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  • #9766 Collapse

    EUR/USD ki price action aur market dynamics ka tajziya:

    Is waqt EUR/USD ki daily timeframe par buyers ka control nazar aa raha hai. Price Upper Bollinger Bands ke qareeb, khaaskar 1.1028 aur 1.1030 ke darmiyan trade kar rahi hai. Buyers is level ko torhne ki koshish kar rahe hain, aur Monday ke trading session mein breakout hone ki umeed hai. Aaj ke trading session ke close par ek strong bullish candle ka ban'na yeh izhar karta hai ke aglay dinon mein aur upward movement ho sakti hai.

    Agar buyers Upper Bollinger Bands ke ooper price ko push karne mein kamiyab ho jate hain, to agla aham target sellers ke supply resistance area ke qareeb, jo ke 1.1100 se 1.1105 ke darmiyan hai, hoga. Yeh level historically sellers ke liye ek bara barrier raha hai.

    Aane wale Monday ko, humein sellers ki taraf se kuch resistance ka samna ho sakta hai, jo ke ek bearish correction ko janam de sakta hai. Aisi surat mein, price neechay gir kar qareebi buyer support area jo ke 1.1015 aur 1.1013 ke darmiyan hai, tak aa sakti hai. Agar yeh support level mazboot rehta hai, to buyers phir se control hasil kar ke price ko wapas ooper push kar sakte hain, aur target kareinge resistance area jo ke 1.1043 aur 1.1045 ke darmiyan hai. Agar yeh resistance level bhi torh diya jata hai, to aur bullish movement ke chances barh sakte hain, aur price sellers ke supply resistance area jo ke 1.1100 se 1.1105 hai, tak pohanch sakti hai.

    H4 Timeframe aur Moving Averages ka tajziya:

    Daily analysis ke ilawa, main EUR/USD pair ko H4 timeframe par 21-period aur 34-period moving averages ke zariye bhi dekh raha hoon. Is waqt, price dono moving averages ke ooper trade kar rahi hai, jo ke bullish trend ka izhar hai. Magar, yeh 1.1047 ke resistance level par pohanch gayi hai, jo ke mazeed upward movement ko rok sakta hai.

    Is surat-e-haal ko dekhte hue, mera khayal hai ke kisi bhi buy order ko enter karne se pehle thori si correction ka intizar karna zyada munasib hoga. Intizar karne se ek behtareen entry point mil sakta hai, jo ke trade mein kamiyabi ke imkanaat ko barha sakta hai.

    Tashreeh:
    **Current Trend aur Resistance Levels:** Price movement yeh darshata hai ke buyers is waqt price ko upar le jane ki koshish kar rahe hain, magar unhein aham resistance levels ka samna hai. Ahm resistances ko critical levels ke tor par identify kiya gaya hai, jahan se trend ka reversal ya continuation ho sakta hai.

    **Potential Scenarios:** Yeh dono bullish scenario (agar buyers resistance torh dete hain) aur bearish scenario (agar sellers resistance barqarar rakhte hain) ka zikar karta hai, jo ke market movements ke mumkinah rujhanat ka balanced view provide karta hai.

    **Support Levels:** Support levels ko identify karna zaroori hai, kyun ke yeh wo maqamat hain jahan se price neechay girne ke baad wapas ooper ja sakti hai. Yeh traders ke liye informed decisions lene mein madadgar hote hain.

    **Moving Averages ka Kirdar:** Moving averages ka istemal trend ko pehchanne aur potential entry points ko identify karne mein madadgar hota hai, jahan price action ko dekhte hue buy ya sell decisions liye jate hain.

    **Trade Strategy

    :** Yahan sabr par zor diya gaya hai, jo ke trading psychology aur strategy development mein ek aham pehlu hai. Correction ka intizar karna aur phir entry lena trading success ko enhance kar sakta hai.

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    • #9767 Collapse

      EUR/USD currency pair mein guzishta hafta k doran notable growth dekhne ko mili, jis ne meri analysis mein upside movement ko prioritize kar diya. Overall trend bullish raha, aur price puray hafta steadily rise hoti rahi, jo ke pair ke liye ek positive outlook ko reinforce karta hai. Ek brief pullback hua jo ke 1.08820 par support level ko test karta hai, magar price is critical threshold ke neeche close nahi hui. Support level par ye resilience mere bullish bias mein aur zyada confidence ka sabab bana.

      Initial momentum Eurozone se aanay wale favorable economic indicators aur relatively weaker U.S. dollar ki wajah se drive hua. Eurozone mein improving economic sentiment, better-than-expected macroeconomic data, aur European Central Bank (ECB) ki hawkish stance Euro ki strength ko contribute karti hai. Doosri taraf, U.S. dollar ko mixed economic data aur Federal Reserve ki cautious approach se headwinds ka samna tha, jis se ECB aur Fed ke monetary policy expectations mein divergence dekhne ko mili.

      Jab price 1.08820 support level ke qareeb aayi, to ek brief uncertainty ka lamha tha, jahan market participants recent gains ki sustainability ko assess kar rahe the. Lekin, support level ne mazbooti se hold kiya, jo ke ek deeper correction ko prevent karta hai, aur instead upward trend ke continuation ka stage set karta hai. Is support ke neeche close na hona ek important technical signal tha, jo bullish trend ki strength ko confirm karta hai.

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      Aage dekhtay huye, mera bias abhi bhi upside ki taraf hai, aur ye kuch factors ki wajah se hai. Pehla, technical indicators, jaise ke moving averages aur trendlines, bullish momentum ko signal kar rahe hain. Iske ilawa, broader economic context bhi ye suggest karta hai ke Euro U.S. dollar ke muqablay mein apni strength maintain kar sakta hai, khas tor par agar ECB tight monetary policy signal karna jari rakhti hai jab ke Fed aik zyada cautious approach apnati hai.

      Magar, ye zaroori hai ke economic conditions ya central bank policies mein kisi bhi tabdeeli par nazar rakhi jaye jo current trend ko alter kar sakti hai. Important levels jinhain dekhna zaroori hai, un mein 1.08820 support shamil hai, jo ke ek critical line in the sand hai, aur potential resistance 1.1000 level ke qareeb ho sakti hai, jahan profit-taking ya increased selling pressure nikal kar aa sakta hai. Overall, EUR/USD pair strength show kar raha hai, aur mera bias firmly near future mein further upside movement ki taraf hai.
         
      • #9768 Collapse

        Moving Average indicator ke zariye Daily time window par monitor karne se yeh nazar aata hai ke price ya candle abhi bhi Yellow MA 200 area ke upar hai, jo ke 1.0840-1.0832 ke aas-paas hai. Yeh is baat ka indication hai ke EurUsd pair market abhi bhi kafi strong bullish trend mein hai, lekin agar sellers resistance area ko maintain karne mein successful rehte hain, to aaj ke trading mein price bearish hone ke chances hain, jiska bearish target buyer’s demand support area ki taraf ho sakta hai, jo ke 1.0892-1.0890 ke aas-paas hai.
        Trading ke Monday subah dekhne ko mila ke sellers ko market mein enter karne mein buyers ke resistance ka saamna karna pad raha hai, jo ke prices ko bullish banaye rakhne ki koshish kar rahe hain, aur sellers ke resistance area ko 1.0924-1.0925 tak pahunchane ka target hai. Agar bullish buyer pressure is resistance area ko break kar deta hai, to EurUsd pair ki price aur upar chalegi aur next target strong seller’s supply resistance area 1.0928-1.0930 ki taraf hoga. Magar agar yeh resistance area bullish rate ko rokne mein successful rehta hai, to sellers is opportunity ka faida utha kar price ko niche push kar sakte hain, aur target buyer support area 1.0910-1.0908 ki taraf hoga.
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        Pichle hafte ke shuruat mein EurUsd ne kaafi gehra decline dekhna shuru kiya, lekin 7 August 2024 se EurUsd ki movement kaafi quiet ho gayi hai. EurUsd ki movement sirf 1.0915 ke price range ke aas-paas hi ghoom rahi hai. 8 August 2024 ko EurUsd ne gir kar apne nazdeek ke support 1.0906 ko break kiya, lekin uske baad price dobara upar chali gayi. Mera ab bhi yeh prediction hai ke EurUsd upar jaayega kyunki candle abhi bhi MA 200 ke upar hai, jo ke trend ko bullish dikhata hai. Agar candle resistance ko break kar deti hai to EurUsd ki price aur bhi zyada badhegi, aur target 1.1020 tak ja sakta hai. H1 support 1.0889 par bhi test ho raha hai. Agar support break ho jata hai to EurUsd niche gir jayega, aur agar support nahi to EurUsd dobara upar jayega.

        Isliye, main recommend karta hoon ke aap pehle sell position kholen, kyunki niche area mein ek demand hai jo abhi tak touch nahi hui, jo ke 1.0805 ke price par hai. Aap take profit target ko nazdeek ke support 1.0794 par rakh sakte hain aur stop loss ko 1.1017 ke aas-paas rakh sakte hain."

           
        • #9769 Collapse



          Euro dhire-dhire upwards ki taraf crawl kar raha hai, sabhi traders ke nerves ko test kar raha hai, dono buyers aur sellers. Sellers decline ka intezar kar rahe hain, aur yeh price fluctuations unhe constantly worry kar rahi hain. Buyers, doosri taraf, impatient hain ki price unke target levels ko reach kare, aur har pullback unke position ko emotional decision-making ki taraf le jata hai. Abhi tak, sab kuch plan ke mutabiq chal raha hai. Humare paas upside ki taraf bahut signals hain, sab higher timeframe par H4 (ya daily) ke hisab se. Hourly timeframe par bhi signal hai aur M15 par bhi. Pehle chart mein, main M15 par discuss kar raha hoon aur socha tha ki yeh kal play out ho jayega. Purple bar level 1.09456 tak precisely is signal ka potential dikha rahi hai. Is signal ki boundaries Fibonacci levels 0.0% aur 100% se mark ki gayi hain. Humare case mein, 100% targets ko represent karta hai, jabki 0.0% risk level 1.08812 par hai. Jab tak yeh levels reach nahi kiye jate, signal idea valid rehta hai. Agar Euro decide karta hai ki deeper pull back kare aur target levels ko reach nahi kar paata, to phir long positions enter karne ki koshish ki ja sakti hai level 1.09026 aur/or 1.08964 se. Pehle case mein, risk-to-reward ratio 1 to 2 hoga, aur doosre case mein, 1 to 3. Currently, humare paas M15 timeframe par sell signal hai. Lekin hum yahan sells mein enter nahi kar rahe. Signal either play out ho sakta hai ya correction ke baad reversal mein badal sakta hai. Agar abhi buys enter kiye jaye, to risk level choose karne mein difficulty hogi. Main ne red rectangles mein fractals mark kiye hain, unke bahut saare hain, aur unclear hai ki kon sa best hai risks ko place karne ke liye. Last one ke peeche try kiya ja sakta hai, jo currently sell signal de raha hai. Agar reversal ho jaye, to residual potential ko capture karne ki possibility hogi short stop-loss ke saath. Lekin correct risk overall is idea mein level 1.08812 ke beyond position hona chahiye. Is liye, yeh humein surprise nahi karna chahiye agar Euro suddenly liquidity grab ka experience kare, levels 1.09026 aur/or 1.08964 ko reach kar ke


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          • #9770 Collapse

            Comprehensive analysis ki buniyad par trading
            EUR/USD
            Assalam Alaikum! Kharidar 1.1080 ki satah se ooper qimat ko aage badhane me nakam rahe hain. Euro/dollar ki jodi filhal 1.1075 ki satah par karobar kar rahi hai. Aaj ke liye sab se zyada imkani scenario European currency ke liye 1.1031 ki support satah tak piche hatne ke liye hai. Is nishan par, 1.1030 ki satah se nihe rakhe gaye stop-loss order ke sath ya to long position kholna mumkin hoga, ya classic scheme ke mutabiq short positions kholne ke liye H1 candlestick ke 1.1030 ke nishan ke niche band hone ka intezar karein. Mai dusre option ko tarjih deta hun. Mai tawaqqo karta hun keh euro/dollar ka joda 1.1030 ki satah se niche fix ho jayega, lehaza mai is nishan se paltaw par long positions kholne ka iradah nahin rakhta hun. Mujhe yaqin hai keh yah joda aaj 1.1030 ke nishan ka test karega.

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            • #9771 Collapse

              EUR/USD Technical Analysis

              Euro ka US Dollar ke muqable mein EUR/USD ka price 1.0922 ke resistance level par ruk gaya hai aur phir se neeche aakar 1.0875 ke aas-paas stable ho gaya hai jab yeh analysis likha ja raha hai. Halankeh Powell ka nazariya pessimistic lag raha hai, lekin euro-dollar is se faida nahi utha pa raha hai. US Federal Reserve ke Chairman Jerome Powell ne apne recent interview mein “dovish” note diya hai, lekin euro ka price in comments se faida nahi utha raha.

              EUR/USD exchange rate 1.0900 ke resistance level ke neeche atka hua hai aur US Federal Reserve ke Governor Powell ke shant alfaaz ke bawajood nahi badh raha, jinhon ne kaha tha ke US inflation ka picture behtar ho raha hai aur labor market zyada balanced hai.

              Powell ne Economic Club Washington, DC ke saath interview mein US ke inflation numbers ke lower-than-expected results ko reflect kiya. Is par comment karte hue, Sam Hill, market insights ke head at Lloyds Bank, kehte hain: “Powell ka nazariya pessimistic tha.” “Yeh Fed ke second quarter ke dauran dekhi gayi data trend ki improvement ko reflect karta hai, khaaskar last teen inflation publications.”

              US dollar aise statements ke liye kam sensitive sabit hua hai. Yeh significant girawat dekhi gayi jab Powell ne 3 July ko ECB's Forum on Central Banking mein kaha tha ke inflation par significant progress hui hai aur disinflation process track par wapas aa gaya hai. Agar labor market “unexpectedly weak” hota hai... toh yeh bhi humein respond karne ko majboor karega, Sintra, Portugal mein kaha. Powell ne yeh bhi dohraaya ke neutral level interest rates ka shayad pehle se zyada hoga, magar policy constrained rahi gi. Is hisaab se, analysts ne add kiya, “Market prices ab is saal ke dauran zyada cuts ki taraf shift kar rahi hain, September se easing cycle shuru hone ke saath aur saal ke dauran kam se kam do cuts, teen cuts ka 60% probability ke saath.”

              Forex market trading ke mutabiq... EUR/USD exchange rate ne yeh bada confidence dekha ke Federal Reserve September mein US interest rates ko cut karega. Lekin agar 1.09 level ko sustain karne mein na kaamyaabi dekhi jaye, to iska matlab yeh ho sakta hai ke cut already “price mein hai.” Iska matlab ho sakta hai ke dollar current levels ke aas-paas consolidate ho jaye aur jo log euro ko mazid strong dekhna chahte hain unhein aur catalysts ka intezar karna padega.

              Aam taur par, kal, Thursday ko European Central Bank par sabki nazar hogi, jab yeh apni next interest rate decision dega. Interest rates ko unchanged rakha jayega magar markets hints ki talash mein hain ke kya aur rate cuts hone wale hain. ECB ke September rate cut ko market ne almost entirely price kar liya hai, jo yeh suggest karta hai ke yeh euro versus dollar ko meaningful taur par change nahi karega, jo exchange rate ko 1.09 ke neeche stable rakh sakta hai aur nayi breakout ke liye tayar kar sakta hai.
                 
              • #9772 Collapse

                Graph ke mutabiq, price movement trend bullish dikhayi de rahi hai. Pichle Friday ko price support area 1.0950 tak kamzor hui, jo ke ek naya higher low bana, aur is se market ke is subah ke opening mein strengthening ka imkaan hai. Graph mein dekha gaya hai ke pehle ke fake out pattern se supply 1.1125 par ban gayi hai, jo baad mein price strengthening ka target ho sakti hai.

                Additional indicators, jaise ke Relative Strength Index (RSI) period 5, jo ke ab 70 par hai, market ke bullish trend ko confirm karta hai. Simple Moving Averages (SMA) 200 aur 100 bhi upward movement dikha rahe hain, kyun ke last Friday ko price ki strong increase ne in indicators ko affect kiya. D1 timeframe ke indicators mostly bullish trend dikhate hain.

                H4 timeframe ko dekhte hue, agar hum buy entry lene ka soch rahe hain, to D1 aur H4 timeframes ka comparison important hai. H4 chart par, price ne ek bullish engulfing pattern bana, jo ek new demand area 1.1051 par dikhayi deta hai, aur is movement ne previous trendline ko breakout kiya hai. Isse yeh indicate hota hai ke price strengthening continue kar sakti hai. Agar price demand area mein phasi rahti hai, to 1.1125 ki supply tak badhne ki sambhavana hai, jo sell entry ka area bhi ban sakti hai. Agar price is supply ko breakout karti hai, to D1 timeframe analysis bullish trend ko confirm karega, lekin agar rejection hoti hai, to weakening deeper support area 1.0950 tak ho sakti hai.

                Aaj dopahar ko maine 1.1051 par buy entry li hai, stop loss 1.1025 par aur take profit 1.1125 par rakha hai. Sell entry ke liye, main 1.1125 par wait karunga, stop loss 1.1150 aur take profit 1.0950 rakhoonga. Yeh plan meri personal transactions ke liye hai, isliye agar aap meri transactions follow karte hain to aap khud zimmedar hain. Risk aur balance ko dekhte hue MM ko dhyan mein rakhein.

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                • #9773 Collapse

                  اگست 20 2024 کو یورو/امریکی ڈالر کی پیشن گوئی

                  کل، سنگل کرنسی نے 56 پِپس کی ٹھوس حرکت کی اور 1.1085 کے ہدف کی سطح تک پہنچ گئی۔ مارلن آسیلیٹر یورو کی طاقت کی کوئی تھکن نہیں دکھاتا ہے، اس لیے قیمت کے اس سطح سے اوپر مضبوط ہونے اور 1.1140 کے اگلے ہدف (دسمبر 2023 کی چوٹی) کی طرف بڑھنے کا بہت زیادہ امکان ہے۔

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                  اس سطح سے تصحیح کا امکان ہے، کیونکہ مارلن اوور بوٹ زون میں داخل ہوگا۔ 4 گھنٹے کے چارٹ میں، قیمت پہنچنے والی مزاحمت سے پیچھے نہیں ہٹتی، حالانکہ مارلن آسیلیٹر تھوڑا سا پیچھے ہٹ رہا ہے۔

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                  متوقع اضافے کے تناظر میں، اس پیٹرن کو مزید بڑھنے سے پہلے آسیلیٹر کے اجراء اور سطح کے بریک آؤٹ سے تعبیر کیا جا سکتا ہے۔ اگر استحکام کے ساتھ بریک آؤٹ نہیں ہوتا ہے، تو یہ قیمت کے استحکام اور طاقت کے جمع ہونے کی نشاندہی کر سکتا ہے۔

                  .تعینات کیا مراد ہے مارکیٹ کے تجزیات یہاں ارسال کیے جاتے ہیں جس کا مقصد آپ کی بیداری بڑھانا ہے، لیکن تجارت کرنے کے لئے ہدایات دینا نہیں*

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                  • #9774 Collapse

                    EUR/USD currency pair ka current position jo weekly pivot level 1.0994 ke upar hai, jo ke pichle haftay ke pivot level 1.0860 se increase hai, yeh short-term mein ek positive sentiment ko highlight karta hai. Weekly pivot level mein yeh upward movement market mein ek sustained bullish momentum ko indicate karta hai. Pivot levels wo critical technical indicators hain jo traders ko different timeframes par overall market trends ko determine karne mein madad dete hain.
                    Weekly pivot ka 1.0860 se 1.0994 tak rise hona euro ke mutabiq U.S. dollar ke against ek improving outlook ko reflect karta hai. Traders aksar aise increase ko signal ke tor par lete hain ke market upwards trend kar raha hai, jahan higher prices par potential support levels establish ho rahe hain. Yeh suggest karta hai ke market participants ziada willing hain euro kharidne aur dollars bechne mein, shayad Eurozone ke favor mein economic data ya U.S. dollar mein diminishing confidence ke wajah se.Pivot level ka consistent climb bhi yeh suggest karta hai ke pair mein koi bhi retracement ya correction previous pivot level ke upar, lagbhag 1.0860 par support find karega, instead ke significantly neeche giray. Asal mein, pivot level ek psychological benchmark ke tor par kaam karta hai dono buyers aur sellers ke liye. Jab market is level ke upar rehta hai, toh yeh usually ek buyer-dominated environment ko reflect karta hai, jo further upward momentum contribute karta hai.
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                    Iske ilawa, increasing pivot level yeh bhi indicate kar sakta hai ke broader market sentiment euro ki strength ke saath align ho raha hai, jo ke favorable interest rate differentials, economic performance, ya Europe mein U.S. ke muqable mein geopolitical stability jaise factors se driven ho sakta hai.Akhir mein, EUR/USD pair ka position rising weekly pivot level ke upar ongoing bullish sentiment ko short-term mein reinforce karta hai. Market participants isey ek positive signal ke tor par dekh sakte hain, jo further buying activity ko encourage kar sakta hai, jab ke market sentiment continued euro strength ke taraf lean kar raha hai U.S. dollar ke against. Yeh trend continue ho sakta hai agar underlying economic aur geopolitical conditions Eurozone ke favor mein rahti hain.
                       
                    • #9775 Collapse

                      EUR/USD currency pair iss waqt strong bullish sentiment show kar raha hai, jo ke key pivot levels ke upar trading behavior se zahir hota hai across different time frames. Yeh pair abhi monthly pivot level 1.0827 ke upar trade kar raha hai, jo ke pichle mahine ke pivot 1.0764 se increase hai. Monthly pivot ke upar yeh upward movement Euro ke against US Dollar ke liye long-term bullish outlook ko suggest karta hai.
                      Iske ilawa, EUR/USD weekly pivot level 1.0994 ke upar bhi trade kar raha hai, jo pichle haftay ke pivot level 1.0860 se increase hai. Weekly pivot ka consistent rise yeh indicate karta hai ke short term mein market sentiment positive hai, jo bullish trend ko reinforce karta hai. Traders aksar weekly pivot ko market ke overall sentiment ko gauge karne ke liye use karte hain, aur is level ke upar trading further gains ka signal ho sakta hai.

                      Daily level par, EUR/USD pair daily pivot 1.0978 ke upar position mein hai. Yeh daily pivot intraday traders ke liye ek critical level serve karta hai, jo immediate market direction ke bare mein insight provide karta hai. Is level ke upar hona short-term momentum ko bhi Euro ke favor mein show karta hai, jo weekly aur monthly charts par observe hone wale broader bullish trend ke saath align karta hai.

                      Yeh pivot levels technical analysis mein important tools hain, jo traders ko potential support aur resistance levels identify karne mein madad dete hain. Jab ek currency pair consistently apne pivot points ke upar trade karta hai, to yeh aam tor par ek strong uptrend ka signal hota hai. EUR/USD ke case mein, pair ka daily, weekly, aur monthly pivot levels ke upar trade karna suggest karta hai ke market participants Euro ko favor kar rahe hain, shayad underlying economic factors ya market expectations ke wajah se jo Euro ki demand ko US Dollar ke upar drive kar rahe hain.
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                      Overall, EUR/USD ke current trading behavior above these key pivot points ek strong bullish sentiment indicate karta hai. Traders aur investors isay ek signal ke tor par dekh sakte hain ke pair mein long positions ko favor karna continue karein, aur Euro ke Dollar ke muqable mein appreciation ki expectation rakhein aane wale sessions mein.
                         
                      • #9776 Collapse

                        EUR/USD Analysis Update

                        Aaj hum EURUSD currency pair ko D1 period chart par dobara dekh rahe hain. Main ab bhi apne plan par qaim hoon jo ke decline ka hai. Jab ke wave structure upar ki taraf build ho raha hai, MACD indicator upar ke purchase zone mein aur apni signal line ke upar hai. Pichle hafte movements kaafi clear thi. Teen clear movements thi - pehle growth, phir girawat, aur phir se growth. Aur ye movement levels ke zariye, na sirf is period par, balki chhoti periods par bhi clearly visible thi. Ye movements accumulation zone ke maximum ko paar karke, maximum se gir gayi, aur phir US se news aayi jahan indicators American dollar ke liye favorable thi aur price ek patthar ki tarah neeche gir gayi. Ek clearly expressed horizontal support level 1.0954 par bana hua tha. Yeh clear hai ke wahan se upward rebound hua, lekin mujhe itna strong rebound ki ummeed nahi thi, main soch raha tha ke yeh chhota hoga aur hum stuck ho jayenge. Ab price already top se bahar nikal chuki hai, shayad hum kuch aur upar bhi jaayein inertia ke zariye. CCI indicator upar ke overheating zone mein hai aur is par bearish divergence dekhne ko mil raha hai. Price maximum se bahar nikal gayi hai aur ab correctional decline ki ummeed hai. Yahan M30-H1 pe mirror level banne ko dekh sakte hain jahan support resistance ban kar neeche work karega, aur downward correction ka ek hissa lena hai. Saath hi, price ne ek reversal figure - ascending wedge - banaya hai jahan yeh abhi situated hai. Yeh additional sign hai ke price ek saath upar nahi ja sakti aur ek downward trend ki reversal shayad jaldi ho. Yeh figure achi hai aur kaam kar sakti hai, chahe kuch exit bhi iske upar se ho, mujhe lagta hai yeh ek scam hai aur price collapse karegi. Eurozone ka Consumer Price Index (CPI) jaldi release hoga - yeh descent ka start hoga.

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                        • #9777 Collapse

                          EUR/USD currency pair ka current position weekly pivot level 1.0994 ke upar hai, jo pichle hafte ke pivot level 1.0860 se barh gaya hai. Ye short term mein positive sentiment ko darshata hai. Weekly pivot level ka upar jana market mein sustained bullish momentum ko indicate karta hai. Pivot levels traders ke liye critical technical indicators hote hain jo different timeframes ke liye overall market trends ko determine karne mein madadgar hote hain.

                          Weekly pivot ka 1.0860 se 1.0994 tak barhna euro ke liye U.S. dollar ke muqablay mein behtar outlook ko reflect karta hai. Traders aksar is tarah ke izafa ko market ke upar trend hone ka signal samajhte hain, jahan potential support levels higher prices par establish ho sakte hain. Iska matlab hai ke market participants euro kharidne aur dollar bechne mein zyada interested hain, jo shayad Eurozone ke faida mand economic data ya U.S. dollar ki kam hoti hui confidence ke wajah se ho sakta hai.

                          Pivot level ka lagataar barhna ye bhi suggest karta hai ke agar pair mein koi retracement ya correction hoti hai, to ye purane pivot level, jo ke 1.0860 ke aas-paas hai, ke upar support dhoondh sakta hai, na ke isse significantly neeche girne ki sambhavana hai. Pivot level ek psychological benchmark ke taur par kaam karta hai buyers aur sellers ke liye. Jab market is level ke upar rehti hai, to ye aam tor par buyer-dominated environment ko reflect karta hai, jo further upward momentum ko contribute karta hai.

                          Iske ilawa, barhta hua pivot level ye bhi indicate kar sakta hai ke broader market sentiment euro ki strength ke sath align ho raha hai, jo favorable interest rate differentials, economic performance, ya Europe mein geopolitical stability ke factors se driven ho sakta hai, U.S. ke muqablay mein.

                          Nateejatan, EUR/USD pair ka rising weekly pivot level ke upar hona short term mein ongoing bullish sentiment ko reinforce karta hai. Market participants isse ek positive signal ke taur par dekhenge, jo shayad further buying activity ko encourage kare, jab market sentiment euro ki strength ko U.S. dollar ke muqablay mein support karta hai. Ye trend tab tak barqarar reh sakta hai agar underlying economic aur geopolitical conditions Eurozone ke liye favorable rahen.
                             
                          • #9778 Collapse

                            EUR/USD currency pair ka D1 timeframe ka analysis Roman Urdu mein kuch is tarah se hai:

                            Wave structure uptrend form kar rahi hai, aur MACD indicator overbought zone mein rise kar raha hai aur apni signal line ke upar hai. Last week ki movements kaafi clear theen. Teen distinct movements dekhne ko milen; pehle ek increase, phir ek decrease, aur phir se ek increase. Yeh tamam movements na sirf is timeframe par, balki lower timeframes par bhi clearly visible theen. Price ne high accumulation zone se breakout kiya, phir peak se neeche aayi, jo ke samajh mein aata tha. Mid-week mein US se positive indicators aaye jo US dollar ko support karte hue price ke girne ka sabab banay.

                            Ek clearly defined horizontal support level tha jo closing prices ke basis par 1.0954 par tha. Naturally, yeh level se bounce hua, lekin mujhe umeed nahi thi ke yeh itna strong bounce karega. Mujhe laga ke thoda minor bounce hoga aur price thoda stuck ho jayega. Ab price ne high ko break kar liya hai, shayad momentum ki wajah se thoda aage barh jaye. CCI indicator overbought zone mein bend kar raha hai aur bearish divergence ke signs show kar raha hai. Price ne high ko exceed kar diya hai, aur lagta hai ke ek corrective decline aane wala hai.

                            Lower timeframe (M30-H1) par dekhne par, hum mirror level ki formation dekh sakte hain, jahan support resistance mein convert ho jaye aur downward move ke liye work kiya jaye, taake expected descending correction ka ek hissa capture kiya ja sake. Yeh bhi noticeable hai ke price ne ek reversal pattern form kiya hai - ek ascending wedge, jisme price abhi tak hai. Yeh ek additional indication hai ke price turant upar nahi jayegi aur ek downtrend ke taraf reversal ho sakta hai. Phir bhi, pattern kaafi clear hai aur acche se work kar sakta hai. Aaj ke economic calendar mein koi significant news events nahi hain jinhain watch karna zaroori ho.

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                            • #9779 Collapse

                              EUR/USD currency pair ka D1 timeframe ka analysis Roman Urdu mein kuch is tarah se hai:

                              Wave structure uptrend form kar rahi hai, aur MACD indicator overbought zone mein rise kar raha hai aur apni signal line ke upar hai. Last week ki movements kaafi clear theen. Teen distinct movements dekhne ko milen; pehle ek increase, phir ek decrease, aur phir se ek increase. Yeh tamam movements na sirf is timeframe par, balki lower timeframes par bhi clearly visible theen. Price ne high accumulation zone se breakout kiya, phir peak se neeche aayi, jo ke samajh mein aata tha. Mid-week mein US se positive indicators aaye jo US dollar ko support karte hue price ke girne ka sabab banay.

                              Ek clearly defined horizontal support level tha jo closing prices ke basis par 1.0954 par tha. Naturally, yeh level se bounce hua, lekin mujhe umeed nahi thi ke yeh itna strong bounce karega. Mujhe laga ke thoda minor bounce hoga aur price thoda stuck ho jayega. Ab price ne high ko break kar liya hai, shayad momentum ki wajah se thoda aage barh jaye. CCI indicator overbought zone mein bend kar raha hai aur bearish divergence ke signs show kar raha hai. Price ne high ko exceed kar diya hai, aur lagta hai ke ek corrective decline aane wala hai.

                              Lower timeframe (M30-H1) par dekhne par, hum mirror level ki formation dekh sakte hain, jahan support resistance mein convert ho jaye aur downward move ke liye work kiya jaye, taake expected descending correction ka ek hissa capture kiya ja sake. Yeh bhi noticeable hai ke price ne ek reversal pattern form kiya hai - ek ascending wedge, jisme price abhi tak hai. Yeh ek additional indication hai ke price turant upar nahi jayegi aur ek downtrend ke taraf reversal ho sakta hai. Phir bhi, pattern kaafi clear hai aur acche se work kar sakta hai. Aaj ke economic calendar mein koi significant news events nahi hain jinhain watch karna zaroori ho.

                              Click image for larger version

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                              • #9780 Collapse

                                EUR/USD currency pair ka halat abhi weekly pivot level 1.0994 ke upar hai, jo ke pehle haftay ke pivot level 1.0860 se zyada hai. Ye izafa short-term mein positive sentiment ko darshata hai. Weekly pivot level ka is taraqqi se market mein bullish momentum barqarar hai. Pivot levels traders ke liye ahm technical indicators hain jo mukhtalif timeframes ke dauran market trends ko samajhne mein madad dete hain.

                                Weekly pivot level ka 1.0860 se barh kar 1.0994 tak jana euro ke liye USD ke muqablay mein behtareen outlook ko darshata hai. Traders aksar is izafe ko market ke upar trend hone ka ishaara samajhte hain, jahan potential support levels uchi qeematon par tayar ho rahe hain. Ye is baat ka izhaar karte hain ke market ke hissedaar zyada euro kharidne aur dollar bechne ke liye tayyar hain, jo shayad Eurozone ke liye faida mand economic data ya USD ke muqablay mein kam confidence se chalay aata hai.

                                Pivot level ka mustaqil taur par barhna ye bhi darshata hai ke agar pair mein koi retracement ya correction hoti hai, to ye pehle ke pivot level 1.0860 ke upar support dhoondhne ke imkaanat hain, na ke is se zyada girne ke. Asal mein, pivot level ek psychological benchmark ke taur par kaam karta hai buyers aur sellers dono ke liye. Jab market is level ke upar rehti hai, to ye aksar buyer-dominated environment ko darshata hai, jo ke aage bhi upward momentum ko barqarar rakhne mein madad deta hai.

                                Iske ilawa, barhta hua pivot level ye bhi darshata hai ke broader market sentiment euro ke quwwat ke sath align ho raha hai, jo ke interest rate differentials, economic performance, ya Europe ke muqablay mein United States mein geopolitical stability ke factors ke zariye ho sakta hai.
                                   

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