Maslan, agar dollar Euro ke muqablay mein mazid mazboot hota hai, to dollar ko kisi tez chalne wali ya exotic currency ke khilaf trade karna zyada faida mand ho sakta hai.
EUR/USD pair ke liye, ye zyada suitable hai ke short-term chart analysis par tawajjoh di jaye, di gayi market volatility aur price level ke fluctuations ko mad e nazar rakhte hue. Eurozone aur U.S. economies mein uncertainties ke mad e nazar, traders ko EUR/USD pair mein 1.10 aur 1.12 levels par khaas tawajjoh deni chahiye. Ye levels significant support aur resistance points hain, jo short-term trading decisions ko guide kar sakte hain.
Market ki in key levels par sensitivity central bank policies aur global economic conditions ke asar se barh gayi hai. Jab ke ECB aur Federal Reserve apne easing measures ko jari rakhte hain, pair mein volatility barhne ki umeed hai, jo short-term trades ko long-term positions par zyada faida mand banata hai. Traders ko ehtiyaat aur agility barqarar rakhni chahiye, taake wo current market environment ko behtar taur par navigate kar sakein.
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