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  • #11686 Collapse


    USD/JPY ka haal hi ka analysis yeh dikhata hai ke price 144.40 tak gir gaya hai, lekin mujhe lagta hai ke yeh 146.50 se neeche nahi jaayega. US dollar index ki tezi geopolitical tensions ki wajah se hai. Mujhe umeed hai ke USD/JPY is supply zone 145.50 ke paar phir se recover karega.
    Bollinger Bands aur resistance levels par meri nazar hai: 149.251, 150.855, 153.348, aur 153.720. Pehle ki bearish trend line ko bulls ne paar kar diya hai, jo buying volume ke barhne ki nishani hai. Lekin agar price 142.901 tak girta hai, to bearish trend ki sambhavna bhi hai. 30-minute chart dikhata hai ke oscillator oversold conditions par hai, aur histogram mein uptrend shuru ho raha hai. Mujhe lagta hai ke price green zone ke through move kar sakta hai aur purani sideways range mein wapas aa sakta hai, jahan support 153.11. 1-hour chart par, aaj ka trading session is baat se shuru hua ke price ne pichle do dinon ke highest level ko tod diya, aur ab do mukhtalif price channels ke andar move kar raha hai. Pehla channel, jo blue rang mein dikhaya gaya hai, pichle do trading dinon ka sideways trend reflect karta hai. Doosra channel, jo red rang mein hai, kal ke trading session ke dauran dekhay gayi upward trend ko represent karta hai.
    Filhal, price blue channel ke upar break kar gaya hai aur ab wapas aa kar isko retest kar raha hai. Agar price blue channel line ko touch karta hai, to yeh tawaqqo hai ke yeh dobara upward bounce karega, aur apni rise ko resistance level 1.1211 tak continue karega. Agar bearish scenario dekha jaye, to agar price dobara blue channel ke andar aata hai, to yeh aur bhi neeche gir sakta hai, aur weekly pivot level 1.1139 tak pochne ke baad shayad wahan se dobara upar rebound karega. Economic front par, Eurozone mein recent data ne kuch khatarnaak trends ko highlight kiya hai. Business activity September mein unexpected contraction ki taraf gayi, jo services aur manufacturing sectors mein bigharte hue halat ko dikhata hai. S&P Global ke mutabiq, region ka Purchasing Managers’ Index (PMI) August ke 51.0 se gir kar 48.9 par aa gaya, jo ke pehli dafa February ke baad contraction dikhata hai. Is decline ka zyada asar weak demand aur Germany aur France jaise key economies mein economic challenges ki wajah se tha. 50-point mark ke neeche girna economic activity ki slowdown ko dikhata hai, jo future growth ke liye concerns badha raha hai, aur European Central Bank (ECB) ke potential policy easing par speculation ko barhawa de raha hai. Services PMI bhi sharp fall ka shikar hua, jo August ke 52.9 se September mein gir kar 50.5 ho gaya, jabke manufacturing PMI mazeed 44.8 par aa gaya, jo ke pehle 45.8 tha. Germany, jo ke region ki sabse bari economy hai, khaas challenges face kar raha hai, jahan economy second quarter mein 0.1% se contract hui, aur third quarter mein bhi further decline ke asar hain. Yeh economic trends Eurozone ke liye badhne wali uncertainty ko dikhate hain, jo market movements ko bhi influence kar sakti hain




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    • #11687 Collapse

      USD/JPY ka haal hi ka analysis yeh dikhata hai ke price 144.40 tak gir gaya hai, lekin mujhe lagta hai ke yeh 146.50 se neeche nahi jaayega. US dollar index ki tezi geopolitical tensions ki wajah se hai. Mujhe umeed hai ke USD/JPY is supply zone 145.50 ke paar phir se recover karega.
      Bollinger Bands aur resistance levels par meri nazar hai: 149.251, 150.855, 153.348, aur 153.720. Pehle ki bearish trend line ko bulls ne paar kar diya hai, jo buying volume ke barhne ki nishani hai. Lekin agar price 142.901 tak girta hai, to bearish trend ki sambhavna bhi hai. 30-minute chart dikhata hai ke oscillator oversold conditions par hai, aur histogram mein uptrend shuru ho raha hai. Mujhe lagta hai ke price green zone ke through move kar sakta hai aur purani sideways range mein wapas aa sakta hai, jahan support 153.11. 1-hour chart par, aaj ka trading session is baat se shuru hua ke price ne pichle do dinon ke highest level ko tod diya, aur ab do mukhtalif price channels ke andar move kar raha hai. Pehla channel, jo blue rang mein dikhaya gaya hai, pichle do trading dinon ka sideways trend reflect karta hai. Doosra channel, jo red rang mein hai, kal ke trading session ke dauran dekhay gayi upward trend ko represent karta hai.
      Filhal, price blue channel ke upar break kar gaya hai aur ab wapas aa kar isko retest kar raha hai. Agar price blue channel line ko touch karta hai, to yeh tawaqqo hai ke yeh dobara upward bounce karega, aur apni rise ko resistance level 1.1211 tak continue karega. Agar bearish scenario dekha jaye, to agar price dobara blue channel ke andar aata hai, to yeh aur bhi neeche gir sakta hai, aur weekly pivot level 1.1139 tak pochne ke baad shayad wahan se dobara upar rebound karega. Economic front par, Eurozone mein recent data ne kuch khatarnaak trends ko highlight kiya hai. Business activity September mein unexpected contraction ki taraf gayi, jo services aur manufacturing sectors mein bigharte hue halat ko dikhata hai. S&P Global ke mutabiq, region ka Purchasing Managers’ Index (PMI) August ke 51.0 se gir kar 48.9 par aa gaya, jo ke pehli dafa February ke baad contraction dikhata hai. Is decline ka zyada asar weak demand aur Germany aur France jaise key economies mein economic challenges ki wajah se tha. 50-point mark ke neeche girna economic activity ki slowdown ko dikhata hai, jo future growth ke liye concerns badha raha hai, aur European Central Bank (ECB) ke potential policy easing par speculation ko barhawa de raha hai. Services PMI bhi sharp fall ka shikar hua, jo August ke 52.9 se September mein gir kar 50.5 ho gaya, jabke manufacturing PMI mazeed 44.8 par aa gaya, jo ke pehle 45.8 tha. Germany, jo ke region ki sabse bari economy hai, khaas challenges face kar raha hai, jahan economy second quarter mein 0.1% se contract hui, aur third quarter mein bhi further decline ke asar hain. Yeh economic trends Eurozone ke liye badhne wali uncertainty ko dikhate hain, jo market movements ko bhi influence kar sakti hain


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      • #11688 Collapse

        EUR/USD 1-ghante ke chart par bohot hi technical aur structured price movement nazar aata hai, jo supply aur demand zones, liquidity pools, aur fair value gaps (FVG) ke darmiyan complex interplay dikhata hai. Is waqt price 1.10782 ke aas-paas hai, aur yeh ek retracement mein hai jo 1.11500 ke ilaqe se significant rejection ke baad aayi, jo ek mazboot supply zone ke tor par kaam kar raha tha. Price action yeh darshata hai ke market participants, jo ke mumkin hai institutional traders ya market makers hon, actively liquidity hunt kar rahe the 1.11500 level ke upar, uske baad price ko neeche ki taraf push kiya, jo ke lagta hai ke ek strategic move tha long positions ko clear karne aur market mein balance restore karne ke liye.

        1.11500 ke aas-paas ka ilaqa marked liquidity grab se milta hai, jo ye dikhata hai ke bade players ka yeh irada tha ke stop orders ko trigger karen aur distribution liquidity (DLiq) zone ke upar bade trades execute karen. Jab price is zone ke nazdeek pahuncha, to market mein buying pressure ka izafa hua, jab retail traders aur dusre market participants ne potential breakout ka faida uthana chaha. Lekin, yeh high liquidity area sellers ke liye ek acha mauka bana, kyunke stop-loss aur buy orders ki liquidity unke liye market ko neeche push karne ka attractive target bana.

        Is rejection se pehle, market 1.11000 aur 1.10500 ke darmiyan ek tight range mein consolidate kar raha tha. Is doran, price demand aur supply zones ke darmiyan bounce ho rahi thi, jo strong directional bias ki kami ko darshata hai. Consolidation phase ne market ko liquidity ikattha karne ka mauka diya, khaaskar lower bound par 1.10500 par, jahan buyers shayad positions ikattha kar rahe the, aur upper bound par 1.11000 par, jahan sellers supply side ko defend kar rahe the. Is range mein price movement supply aur demand forces ke darmiyan equilibrium ko highlight karta hai, jo sirf achanak 1.11500 region tak spike se disrupt hua.

        Is setup mein ek critical point fair value gap (FVG) ka formation hai jo 1.11250 ke aas-paas hai. Fair value gaps aksar traders dwara istemal kiye jate hain taake wo market mein inefficiency ke areas ko identify kar saken jahan price gap ko "fill" karne ke liye wapas aa sakti hai, jo rebalancing mechanism ke tor par kaam karta hai. 1.11250 ka gap jaldi fill ho gaya jab market ne apne pehle ke range se breakout karne ki koshish ki, jo yeh darshata hai ke market ab bhi balanced range mein kaam kar raha tha aur yeh breakout short term mein sustainable nahi tha. FVG ka fill hona yeh bhi suggest karta hai ke market participants cautious the, kyunke ek true breakout ke liye demand ya supply se stronger impulse ki zaroorat hoti hai.


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        • #11689 Collapse

          EURUSD market ki situation dekhi aur H4 time frame ke chart ko use karke analysis ki koshish ki. Yeh kaafi dilchaspi ka sabab tha kyun ke maine dekha ke raat ke market trend mein izafa hone ka mauqa phir se nazar aa raha hai. Yeh ek reversal signal hai jahan guzishta kuch dino mein market mein price movement asal mein sellers ke qabze mein thi jo ke neeche le jane ki koshish kar rahe thay, lekin chart par dekha ja sakta hai ke bearish koshish abhi bhi 1.1004 level se breakout karne mein nakaam rahi hai, jo is haftay support ke taur par istemal ho sakti hai. Iska matlab yeh hai ke agar seller support area ko naheen tod pate, toh trend mein izafa hota rehne ke imkaanat hain Isliye, main ek puri trading plan banaonga taake yeh andaza laga sakuun ke kab price upar ki taraf harakat karna shuru karegi aur agla maqsad kya hoga H4 time frame ke mutabiq. Iske ilaawa, main stochastic oscillator indicator aur support resistance boundary line ki madad bhi istemal kar raha hoon. H4 time frame ke chart par EURUSD ki price movement ne pehle ke bearish correction candlestick ki shape se reversal signal dikhaya hai. Hum daily timeframe mein monitor kar sakte hain ke guzishta hafte ke trading session mein buyers bullish trend ko continue na kar sake kyun ke sellers ke pressure ke waja se market correction ke liye neeche ki taraf chal gayi Is haftay ki bearish koshish asal mein abhi bhi jari hai, lekin guzishta Thursday ko achi buying interest ne candlestick ki position ko behtar banaya aur market ke liye bullish rally ka rasta khola, bilkul us trend ki tarah jo August ke aakhir mein tha. Phir stochastics ke saath mazeed analysis se yeh maloom hota hai ke signal line 80 zone tak barh gayi hai, jo market ke phir se izafa hone ke imkaanaat ka tasavvur deta hai. Buyers ke paas aaj bhi EURUSD ki prices ko barhane ke liye momentum mil sakta hai Maujooda market movement abhi bhi 1.1078 ke aas paas static hai. Main khud aaj dopahar se mazeed izafa ke signal ka intezaar kar raha hoon kyun ke abhi tak market transactions mein koi volatility nahi hui hai. Guzishta mahine se benchmark ke mutabiq, wahan par ek mustahkam izafa nazar aa raha hai jo neeche ki taraf corrections ke saath mix hai. Chahe market zyada bullish hi kyon na ho, main intezaar karunga jab tak buyers 1.1096 resistance zone ko breakout kar ke buy signal ko valid na bana le. Aaj ke market movement ka imkaan beech mein hi rahega kyun ke is Friday USD par koi high impact news nahi hai


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          • #11690 Collapse

            Profit Potential in EUR/USD ke Qeemat

            Hamari guftagu EUR/USD currency pair ke maujooda qeemat ke behaviyo ka jaiza hai. Kal, pullback ke doran, pair ne 1.0995 par ek naya resistance level tayyar kiya, jahan se qeemat ne apni bearish trajectory ko dobara shuru kiya. Ye wazeh hai ke August 14 ka local low, jo pichle Jumme se focus mein tha, aakhirkar bechne walon ke liye gira gaya. Halankeh, quotes ko is point ke andar rehna chahiye tha. Aham baat ye hai ke breakdown ye confirm karta hai ke H1 chart par downward trend abhi bhi active hai.

            Conversely, pair bohot zyada oversold nazar aa raha hai, jo har din upar ki taraf mazid mazboot rebound ki mumkinat ko barhata hai. Lekin, kisi bhi significant movement se pehle, 1.0949 level par ikattha kiye gaye volumes ko clear karna zaroori hai aur 1.0959 ke neeche consolidate karna hoga. Daily EUR/USD chart par target abhi bhi 1.089 hai, jo EMA200 ke sath milta hai. Qeemat ko is support level ko puri tarah se todna hoga taake giraawat ko aage barha sake. Agar ye kamiyab hota hai, to hum ek complete reversal dekh sakte hain, jo "Double Top" pattern ko confirm karega aur pair ko 1.079 ki taraf le ja sakta hai, jo ke lower 7th figure tak bhi pahuncha sakta hai.

            Agar inflation umeedon se milti hai ya isay paar karti hai, to giraawat aur tez ho sakti hai. Inflation ki growth hone par kharidari ke mauqe bhi mumkin hain. Lekin filhal, sab ki nazrein Fed minutes aur Biden aur Netanyahu ke beech Iran ke bare mein kisi bhi mumkinah faisle par hain, kyunki aaj ke liye scheduled discussion market sentiment ko asar de sakta hai. Hum is volume ka pehla absorption dekh rahe hain pulse mein. Mujhe umeed hai ke pair aaj Fed minutes ke release ke sath 1.089 ke kareeb giraega.
               
            • #11691 Collapse

              Profit Potential in EUR/USD ke Qeemat

              Hamari guftagu EUR/USD currency pair ke maujooda qeemat ke behaviyo ka jaiza hai. Kal, pullback ke doran, pair ne 1.0995 par ek naya resistance level tayyar kiya, jahan se qeemat ne apni bearish trajectory ko dobara shuru kiya. Ye wazeh hai ke August 14 ka local low, jo pichle Jumme se focus mein tha, aakhirkar bechne walon ke liye gira gaya. Halankeh, quotes ko is point ke andar rehna chahiye tha. Aham baat ye hai ke breakdown ye confirm karta hai ke H1 chart par downward trend abhi bhi active hai.

              Conversely, pair bohot zyada oversold nazar aa raha hai, jo har din upar ki taraf mazid mazboot rebound ki mumkinat ko barhata hai. Kisi bhi significant movement se pehle, 1.0949 level par ikattha kiye gaye volumes ko clear karna zaroori hai aur 1.0959 ke neeche consolidate karna hoga. Daily EUR/USD chart par target abhi bhi 1.089 hai, jo EMA200 ke sath milta hai.

              Qeemat ko is support level ko puri tarah se todna hoga taake giraawat ko aage barha sake. Agar ye kamiyab hota hai, to hum ek complete reversal dekh sakte hain, jo "Double Top" pattern ko confirm karega aur pair ko 1.079 ki taraf le ja sakta hai, jo ke lower 7th figure tak bhi pahuncha sakta hai.

              Agar inflation umeedon se milti hai ya isay paar karti hai, to giraawat aur tez ho sakti hai. Inflation ki growth hone par kharidari ke mauqe bhi mumkin hain. Lekin filhal, sab ki nazrein Fed minutes aur Biden aur Netanyahu ke beech Iran ke bare mein kisi bhi mumkinah faisle par hain, kyunki aaj ke liye scheduled discussion market sentiment ko asar de sakta hai. Hum is volume ka pehla absorption dekh rahe hain pulse mein. Mujhe umeed hai ke pair aaj Fed minutes ke release ke sath 1.089 ke kareeb giraega.
                 
              • #11692 Collapse


                Technical analysis of the EURUSD pair


                Ab tak aur hafte ke shuru hone se lekar, jori ki price mein zyada harkat nahi hui hai.

                Jab trading shuru hui, toh chart par dikhaye gaye safed triangle ke andar thi, lekin triangle toot gaya aur sideways harkat ki taraf nikal gaya, jo kuch had tak liquidity ki kami se bhara tha.

                Ab hum dekhte hain ke kai pichhli candles mein price ne neela channel ki beech wali line se resistance ka samna kiya, jo ab price ke girne ka sabab ban rahi hai, kyunki sabse nazdeek ka support level tootay hue triangle ki line hai.

                Ab tak, chhote waqt mein price ke liye koi wazeh direction nahi hai, aur sirf tab bechne ka mauqa hoga jab price triangle ko neeche ki taraf tor kar is ke neeche ek ghanta trade ke liye mustahkam ho jaye.

                Ma'ashi pehlu se, price ki girawat US Federal Reserve ke akhri meeting ki minutes ki announcement ki intezar mein ho rahi hai, uske baad US ke inflation figures aane wale hain.

                Saath hi, European Central Bank par bhi Eurozone ki ma'ashi slowdown ke madde nazar pressure hai, jahan agle haftay ki meeting mein interest rates ka lagataar kaatne ka imkaan hai. Aam tor par, interest rates ke raahein ke liye umeedon mein tafreeq EUR/USD ko dobara pressure mein daalti hai.

                Stock exchanges ke pehlu se… US futures market mein rebound ke baad flat hain. US stock futures ne Wednesday ko thoda badlaav dekha, jab pichle session mein Wall Street par tech-led rally hui. Regular trading mein Tuesday ko S&P 500 aur Nasdaq Composite ne ba-qarar taur par 0.97% aur 1.45% ka izafa kiya, jabke Dow Jones ne 0.3% ka izafa kiya. S&P ke 11 sectors mein se nau sectors ne upar ki taraf khatam kiya, jahan technology, telecommunications, aur consumer discretionary stocks ne lead kiya. Tech giants jaise Nvidia (4.1%), Apple (1.8%), aur Meta Platforms (1.4%) ne bhi khaas kirdar ada kiya.
                   
                • #11693 Collapse

                  EUR/USD ka Technical Analysis
                  Euro pichlay trading week ki main resistance ko break nahi kar saka, wapas se bounce back kar gaya aur apni kuch hafton ki tamam gains kho di. Price 1.1198 tak phir se pohnchi magar foran hi rollback kar gayi, jiska natija ek sharp decline mein nikla. Price signal zone se breakout to kar gayi, magar usay hold nahi kar saki. Iss wajah se jo sustainable development ka scenario tha, wo pura nahi ho saka aur cancel ho gaya. Iske ilawa, price chart super trendy red zone mein chali gayi, jo yeh show karta hai ke sellers ne control apne haath mein le liya hai.

                  Agar hum technical point of view se dekhein, to pair 1.1200 ke psychological resistance barrier ke upar consolidate karne mein kamiyab nahi ho saka, jo ke ek temporary barrier tha. 240-minute chart pe closer look lene se pata chalta hai ke Stochastic negative signals ko overcome karne ki koshish kar raha hai, aur pair 50-day SMA se positive impulse lenay ki koshish kar raha hai. Uptrend abhi tak active hai aur sahi direction mein hai, jab tak intraday trading strong support 1.1100 ke upar hai. Agar price resistance 1.1200 ko break kar leti hai, to uptrend ki strength aur ziada accelerate hogi, aur pehla target 1.1250 consider kiya ja sakta hai, jabke agla expected target 1.1300 ho ga. Agar price 1.1100 ke neeche break hoti hai, khaaskar 1.1095, to bullish scenario ruk jayega aur pair negative pressure mein aa jayega, jahan pe target ho ga 1.1065 aur 1.1030 ka retest.

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                  Iss waqt pair bullish levels pe trade kar raha hai, apne weekly lows ke qareeb. Main support area jo ke quotes ko hold nahi kar raha, aur confidence se bahar exit ka matlab hai ke preferred vector ko neeche shift karna zaroori hai. Is baat ko confirm karne ke liye, price ko 1.1033 ke neeche consolidate karna hoga, jo ke current resistance area ki border hai. Iss area ka retest aur subsequent rebound allow karega ek nayi move neeche ki taraf, jiska target ho sakta hai 1.0837 aur 1.0763 areas.

                  Agar resistance break hoti hai aur price 1.1121 ke reversal level ke upar chali jati hai, to current scenario cancel ho jaye ga.
                     
                  • #11694 Collapse

                    **EUR/USD Tajziya**

                    Yeh mumkin hai ke price hafte ke shuru mein barh jaye aur neela channel line ya monthly pivot level tak pahunche, phir dobara girne se pehle. Isliye, is pair mein trader agle hafte bechne ke mauqay par dhyan nahi de sakta, jo do pehluon par munasib hai. Jab price 1.0950 ke neeche chaar trading ghanton tak mustahkam ho jaye, toh bechne ka mauqa is level ke neeche mil sakta hai. Agar price monthly pivot level tak barhta hai aur 4-hour chart par bearish price action banta hai, toh bechne ke liye entry kar sakte hain.

                    Agle hafte price movement ke liye do mumkinat hain. Pehla, price shuruat se 1.0945 ke level ke neeche mustahkam hona chahiye aur phir 1.0910 ke support level tak girna chahiye. Pair ke 4-hour chart par price ek naya upar ka target de raha hai, jo weekly resistance level 1.0955 hai, lekin traders un levels ka intezar kar rahe hain jahan yen pairs is upar ki lehar se neeche ki taraf bounce kar sakti hain.

                    Is hafte, pair ne upar ki taraf price channels mein trading ki, jo price ke barhne ko support kar raha tha. Jab price upper channels tak pahuncha, neeche ki taraf bounce hua aur price peak banaya, toh price ko neeche ki taraf correction shuru karni thi. Phir se support milne ke baad, price ne price channels ko upar ki taraf tod diya, aur ab yeh 1.0970 ke aas paas trading kar raha hai, jo price ke liye sabse kareeb ka resistance level hai. Is level ke neeche kharidari karna mumkin hai aur apna target is level ke neeche rakhna chahiye.
                       
                    • #11695 Collapse

                      EURUSD market ki situation dekhi aur H4 time frame ke chart ko use karke analysis ki koshish ki. Yeh kaafi dilchaspi ka sabab tha kyun ke maine dekha ke raat ke market trend mein izafa hone ka mauqa phir se nazar aa raha hai. Yeh ek reversal signal hai jahan guzishta kuch dino mein market mein price movement asal mein sellers ke qabze mein thi jo ke neeche le jane ki koshish kar rahe thay, lekin chart par dekha ja sakta hai ke bearish koshish abhi bhi 1.1004 level se breakout karne mein nakaam rahi hai, jo is haftay support ke taur par istemal ho sakti hai. Iska matlab yeh hai ke agar seller support area ko naheen tod pate, toh trend mein izafa hota rehne ke imkaanat hain Isliye, main ek puri trading plan banaonga taake yeh andaza laga sakuun ke kab price upar ki taraf harakat karna shuru karegi aur agla maqsad kya hoga H4 time frame ke mutabiq. Iske ilaawa, main stochastic oscillator indicator aur support resistance boundary line ki madad bhi istemal kar raha hoon. H4 time frame ke chart par EURUSD ki price movement ne pehle ke bearish correction candlestick ki shape se reversal signal dikhaya hai. Hum daily timeframe mein monitor kar sakte hain ke guzishta hafte ke trading session mein buyers bullish trend ko continue na kar sake kyun ke sellers ke pressure ke waja se market correction ke liye neeche ki taraf chal gayi Is haftay ki bearish koshish asal mein abhi bhi jari hai, lekin guzishta Thursday ko achi buying interest ne candlestick ki position ko behtar banaya aur market ke liye bullish rally ka rasta khola, bilkul us trend ki tarah jo August ke aakhir mein tha. Phir stochastics ke saath mazeed analysis se yeh maloom hota hai ke signal line 80 zone tak barh gayi hai, jo market ke phir se izafa hone ke imkaanaat ka tasavvur deta hai. Buyers ke paas aaj bhi EURUSD ki prices ko barhane ke liye momentum mil sakta hai Maujooda market movement abhi bhi 1.1078 ke aas paas static hai. Main khud aaj dopahar se mazeed izafa ke signal ka intezaar kar raha hoon kyun ke abhi tak market transactions mein koi volatility nahi hui hai. Guzishta mahine se benchmark ke mutabiq, wahan par ek mustahkam izafa nazar aa raha hai jo neeche ki taraf corrections ke saath mix hai. Chahe market zyada bullish hi kyon na ho, main intezaar karunga jab tak buyers 1.1096 resistance zone ko breakout kar ke buy signal ko valid na bana le. Aaj ke market movement ka imkaan beech mein hi rahega kyun ke is Friday USD par koi high impact news nahi hai
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                      • #11696 Collapse

                        Euro (EUR) ne Wednesday ko US dollar (USD) ke muqablay mein kamzori dikhayi, jab yeh New York session ke dauran 1.0950 ka eight-week low touch kar gaya. Aham currency pairs ne bhi pressure mehsoos kiya jab US dollar ka taqatwar rujhan barqarar raha, aur US dollar index (DXY) bhi 102.70 ka seven-week high cross kar gaya. Dollar ki yeh taqat umeed ki ja rahi November mein Federal Reserve ke dosray 50 basis point rate cut ke intizaar se thi. Traders ko apne bets revise karne par majboor hona para jab September ke upbeat US non-farm payrolls report ne economic growth aur consumer spending ke downside risks ko kam kar diya. Iske ilawa, Middle East mein barhte hue geopolitical tensions ne dollar ko safe-haven asset ke tor par mazid appeal di.

                        Financial markets ke participants ab umeed karte hain ke Fed is saal ke bache hue do policy meetings mein 25 basis point ka rate cut karega, jaisa ke CME FedWatch tool ke mutabiq bataya gaya hai. Wednesday ko investors ne September ke Federal Open Market Committee (FOMC) meeting ke minutes ko ghore se dekha, jo 18:00 GMT par release hue. FOMC minutes ne sab officials ke interest rates aur economic outlook par views ko convey kiya. September meeting mein tamam Fed members ne 50 basis point ka cut shuru karne par ittefaq kiya, siwaye Michelle Bowman ke jo 25 basis point cut ke haq mein thi.

                        Aage dekhte hue, dollar ke movements ke main drivers US Consumer Price Index (CPI) aur Producer Price Index (PPI) ke September ke data honge, jo Thursday aur Friday ko release honge. Euro ne US dollar ke muqablay mein apni double top position 1.1200 ke qareeb se peeche hat kar 2% se zyada girawat dikhayi, jo iske chhati musalsal positive din ka akhri nishan tha. Price ne short-term uptrend line aur 1.1000 round figure ko break kar diya, jo recent downward correction ko confirm karta hai. Relative Strength Index (RSI) ne neutral threshold 50 ke neeche girawat dikhayi, magar Stochastic yeh indicate kar raha hai ke negative bounce khatam ho chuki hai, kyunki %K aur %D lines ne oversold territory mein bullish crossover form kar liya hai. Agar selling interest barqarar rehta hai, toh market 200-day simple moving average (SMA) ko 1.0870 par retest kar sakta hai, jab ke medium-term uptrend ke qareeb 1.0800 par settle hone ka imkaan hai.



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                        The heart has reasons that reason does not understand."
                        • #11697 Collapse

                          EUR/USD chart ka tajziya kar raha hoon aur is pair ke liye ab tak koi khaas baat nahi hai. Ab chaliye aaj ke chart ki baat karte hain jo is time frame mein tayar kiya gaya hai. EUR/USD is waqt 1.0973 par trade kar raha hai. Is chart par, girawat ab bhi market par qabza rakhti hai. Is liye, candlestick ki shakal ek sell signal faraham karti hai agle mauqe ke liye. Yeh chart EUR/USD ki price action ko darshata hai. Is chart par, Relative Strength Index (RSI) indicator oversold ki taraf ishara nahi kar raha. Saath hi, lagta hai ke Moving Average Convergence Divergence (MACD) indicator ab bhi neeche ki taraf hai. Is liye, mujhe umeed hai ke EUR/USD neeche ki taraf chalega. Agar hum isay 20-period exponential moving average aur 50-period exponential moving average ke buniyad par tajziya karein, to yeh ab bhi bearish hone ki taraf rujhan rakhta hai. Chart par support aur resistance dekhkar market structure ko samajhna asan hai.

                          Price 1.0895 se upar hai aur 1.003 par resistance ka tajziya kar raha hai, jo pehla level hai. Agar yeh koshish kaamyab hoti hai, to price agle resistance ki taraf 1.1091 ki taraf chalega, jo doosra level hai. Agar 1.1091 par resistance ko tod diya jata hai, to price 1.1213 par resistance ki taraf barhega, jo teesra level hai. Doosri taraf, neeche ki taraf harkat ka reference point local support level hoga, jo 1.0895 par hai. Market price aane wale dinon mein naye support level bana sakti hai. Agar aisa hota hai, to market price ka agla target 1.0777 hoga. Iske baad, mujhe ummeed hai ke aur neeche ki taraf movement hogi, takreeban support level tak, jo 1.0101 par hai, jo teesra support level hai. Buyers aur sellers ne is hafte EUR/USD time frame par kaafi productive hafta guzarha hai



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                          • #11698 Collapse

                            EURUSD market ki situation dekhi aur H4 time frame ke chart ko use karke analysis ki koshish ki. Yeh kaafi dilchaspi ka sabab tha kyun ke maine dekha ke raat ke market trend mein izafa hone ka mauqa phir se nazar aa raha hai. Yeh ek reversal signal hai jahan guzishta kuch dino mein market mein price movement asal mein sellers ke qabze mein thi jo ke neeche le jane ki koshish kar rahe thay, lekin chart par dekha ja sakta hai ke bearish koshish abhi bhi 1.1004 level se breakout karne mein nakaam rahi hai, jo is haftay support ke taur par istemal ho sakti hai. Iska matlab yeh hai ke agar seller support area ko naheen tod pate, toh trend mein izafa hota rehne ke imkaanat hain Isliye, main ek puri trading plan banaonga taake yeh andaza laga sakuun ke kab price upar ki taraf harakat karna shuru karegi aur agla maqsad kya hoga H4 time frame ke mutabiq. Iske ilaawa, main stochastic oscillator indicator aur support resistance boundary line ki madad bhi istemal kar raha hoon. H4 time frame ke chart par EURUSD ki price movement ne pehle ke bearish correction candlestick ki shape se reversal signal dikhaya hai. Hum daily timeframe mein monitor kar sakte hain ke guzishta hafte ke trading session mein buyers bullish trend ko continue na kar sake kyun ke sellers ke pressure ke waja se market correction ke liye neeche ki taraf chal gayi Is haftay ki bearish koshish asal mein abhi bhi jari hai, lekin guzishta Thursday ko achi buying interest ne candlestick ki position ko behtar banaya aur market ke liye bullish rally ka rasta khola, bilkul us trend ki tarah jo August ke aakhir mein tha. Phir stochastics ke saath mazeed analysis se yeh maloom hota hai ke signal line 80 zone tak barh gayi hai, jo market ke phir se izafa hone ke imkaanaat ka tasavvur deta hai. Buyers ke paas aaj bhi EURUSD ki prices ko barhane ke liye momentum mil sakta hai Maujooda market movement abhi bhi 1.1078 ke aas paas static hai. Main khud aaj dopahar se mazeed izafa ke signal ka intezaar kar raha hoon kyun ke abhi tak market transactions mein koi volatility nahi hui hai. Guzishta mahine se benchmark ke mutabiq, wahan par ek mustahkam izafa nazar aa raha hai jo neeche ki taraf corrections ke saath mix hai. Chahe market zyada bullish hi kyon na ho, main intezaar karunga jab tak buyers 1.1096 resistance zone ko breakout kar ke buy signal ko valid na bana le. Aaj ke market movement ka imkaan beech mein hi rahega kyun ke is Friday USD par koi high impact news nahi hai Click image for larger version

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                            • #11699 Collapse

                              data par mabni hoga, jo ke is hafte kafi ziada release kiya ja raha hai. Magar, Monday aur Tuesday ko market mein koi bara khabar nahi tha. Market ka intezar FOMC Meeting Minutes ka hai, jo ke Wednesday ko ho gi, aur yeh USD ke movement ke liye is hafte ek ahem factor hoga. Yeh mumkin hai ke hafte ke shuru se Wednesday tak market USD ke bullish movement ko support karay, is liye hamein jaldi mein koi position open karne ki zaroorat nahi, balkay ek mazboot signal ka intezar karna chahiye. Digar khabron mein ziada focus inflation data par hai, jabke US aur duniya mein inflation kam ho rahi hai aur zyada control mein hai, is liye mere khayal mein inka market par koi khas asar nahi hoga. Daily basis par dekha jaye to yeh pair Purple EMA100 trend line par ruk gaya hai jo ke 1.0950 ke fresh demand area ke sath match kar raha hai, jo ke blue rang mein mark hai. Pehla reaction buyers ki taraf se hai jisme price ko bounce karne ka potential hai. Magar agar buyers ki taqat ziada nahi hui, to mere khayal mein price Red EMA200 ki taraf giray ga. Is upward correction ka potential ek re-entry sell setup bhi bana sakta hai, kyun ke kal ke closing candle ne thora lower BB ko penetrate kiya hai, jo dikhata hai ke sellers ki taqat mazboot hai aur abhi bhi dominate kar rahe hain. Buy option ab kiya ja sakta hai, magar limited profit target ke sath, jo ke yellow hidden supply ke ird gird hai jo ke 1.1011 ke price level par hai. Yeh yellow supply area ainday mein ek key level hoga, kyun ke agar isay penetrate kiya gaya to middle BB ki taraf barhawa aa sakta hai. H4 base par price action ka interesting tasveer nazar aa raha hai, jahan ek buy momentum candlestick bana hai, is liye price ke barhne ka potential hai aur yeh MA5/MA10 High H4 area mein re-entry sell setup banayega, jo ke green rectangle range mein hai 1.0982 - 1.1000 ke price par. Magar yeh correction middle BB se ooper tak bhi ja sakta hai agar M15 aur H1 bases mein baad mein buy momentum banay. Agar yeh CSM BUY form hota hai, to yeh green resistance automatically support ya RBS ban jaye ga, aur hum isay buy position ke liye use kar sakte hain agar price is ke upar rhta hai. Magar agar strong rejection aata hai, to price pehlay lower se bhi zyada gir sakta hai, kyun ke daily timeframe ki base par girne ka room abhi bhi khula hai Daily Red EMA200 tak jo ke 1.0900 ke price par hai. mein market mein price movement asal mein sellers ke qabze mein thi jo ke neeche le jane ki koshish kar rahe thay, lekin chart par dekha ja sakta hai ke bearish koshish abhi bhi 1.1004 level se breakout karne mein nakaam rahi hai, jo is haftay support ke taur par istemal ho sakti hai. Iska matlab yeh hai ke agar seller support area ko naheen tod pate, toh trend mein izafa hota rehne ke imkaanat hain Isliye, main ek puri trading plan banaonga taake yeh andaza laga sakuun ke kab price upar ki taraf harakat karna shuru karegi aur agla maqsad kya hoga H4 time frame ke mutabiq. Iske ilaawa, main stochastic oscillator indicator aur support resistance boundary line ki madad bhi istemal kar raha hoon. H4 time frame ke chart par EURUSD ki price movement ne pehle ke bearish correction candlestick ki shape se reversal signal dikhaya hai. Hum daily timeframe mein monitor kar sakte hain ke guzishta hafte ke trading session mein buyers bullish trend ko continue na kar sake kyun ke sellers ke pressure ke waja se market correction ke liye neeche ki taraf chal gayi Is haftay ki bearish koshish asal mein abhi bhi jari hai, lekin guzishta Thursday ko achi buying interest ne candlestick ki position ko behtar banaya aur market ke liye bullish rally ka rasta khola, bilkul us trend ki tarah jo August ke aakhir mein tha. Phir stochastics ke saath mazeed analysis se yeh maloom hota hai ke signal line 80 zone tak barh gayi hai, jo market ke phir se izafa hone ke imkaanaat ka tasavvur deta hai. Buyers ke paas aaj bhi EURUSD ki prices ko barhane ke liye momentum mil sakta hai Maujooda market movement abhi bhi 1.1078 ke aas paas static hai. Main khud aaj dopahar se mazeed izafa ke signal ka intezaar kar raha hoon kyun ke abhi tak market transactions mein koi volatility nahi hui hai. Guzishta mahine se benchmark ke mutabiq, wahan par ek mustahkam izafa nazar aa raha hai jo neeche ki taraf corrections ke saath mix hai. Chahe market zyada bullish hi kyon na ho, main intezaar karunga jab tak buyers 1.1096 resistance zone ko breakout kar ke buy signal ko valid na bana le. Aaj ke market movement ka imkaan beech mein hi rahega kyun ke is
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                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #11700 Collapse

                                everyone! EUR/USD currency pair ko dekh kar mein kuch yeh observe kar raha hoon: M15 chart par linear regression channel upar ki taraf slope kar raha hai, jo market mein strong buying pressure ko zahir karta hai. Buyers ki activity ek zabardast buying opportunity ka ishara karti hai, khaaskar jab price lower channel boundary 1.11914 par hoti hai. Agla andaza hai ke market 1.12151 ke level tak rise karega, jiske baad ek correction ki umeed hai. Yeh correction lower boundary ki taraf hoga, jahan se dobara buying opportunities consider ki ja sakti hain. Agar price is level se neeche break karti hai, toh hum further girawat dekh sakte hain, aur aise mein buying positions cancel kar di jayengi. Market channels ke sath grow karta hai jab wo upar ki taraf dekh raha ho. Sales ki umeed upper channel boundary 1.12151 se hai, jahan entry ka mauqa ho sakta hai. Mere liye zaroori hai ke main pullback par entry karun, jitna ho sake lower boundary ke qareeb. H1 higher timeframe ko analyze karte hue, mujhe dikhai deta hai ke linear regression channel upward slope mein hai. Mere liye yeh M15 se zyada ahmiyat rakhta hai, kyun ke yeh strong bullish sentiment ko dikhata hai. M15 channel se jo signal mila, wo buying ka mashwara deta hai, jo meri buying ki desire ko reinforce karta hai. Bas mujhe sahi level par price ka intizaar karna hai aur wahan se buying opportunity dekhni hai. Jis jagah par mein buying opportunities dekh raha hoon wo current situation mein lower channel boundary 1.10973 par hai. Wahan se, mein dobara buy karne ki koshish karunga taake 1.12036 tak ka target achieve ho. Agar yeh target achieve hota hai, toh yeh strong upward movement ka ishara hoga. 1.12036 se ek correction ki umeed hai, kyun ke bullish movement select ki gayi hai. Bulls dobara apne movement ko restore karne ki koshish karenge. Agar entry point 1.10973 par breach hoti hai neeche ki taraf, toh yeh bearish interest ka sign hai. Aise mein, buying ka trading plan reconsider karna aur market situation ko dobara assess karna zaroori hoga. Eurodollar ka shape ab ek triangle ke jese lagta hai, jisme ek wedge bhi shamil hai. Haan, wahan par jo shandar shadow hai, wo image ko kharab karne ki salahiyat rakhta hai, lekin agar price uss direction mein nahi jata, phir bhi upper trend neeche rahega. Main dusri baar 1.1001 level ko test karne ka mauqa dekhoonga. Dollar ki value kam hone ki wajah se pair ko upar jane ki zarurat hai. Ab kyunke main kisi bhi indicators par reliance nahi karta, technically mere liye kuch specify karna mushkil hai. Bas mein sirf figures sketch karta hoon. EUR/USD pair waqai 1.12 ke round mark ko paar kar leta hai aur upar barhta hai.


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