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  • #9151 Collapse

    Subah bakhair dosto!
    EUR/USD ki taraf nazar dalte hain. Bechne walay EUR/USD apni qeemat mein kamiyabi ke raste par hain, jis se unka qeemat kal 1.0842 zone tak pohanch gaya tha. Is harkat ki barayi mein mainly US dollar ki taqat thi jo European Euro ke khilaf thi. Is ke ilawa, German aur French Flash data behtar ho sakta tha, jo EUR/USD pair par neechay dabao barhata hai. Is natijay mein market aaj bhi bechne walon ke rukh mein reh sakta hai. Wo aane wali ghanton mein ya iss haftay ke khatam hone se pehle 1.0800 zone ko guzar sakte hain, jo mojooda bearish sentiment ko reflect karta hai.

    Aakhirkaar, mein chhotay arsay ke trading ke liye 1.0875 ke short target ke saath aik khareedari order pasand karta hoon. Ye strategy market mein potential rebounds aur chhote sudharat ka faida uthati hai. Lekin, risk ko effectively manage karne ke liye stop loss lagana zaroori hai. Stop loss lagana market ke girne par nuqsanat ko kam karne mein madad deta hai. Is ke ilawa, US trading zone shuru hone se pehle market se nikalne ki mashwara di jati hai, kyunki is daur mein barhta hua volatility anjaan qeemat ke harkaton ko paida kar sakta hai.

    Overall, EUR/USD market ke dynamics mukhtalif factors jaise economic data releases aur geopolitical events se mutasir hote hain. Is liye maqami aur tajziati khabron aur trends ke mutabiq trading decisions lene ke liye updated rehna zaroori hai. Market ko qareeb se nigrani mein rakhna traders ko conditions ke mutabiq apni strategies adjust karne aur potential fayde hasil karne mein madad deta hai.

    Aakhir mein, jabke EUR/USD market abhi bechne walon ke faidemand hai, lekin chhotay arsay ke khareedari orders ke liye 1.0875 zone mein bhi moujood hain. Ahem baat ye hai ke robust risk management strategies jaise stop losses istemal karna aur behtareen timing se market se nikalne ka faisla karna hai. Market ke halat ke jawab mein chust aur mustaqil rehkar traders halat ko samajh sakte hain aur price movements se faida utha sakte hain.

    EUR/USD market ke complexities ko tackle karne ke liye aik balance approach zaroori hai, jo cautious optimism aur strategic planning ko jama karke successful trading outcomes hasil karne mein madad deta hai.

    Aap sab ko trading day mubarak ho!

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    • #9152 Collapse

      4 ghantay ki chart par EURUSD pair ki takhliqi analysis
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      Ek naye bechnay ka mauqa 4 ghantay ki chart par, ek haftay ke nichle trend ke baad.
      Is haftay mein, qeemat ne keemat ke channels ke nichle simt trading shuru ki aur haftay ki pivot level ke nichle, aik ilaqe par, jahan par qeemat ne sideways movement shuru kiya jis ne keemat ke channels ko neechay torne mein kamyabi hasil ki.
      Channels ko torne ke baad qeemat gir gayi, aur jab haftay ki support level 1.0823 tak pohanchi to us ne upar ki taraf rebound kiya aur channels ko dobara test kiya, aur phir qeemat ne dobara girna shuru kiya, jaisa ke umeed kiya ja raha hai ke 1.0823 ke support ko tor diya jayega aur 1.0776 ke level tak giray ga.
      Is liye, pair par trading ke liye mashwara hai ke is waqt bechna behtar hai, jabke mojooda level bechnay ke liye munasib samjha jata hai jabke stop loss 1.0853 ke level se ooper rakha jaye aur target 1.0776 ke level se ooper rakha jaye.
      Maeeshat ke hawale se, traders aur investors European Central Bank ke anay wale monetary policy review ke umeedwar hain.
      Trading Economics ke data ke mutabiq, market ke tajarbe yeh hain ke ECB ne saal ke ikhtitami tak do martaba interest rates ko cut kiya ja sakta hai, jis mein September se tajarbe ke taur par adjustments shuru hone ke imkaanat hain. Is ke mutabiq, Vice President Luis de Guindos ne ECB ke policy decisions ko guide karne ke liye September mein naye macroeconomic forecasts ki ahmiyat par stress dala.
      European Central Bank ne pichle haftay interest rates ko stable rakha, jaisa ke market ki tawajjah ke mutabiq tha. Unki taraf se, President Christine Lagarde ne yeh bayan diya ke September ke liye monetary policy adjustments ke faislay par abhi bhi kholi hain aur inhe anay wale iqtisadi data aur umeedon par munhasir kiya jayega. Yeh ehtiyati approach ECB ke commitment ko numayan karta hai data-driven decisions ke darmiyan taqatwar iqtisadi halaat ke hawale se.
         
      • #9153 Collapse

        EUR/USD: EUR/USD pair apni nichlay trend ko jari rakhta hai, jo keh rasta hai ke anay walay FOMC meeting tak jari rahe ga. Lekin is bearish movement ke darmiyan, upar ki taraf munasib taqwiyat ka imkan hai. Halqi analysis ke mutabiq, abhi taqreeban 1.0820 aur 1.0815 ke darmiyan ek potential target zone nazar aata hai, jahan par hum aik ulat pher aur aik temporary northward movement dekh sakte hain, jis mein 1.0860 ke aas paas testing mumkin hai. Is retracement ke baad, pair ka yeh imkan hai ke wapas apni girawat mein aa jaye, jis ka potential target dynamic midday support level ke liye hai, jo ke abhi taqreeban 1.0795 ke aas paas projected hai, chote sudharat ke liye majawaz hai.

        FOMC meeting ke taraf dekhte hue, jo ke mahine ke ikhtitami mein hai, market dynamics is ke outcomes aur Federal Reserve ke bayanat par munhasir ho sakte hain. Jabke is meeting se EUR/USD pair ko upar le jane wali bullish reaction ki ummeed hai, lekin yeh natija yaqeenan nahi hai aur is ke qareeban hony wale event ke qareeb nazar rakhte hue careful monitoring aur analysis zaroori hai.

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        Ikhtisar mein, mojooda manzar ke mutabiq EUR/USD pair ke liye ek bearish trend FOMC meeting tak muntashir hai, jis ke darmiyan upar ki taraf possible retracements bhi ho sakte hain. Traders 1.0820 - 1.0815 aur 1.0860 ke aas paas potential reversal points par nazar rakhte hain, jabke downside targets 1.0795 ke qareeb jari rahe sakte hain. FOMC meeting aik muhim event hai jo market sentiment aur direction par asar andaz ho sakta hai, jis se traders ko further developments aur trading strategies mein adjust hone ke liye mushwarah dete hain.

        Aaj, novice traders ko 1.08638-1.0883 area se trading karne ki koshish kar sakte hain. Aaj kuch ahem events hone wale hain, jin mein se kuch zaroori bhi hain. Quotes mein izafa ho sakta hai, is ke baad giravat ho sakti hai, agle steps ke intezar karte hain.
           
        • #9154 Collapse

          Chand ghanton ke dauran, channel line ne keemat ke liye mazboot sahulat ka kaam kiya hai, jis ne aik double bottom pattern ki shakal mein ikhtiyar kiya hai. Is se zahir hota hai ke keemat mein aik possible upar ki harkat ke imkanat hain. Is natijay ke mutabiq, keemat ki tawaqo yeh hai ke haftay ki pivot level ki taraf uthaye jaye. Maqsad yeh hai ke is level ko tor kar is ke ooper mazbuti hasil ki jaye, jis se 1.0930 ke resistance level ko nishana banaya jaye.
          Lekin, yeh bhi mumkin hai ke keemat haftay ki pivot level se neechay gir kar dobara channel lines ki taraf laut jaye. Is manzar ke zahir hone par, chart par dono khareedari aur farokht ki levels ko pehchana gaya hai, jinhe arrows se mark kiya gaya hai taake potential entry points ko zahir kiya ja sake.


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          Ek khareedari mauqa uthta hai jab keemat channel lines tak gir kar phir upar ki taraf lautti hai. Yeh strategy channel lines dwara farahmi mazboot sahulat ka faida uthati hai, jahan keemat ko is level ko chu kar dobara upar uthne ki tawaqo rakhi jati hai. Traders is upar ki taraf rukh karne ki ummeed ke saath khareedari positions mein dakhil ho sakte hain.

          Ek aur khareedari mauqa saamne aata hai agar keemat safaltapurvak haftay ki pivot point 1.0900 ke ooper tor deti hai. Jab keemat is level ko paar karti hai, to is ki upar ki taraf musarati jaari rahne ki tawaqo hoti hai, jis se 1.0930 ke resistance level ko nishana banaya jata hai. Is tor par break ke baad khareedari positions mein dakhil hona faida mand ho sakta hai, kyunki yeh upar ki taraf rehne wale trend ke saath milta julta hai.

          Ikhtisar mein, mojooda market sharaait mein do potential khareedari strategies maujood hain: aik jo keemat channel lines se rebound karne par munhasir hai aur doosri jo haftay ki pivot point ke ooper breakout par munhasir hai. Traders ko in levels ko nazdeek se nigrani mein rakhna chahiye aur munasib positions mein dakhil hone ke liye tayar rehna chahiye. Dono strategies ka maqsad chart par pehchayi gayi sahulat aur resistance levels se faida uthana hai. Apni dakhli timings ko hoshiyarana se tarteeb denay se, traders market ke isharat se munafa hasil karne ke imkanaat ko barha sakte hain.
           
          • #9155 Collapse

            Jumeraat ko Euro ne US Dollar ke muqable mein zyada maqbooliyat haasil ki, aur EUR/USD currency pair ne 1.0850 ka mark paar kar liya. Ye harkat zyada tar US Dollar Index ki kami ki wajah se hui, halanke US core Personal Consumption Expenditures (PCE) inflation data June ke liye umeed se zyada garam aayi. PCE report ke mutabiq, saalana core inflation 2.6% tak barh gaya, jo ke 2.5% ke tajwez se zyada hai, aur mahine ke hisaab se 0.2% tak barh gaya, jo ke pichle mahine ke 0.1% se zyada hai.

            PCE data Federal Reserve ka pasandeeda inflation gauge hai aur ye chalti hui inflationary pressures ko zahir karta hai, jo ke qareeb future mein interest rate cut ke maqam ko kam kar raha hai. Jabke bazaar ki umeedain September mein rate reduction ki taraf thi, lagta hai ke barhti hui inflation in umeedon ko thanda kar rahi hai. Federal Reserve ka agla monetary policy meeting Wednesday ko hai, jo ke central bank ke future rate decisions ke bare mein raushan daal sakti hai.

            PCE data release ke baad, EUR/USD pair shuru mein 1.0860 ke aas-paas barh gaya, lekin phir wapas aagaya. Daily chart par symmetrical triangle pattern banne ke bawajood, agle dinon mein muqammi jhunjhalat ki ummeed hai. Agar 20-day Exponential Moving Average (EMA) jo ke 1.0840 par hai, ke neeche girti hai to niche ke risk barh sakte hain, jahan key support levels 1.0800 aur 1.0700 hain. Is ke muqable, 1.0900 ka level Euro ke liye ek ahem resistance point hai. 14-day Relative Strength Index (RSI) wapas neutral level par aa gaya hai, jo ke bullish momentum ki kami ko reflect karta hai.

            Aam taur par, recent Euro gains zyada tar US Dollar ki kamzori ki wajah se hain, na ke Eurozone ke strong fundamentals ki wajah se. Bazaar ki nazar ab Federal Reserve ke policy decision aur uske baad ke guidance par hai, jo future rate expectations aur US Dollar ke future trajectory ko mutasir karegi.
               
            • #9156 Collapse

              Achha Saturday!

              Jumeraat ko trading ke khatam hone par EUR/USD currency pair mein koi zyada tabdeeli nazar nahi aayi aur yeh pair sideways trade kar raha hai support level 1.0825 aur resistance level 1.0870 ke beech. Trading session ke aakhir mein bearish four-hour candle ke saath session khatam hua, jo ke 8th figure ke mid-point ko test karne ka aim rakhti hai.

              Magar yeh zaroori hai ke four-hour chart par EUR/USD quotes ab bhi downtrend mein hain aur agar 1.0930 ke neeche break hota hai aur ek nai bearish candle khulti hai, toh girawat tez ho sakti hai. Aise mein bears ka maqsad niche ki taraf 1.0800 ke round level ko test karna hoga aur shayad 8th figure ke neeche bhi break karna hoga.

              Technical nazariya se dekha jaye toh trading session ke aakhir mein pair 14-period moving average ko neeche ki taraf test kar raha hai, TMA indicator ke median aur Ichimoku Cloud ke lower boundary ke neeche trade kar raha hai. Isliye, ye mumkin hai ke current levels se EUR/USD pair girna shuru ho jaye.

              Agar hum baat karein possible future movements ki, toh agar price opening par thoda sa bhi bounce karti hai lekin 1.0875 ke level ko cross nahi karti, toh iske baad hum wohi bearish trend dekh sakte hain jo ke meri screen par left se right ke second scenario mein dikhayi gayi hai. Yeh baat zaroori hai ke traders nazar rakhein ke market ka mood kis direction mein ja raha hai, aur kisi bhi significant movement ke liye tayyar rahein.

              Jab tak EUR/USD pair 1.0870 se neeche trade karta rahega aur 1.0825 ke support level ko test karta rahega, bearish pressure barqarar rahega. Isliye, aane wale dino mein market ki halat aur technical indicators ki monitoring zaroori hai taake timely decisions liye ja sakein.
                 
              Last edited by ; 28-07-2024, 01:32 PM.
              • #9157 Collapse

                Currency pair ne Friday ke New York session mein achi recovery dekhi, jo ke recent decline ke baad aayi thi, jo ise 1.0870 ke nazdeek le aayi thi. Yeh pair support mila jab US Dollar (USD) ne correction dekha aur June ke liye US core Personal Consumption Expenditures (PCE) Price Index data ke aas-paas uncertainty ka samna kiya. Yeh data inflation trends ko samajhne mein madad dega aur Federal Reserve (Fed) ke future policy decisions ko influence karega.
                EUR/USD ke Fundamentals:

                Critical resistance level 106.10 ko todne ki koshish ko resistance ka saamna karna pada, jo key economic data releases ke aage market ke hesitant hone ko reflect karta hai. Agar inflation figures expected se kam aati hain, to Fed ke rate cuts ke expectations badh sakti hain, jo aam tor par USD par downward pressure daalti hain. Wahi, agar economic indicators strong rahe, to Fed ke zyada restrained stance ka prospect barh sakta hai.

                Market consensus filhal yeh hai ke Fed September mein interest rate cuts shuru kar sakta hai, aur baad mein aur cuts bhi ho sakte hain. Yeh cautious optimism broader concerns ko highlight karta hai jo Fed aur European Central Bank (ECB) ke beech policy divergences ko lekar hain. Investors in divergences ko closely monitor karte hain, jo major currency pairs jaise EUR/USD ki relative strength ko impact karta hai.

                Daily Time Frame Technical Outlook:

                Pair ko foran technical challenges ka samna karna pad raha hai. Key resistance levels mein 14-day Exponential Moving Average (EMA) 1.0855 aur recent range ke upper boundary 1.0870 ke aas-paas hain. Agar in levels ke upar decisive breakout hota hai, to further upside ki raah khul sakti hai jo descending channel ke upper boundary ke 1.0880 ke aas-paas tak pahunch sakti hai, aur shayad psychological barrier 1.0900 tak bhi target kar sakti hai.

                Technical tor par, EUR/USD consolidation phase ko navigate kar raha hai, jo daily candlestick patterns mein nazar aata hai. Pair descending channel ke andar oscillate kar raha hai, aur underlying support bearish side ke 200-day Exponential Moving Average (EMA) ke aas-paas 1.0816


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                • #9158 Collapse

                  Hello doston, kaise hain aap? EUR/USD ne doosre consecutive din mein progress kiya aur Tuesday ke early European session mein 1.0900 ke qareeb trade kiya. Daily chart ki analysis se pata chalta hai ke bullish trend mein kamzori nazar aa rahi hai, kyun ke pair ascending channel ke neeche hai. EUR/USD ke liye aage ki upside resistance July high 1.0948 (July 17) par ho sakti hai, uske baad March high 1.0981 (March 8) aur key level 1.1000. Agar bears control mein aa gaye to pair 200-day SMA 1.0813 tak pahunch sakta hai, phir June low 1.0666 (June 26) ki taraf ja sakta hai. May low 1.0649 (May 1) ki loss se 2024 low 1.0601 (April 16) tak ja sakta hai. Badi picture dekhte hue lagta hai ke agar pair 200-day SMA ke upar trade karta rahe to mazeed gains ki ummeed hai.
                  4-hour chart abhi temporary stability dikhata hai. Lekin initial resistance 1.0948 hai, jo 1.0981 aur 1.1000 se pehle aata hai. Dusri taraf, 100-SMA 1.0838 pe hai, phir 200-SMA 1.0793 pe aur phir 1.0709 pe. Relative Strength Index (RSI) 48 ke aas paas improve hua hai. US dollar ne Monday ko thoda sa retreat kiya, jiske baad USD index 104.30 ke qareeb raha, jabki US yields various timeframes par solid rebound kiya.

                  Is ke jawab mein, EUR/USD ne apne do din ke pullback ko kam kiya aur 1.0900 barrier ko revisit kiya, lekin move mein conviction kam lag raha hai aur upside FX space mein volatility ke broad-based absence ke bich. Yields US aur Germany mein badhe hain ek US political landscape ke shift ke baad, jabki ECB board member P Kazmir ne saal ke baqi hisse ke liye do aur rate cuts ki salah di hai agar data in decisions ko support kare. Fed ke aas paas support mein, September interest rate cut fully priced in lag raha hai, jabki investors December mein ek aur rate cut dekh rahe hain. Meanwhile, Eurozone economic recovery ke prospects aur key US economic indicators mein thanda pan dekhne se monetary policy ke ongoing divergence ko kam kiya ja sakta hai, occasionally EUR/USD pair ko near term mein support de sakti hai. Rising expectations of Fed interest rate cut ke saath yeh approach traction gain kar raha hai

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                  • #9159 Collapse

                    Analysis of the EUR/USD Currency Pair: Current Trends and Future Projections

                    Current Market Situation

                    Abhi, EUR/USD currency pair 1.0849 par hai aur bearish trend ko continue kar raha hai. Yeh downward momentum mukhtalif factors ki wajah se hai, jaise ke economic indicators, geopolitical events, aur market sentiment. Bearish trend yeh show karta hai ke euro US dollar ke against weaken ho raha hai, jo ke US economy ki relative strength, interest rate differentials, aur doosray macroeconomic variables ki wajah se hai.

                    Factors Contributing to the Bearish Trend
                    1. Economic Indicators: Recent economic data Eurozone se slower growth aur weaker economic performance ko show karte hain compared to the United States. Key indicators jaise ke GDP growth rates, unemployment figures, aur manufacturing output expectations ko meet nahi kar sake, jo euro par pressure dal rahe hain.
                    2. Monetary Policy: European Central Bank (ECB) ne relatively dovish stance rakha hua hai compared to the US Federal Reserve. Jabke Fed ne inflation ko combat karne ke liye interest rates ko aggressively raise kiya hai, ECB ne cautious approach rakha hai, jo interest rate differential ko widen kar raha hai jo US dollar ke favor mein hai.
                    3. Geopolitical Tensions: Ongoing geopolitical tensions, including Russia-Ukraine conflict se related, uncertainty aur risk aversion ko market mein create kar rahe hain. Aise waqt mein investors safe-haven assets jaise ke US dollar mein flock karte hain, jo euro ko further weaken karta hai.
                    Potential for a Big Movement

                    Current bearish trend ke bawajood, kuch reasons hain jo yeh suggest karte hain ke EUR/USD mein significant movement aasakta hai aane wale dino mein. Kai factors is potential volatility mein contribute kar sakte hain:
                    1. Economic Data Releases: Upcoming economic data releases, dono Eurozone aur United States se, EUR/USD pair par substantial impact dal sakte hain. Stronger-than-expected data Eurozone se investor confidence ko boost kar sakta hai euro mein, jabke disappointing US data dollar ko weaken kar sakta hai, jo pair mein reversal ya sharp movement lead kar sakta hai.
                    2. Central Bank Actions: Koi bhi unexpected actions ya statements ECB ya Fed se significant market reactions lead kar sakte hain. Agar ECB hint de ke wo zyada aggressive monetary policy stance le rahe hain ya Fed rate hikes mein pause ka signal de to yeh EUR/USD market mein strong response trigger kar sakta hai.
                    3. Geopolitical Developments: Geopolitical landscape mein changes, jaise ke Russia-Ukraine conflict ka resolution ya new trade agreements, market volatility ko increase kar sakte hain. Positive developments in areas euro ko strengthen kar sakte hain, jabke negative news isay further weaken kar sakti hain.
                    4. Market Sentiment: Market sentiment currency movements mein crucial role play karta hai. Agar investors yeh believe karna shuru karein ke euro undervalued hai, to increased buying pressure dekhne ko mil sakta hai, jo EUR/USD pair mein significant movement lead kar sakta hai.
                    Technical Analysis

                    Technical perspective se, EUR/USD pair currently key moving averages ke neeche trade kar raha hai, jo ek bearish trend ko indicate karta hai. Magar, technical indicators jaise ke Relative Strength Index (RSI) aur Moving Average Convergence Divergence (MACD) potential reversals ya trend continuations ke insights de sakte hain.
                    • Support aur Resistance Levels: Key support levels jo watch karne chahiye woh 1.0800 ke aas paas hain, jabke resistance levels 1.0900 ke near hain. Agar support level ke neeche break hota hai to further downside signal kar sakta hai, jabke resistance level ke upar move ek bullish reversal ko indicate kar sakta hai.
                    • Trend Lines aur Patterns: Trend lines aur chart patterns ko observe karna, jaise ke head and shoulders ya double bottoms, potential market movements ke additional clues provide kar sakte hain.

                    Conclusion

                    Jabke EUR/USD currency pair currently bearish trend ko experience kar raha hai, kai factors significant movement mein contribute kar sakte hain near future mein. Economic data releases, central bank actions, geopolitical developments, aur market sentiment sab crucial roles play karte hain currency movements ke direction aur magnitude ko determine karne mein.

                    Traders aur investors ko vigilant rehna chahiye aur key economic indicators aur news events ko closely monitor karna chahiye jo EUR/USD pair par impact dal sakte hain. Informed reh kar aur fundamental aur technical factors ko analyze kar ke, one better navigate kar sakta hai potential volatility aur informed trading decisions le sakta hai.

                    In conclusion, EUR/USD market potential significant movements ke liye poised hai, aur latest developments ke sath updated rehna essential hoga taake in opportunities ko capitalize kiya ja sake.


                       
                    • #9160 Collapse

                      EUR/USD Analysis

                      EUR/USD pair apni downward trend continue kar raha hai, jo ke likely hai ke upcoming FOMC meeting tak jaari rahegi. Lekin, is bearish movement ke beech, upside ki taraf anticipated retracements hain. Meri analysis suggest karti hai ke ek potential target zone 1.0820 aur 1.0815 ke beech hai, jahan hum ek reversal aur temporary move northward dekh sakte hain, jo 1.0860 ke around test kar sakta hai. Is retracement ke baad, expect kiya ja raha hai ke pair apni decline resume karega, jo dynamic midday support level ko target kar sakta hai, jo abhi 1.0795 ke around projected hai, lekin minor adjustments ka subject ho sakta hai.

                      Aage dekhte hue FOMC meeting, jo mahine ke aakhir mein scheduled hai, market dynamics ko shift kar sakta hai based on outcomes aur statements from the Federal Reserve. Halanki speculation hai ke meeting ek bullish reaction trigger kar sakti hai jo EUR/USD pair ko upar le jaye, lekin ye outcome assured nahi hai aur is event ke nazdeek careful monitoring aur analysis ki zaroorat hogi.



                      Summary of EUR/USD Outlook

                      EUR/USD pair ke liye current outlook FOMC meeting tak bearish trend suggest karta hai, lekin beech-beech mein possible retracements ho sakti hain jo higher levels tak ja sakti hain. Traders 1.0820 - 1.0815 aur 1.0860 ke around potential reversal points ko dekh rahe hain, jabke downside targets potentially 1.0795 ke vicinity tak extend ho sakte hain.

                      FOMC meeting ek pivotal event hai jo market sentiment aur direction ko influence kar sakta hai, isliye traders ko further developments ke liye vigilant rehna chahiye aur apni trading strategies accordingly adjust karni chahiye. Monday ko novice traders 1.08638-1.0883 area se trading karne ki koshish kar sakte hain. Aaj kuch important events honge, lekin kam se kam kuch toh hain. Quotes upar ja sakte hain, uske baad decline bhi ho sakta hai; dekhte hain aage kya hota hai.

                         
                      • #9161 Collapse

                        EURUSD ki price 1.0910 ke level ki taraf correction kar rahi hogi. Lekin, dekha gaya hai ke price is level ke neeche hi bani hui hai. Yeh is baat ko darshata hai ke mera forecast sahi nahi hua. Halankeh, 1.0910 ka level abhi bhi relevant hai aur iski taraf ek baar phir se dekhne ki zaroorat hai.
                        Ek aur level jo hamare liye maayne rakhta hai wo hai 1.0940. Is level par humne ek "shark" formation dekha hai, jo aam tor par reversal ki nishani hoti hai. Yeh formation market ki direction ko palatne ke ishaare de sakta hai, aur isliye 1.0940 ka level bhi ek strategic point hai.
                        Mera purana medium-term chart bhi is waqt relevant hai. Is chart mein ek laal zigzag upar ki taraf number one ke saath chal raha hai, aur mere plans bhi yeh suggest karte hain ke zigzag upar ki taraf smoothly transition hota rahega. Lekin, yeh sellers ke liye ek nuksaan hai kyunki price kafi der se neeche ja rahi hai aur zigzag upar ki taraf abhi tak form nahi hua. Aam tor par, yeh situation fakeout ka indication hota hai, jiska matlab hai ke zigzag neeche ki taraf number two ko chhota karke execute kiya ja sakta hai taake sellers ko confuse kiya ja sake. Ek chhota zigzag sellers ki kamzori ka bhi ishaara hota hai, aur isliye yeh zaroori hai ke sab zigzags ko waqt par execute kiya jaye.
                        EUR/USD
                        Overall, yeh market abhi bhi noisy aur remote hai, jisse kisi bhi taraf zyada excitement dikhana mushkil ho raha hai.
                        Agar euro last week ke shooting star ke top ko break karta hai, toh yeh sentiment mein change ka indication ho sakta hai, jo currency ko 1.10 level ki taraf push kar sakta hai. Dusri taraf, agar yeh 1.08 ke neeche break karta hai, toh euro 1.07 level tak wapas ja sakta hai. Yeh support aur resistance levels ke beech ka oscillation ek market ko indicate karta hai jiska clear direction nahi hai aur jo kai factors se influence ho raha hai.
                        Aam tor par, current period quiet hai, aur euro-dollar pair pichle do saalon se trending mein hai. Yeh relatively weak long-term period broader economic uncertainty aur market participants ke cautious stance ko indicate karta hai. Dono European Central Bank aur Federal Reserve ke is saal ke baad interest rates cut karne ki ummeed hai, jo ek "race to the bottom" scenario create kar raha hai. Aise scenario mein, ek currency doosri se behtar nahi ho sakti, kyunki dono similar pressures ka samna kar rahi hain. Isliye, traders long-term positions lene se reluctant hain aur choti fluctuations ka fayda uthane ke liye short-term trades ko prefer kar rahe hain.
                        Iske ilawa, geopolitical aur economic exposures market sentiment ko influence karte rehte hain, jo noise aur clear direction ki kami ko contribute karte hain. Misal ke taur par, eurozone aur U.S. se aane wale economic reports recent times mein mixed picture present kar rahe hain, jo uncertainty ko barhawa de raha hai. Yeh ongoing uncertainty marketers ke liye definitive trends establish karna mushkil banati hai.


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                        • #9162 Collapse

                          Pichle Jumme ko, pair exchange rate ne early Asian session ke douran ek notable rebound dikhaya, jo DXY ke thode se mazboot hone ki wajah se tha. Market ke band hone tak, pair ka rate lagbhag 1.0855 ke aas-paas tha. Ye harkat mukhtalif economic indicators aur market expectations ke pechida pas-e-manzar ke darmiyan hui.
                          Market Response to US Core PCE Data aur Fed Rate Cut Expectations:

                          American session mein Jumme ko, pair 1.0870 tak chadh gaya US core Personal Consumption Expenditure (PCE) Price Index data ke release hone ke baad. Is report ne yeh dikhaya ke June mein inflation pressures mutawakka se zyada moderate ho gaye hain, core PCE sirf 0.1% mahana aur 2.6% saal dar saal bara. Underlying inflation mein is slowdown se market speculation par asar padega ke Federal Reserve (Fed) interest rate cuts ke liye kya faisla karega.

                          CME FedWatch tool ke mutabiq, is saal ke aakhir tak do rate cuts ki umeed hai. Lekin, recent Fed officials ke signals ne ek zyada conservative approach ko dikhaya, jo latest dot plot ke mutabiq sirf ek rate cut ki nishandahi karti hai.

                          H1 Chart Technical Analysis: Key Support Levels aur RSI Insights for EUR/USD

                          Pair ke 1.0800 ke aas-paas apni current range ke lower end ko test karne ka imkaan hai, jo significant throwback support level bhi hai. Jumme ko, pair ne demand zone ke neeche 1.0850 se bounce karte hue bid dikhayi, aur aakhir kar 200-hour Exponential Moving Average (EMA) 1.0717 tak recover karke, Friday session ke shuru hone tak lagbhag 1.0865 par stable ho gaya.

                          Technical indicators bhi pair ki potential trajectory ke hawalay se insight dete hain. 14-day Relative Strength Index (RSI) abhi 50 level ke neeche consolidate ho raha hai, jo yeh indicate karta hai ke EUR/USD pair consolidation range mein trade kar raha hai 1.0870 aur 1.0840 ke darmiyan.


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                          Jumla nazar mein, pair ki harkat aur technical indicators ka analysis yeh dikhata hai ke EUR/USD pair ek consolidation phase mein hai, jahan support aur resistance levels ko closely monitor karna zaroori hoga.



                             
                          • #9163 Collapse

                            USD-JPY D1 Analysis Chart

                            Ek hafte ke baad, maine USD/JPY ko daily chart par evaluate kiya. Maine ise dekha aur foran 151.88 ka score dekha, jo aapne mention kiya tha. Kyun ke aapka benchmark jis area mein hai, woh ab crucial hai—beshak, yeh dollar-yen ki future priority orientation ka faisla kar raha hai. Hum woh waqt yaad karte hain (bahut recent mein) jab dollar-yen ke do local high the, 151.94 aur 151.91 par. Yeh breach hue aur DY lagbhag 162 tak pahunch gaya. Dusre alfaaz mein, 151.91 ka level ek strong resistance hai jo, agar break ho jaye, toh equally strong support bhi provide kar sakta hai.

                            Pichle Jumme ko, dollar-yen ne ek local minimum dikhaya aur apni boundaries ka naya test kiya. 151.86 par, ek upward reaction mil chuki hai, jo isay downwards jaate hue ek crucial minimum banata hai. Isliye, neeche ke goals ki taraf aage barhne ke liye, USD/JPY currency pair ko is level ko break karna aur iske neeche consolidate karna zaroori hai. Iss surat mein, price ke neeche girne ke liye zyada space ho sakta hai, jo naya goal ho sakta hai, jo imbalance zone ho sakta hai 149.38 aur 150.72 ke darmiyan.

                            Mazid analysis ke liye, maine recent movements aur technical indicators ko bhi dekha hai. Aapki trading strategy ko madde nazar rakhte hue, yeh levels monitor karna aur accordingly action lena zaroori hoga.Dusri khareedne ki mumkinat wajood mein aati hai agar qeemat haftawarana pivot point 1.0900 ke oopar se kaamyabi se guzar jaye.


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                            Last edited by ; 03-08-2024, 01:05 PM.
                            • #9164 Collapse

                              EUR/USD Ka Tajziya

                              Subah bakhair doston!
                              EUR/USD ke bechne walay apni qeemat mein kamiyabi se guzar rahe hain, jis ne kal 1.0842 zone tak pohanch liya tha. Is harkat ki bunyad mukhtalif factors par hai, jin mein US dollar ki quwwat Euro ke khilaf aham kirdar ada kar rahi hai. Mazeed, Jerman aur France ke Flash data behtar ho sakte thay, jo EUR/USD jodi par neechay ki taraf dabao barha raha hai. Is natijay mein, bazaron ka tajarba ye hai ke aaj bhi bechne walon ke haq mein rah sakta hai. Aane walay ghanton ya is haftay ke ikhtitam tak wo 1.0800 zone ko paar kar sakte hain, jo mojooda bearish jazbat ko numayan karta hai. Meri taraf se chhoti muddat ke liye 1.0875 target ke saath khareedari ka hukm hai. Ye tehqiqati tajawuzat aur bazaron mein minor islahat ka faida uthata hai. Lekin ye zaroori hai ke nuqsanat ko control karne ke liye stop loss lagaya jaye. Stop loss laga kar market ke mazeed girne ki soorat mein nuqsanat ko kam karna mumkin hai. Is ke ilawa, US trading zone shuru hone se pehle market se nikalne ka mashwara hai, kyun ke is doran izafi tabdeeliyon ke bais market mein ghaer mutawaazan qeemat ke aamad aati hai. Aam taur par, EUR/USD market ke dynamics mukhtalif factors jaise ke maqami data releases aur siyasi o maali waqiyat se mutasir hote hain. Is liye taza tareen khabron aur trends se mutaliq maloomat hasil karna trading faislon mein aham hai. Bazar ko qareeb se nazar rakhna traders ko istiqdamat ke tabdeeliyon ke jawab mein apni strategies ko tabdeel karne ki ijazat deta hai aur mumkin faida hasil karne ke liye un ke positions ko mustahkam karta hai. Aakhir mein, jabke EUR/USD market abhi bhi bechne walon ke haq mein hai, chhoti muddat ke liye 1.0875 zone ko nishana banane wale khareedari ke liye mojood hain. Asal baat ye hai ke mazboot risk management strategies ka istemal karna zaroori hai, jaise ke stop losses istemal karna aur durust waqt par nikalne ke liye. Market ke halaat ke jawab dein aur qeemat ke aamad mein munfarid harkaton se faida uthane ke liye traders ko mustahiq aur jawabdeh rehna chahiye. EUR/USD market ki complexity ek musawir approach talab karti hai, jo kehtey hain ke hushyaari ke saath strategic planning se kamiyab trading nateeja hasil ho sakta hai.
                              Aapko trading day mein kamyabi mile!

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                              • #9165 Collapse

                                Channel Lines aur Weekly Pivot Point ke Hawale se Trading Strategies

                                Pichle kuch ghanton mein, channel line ne qeemat ke liye mazboot support ka kaam kiya hai, jo ke double bottom pattern ki shakl mein izhaar hua hai. Is se yeh zahir hota hai ke qeemat mein mazeed izafa mumkin hai. Is natijay ke mutabiq, umeed ki jati hai ke qeemat haftawarana pivot level ki taraf barhne ki taraf ja rahi hai. Maqsad yeh hai ke is level ko tor kar is ke oopar qaim ho jaye, jis ka nishana 1.0930 ke resistance level par hai.

                                Lekin yeh bhi mumkin hai ke qeemat haftawarana pivot level se neechay ja kar dobara channel lines ki taraf gir jaye. Is manzar ke zahir hone par, chart par khareedne aur farokht karne ke levels ko pehchan liya gaya hai, jo ke arrows ke zariye dikhaye gaye hain aur potentiya entry points ko zahir karte hain.

                                Ek khareedne ka mouqa tab pesh ata hai jab qeemat channel lines tak gir kar phir se oopar ja rahi hoti hai. Is strategy ka faida channel lines ki mazboot support se uthaya jata hai, jahan se umeed ki jati hai ke qeemat in levels ko chhootne ke baad dobara uthne ki taraf daurayegi. Traders is upward rebound ki umeed mein khareedne ke liye positions mein dakhil ho sakte hain.

                                Dusri khareedne ki mumkinat wajood mein aati hai agar qeemat haftawarana pivot point 1.0900 ke oopar se kaamyabi se guzar jaye. Jab qeemat is level ko paar karti hai, to is ki umeed ki jati hai ke is ka upward trend jaari rahega, jis ka nishana 1.0930 ke resistance level par hai. Is tor par break ke baad khareedne ke positions mein dakhil hona faida mand ho sakta hai, kyun ke yeh upward trend ke saath milta julta hai.

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                                Mukhtasar mein, mojooda bazar ki halat mein do potential khareedne ke strategies mojood hain: ek channel lines se qeemat ka rebound aur doosra haftawarana pivot point se breakout ke upar. Traders ko in levels ko qareeb se nazar andaz karna chahiye aur mutabiq positions mein dakhil hone ke liye tayar rehna chahiye. Dono strategies ka maqsad qeemat mein umeed kiye gaye izafay se faida uthana hai, jo chart par pehchane gaye support aur resistance levels ko leverage karte hain. Apni dakhil hone ki mozu'i timing se traders apni chances ko mazeed barha sakte hain ke bazar ke in harkaton se munafa hasil karen.
                                   

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