جی بی پی/یو ایس ڈی: کرنسی کے تبادلے کی تازہ ترین معلومات

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جی بی پی/یو ایس ڈی: کرنسی کے تبادلے کی تازہ ترین معلومات

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  • #4906 Collapse

    ko dekhte hain, toh yeh ek mahatvapurna technical analysis ka hissa hai. Yeh humein market ke behavior aur trend ke bare mein mahatvapurna insights pradan karta hai. Bearish peaks aur troughs ka silsila dekhne se, yeh spasht hota hai ki market mein ek downward trend hai aur sellers ki adhikata hai. Jab bhi price ek naye peak tak pahunchti hai aur phir gira, yeh ek bearish peak ko darshata hai, jo ki ek signal ho sakta hai ki sellers ne control lene ki koshish ki hai aur price ko neeche le jaane ki ummeed hai. Jab price ek naye low tak girti hai aur phir thoda upar jaati hai, yeh ek bearish trough ko darshata hai, jisse yeh pata chalta hai ki sellers abhi bhi market mein dominate kar rahe hain aur downward trend jaari hai. Yeh bearish peaks aur troughs ki analysis karne se traders ko market ke direction aur potential entry aur exit points ka pata chalta hai. Agar kisi trader ko yeh signals milte hain, toh woh bearish trend mein short positions le sakta hai ya existing positions ko hold kar sakta hai, taaki woh market ki movement ka faayda utha sake. Iske alawa, yeh bearish peaks aur troughs ki silsila bhi market ke sentiment ko reflect karta hai. Jab market mein bearish trend hai, toh investors ka confidence kam hota hai aur unka risk appetite bhi ghata hai. Isse market volatility bhi badhti hai aur traders ko caution baratna chahiye. Is prakar, bearish peaks aur troughs ka analysis karna ek trader ke liye mahatvapurna hai, utasalar agar woh short-term trading kar raha hai. Yeh analysis unhe market ke upcoming moves ka idea deta hai aur unhe better trading decisions lene mein madad karta hai. Yeh technique sirf ek part hai technical analysis ka. Traders aur investors multiple techniques ka istemal karte hain, jaise ki trend lines, moving averages, aur oscillators, market ke behavior aur trends ko samajhne ke liye. Har technique apne tareeke se important hai aur sahi samay par istemal ki gayi, woh traders ko market ke dynamics ko samajhne mein madad karti hai.

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    • #4907 Collapse

      GBP/USD pair ke resistance level ko nishana banane ki koshish 1.2679 ke qeemat range mein hai. Yeh resistance level ek mahatvapurn sanket hai, jo ki traders ke liye ek mudda ho sakta hai. Resistance level ko nishana banane ki koshish ke peeche kuch karan hote hain jo market dynamics aur economic indicators se judi hui hote hain. Pehle toh, economic data ka impact mahatvapurn hota hai. Economic indicators jaise ki GDP growth, employment data, aur inflation figures currency pairs ke movement ko prabhavit kar sakte hain. Agar kisi desh ka economic performance strong hai, to uski currency bhi strong hoti hai, jo ki uske currency pair ke value ko badhane mein madad karti hai. Lekin, agar koi economic indicator expectations se kam hota hai, ya phir negative hota hai, toh yeh ek currency pair ke value ko kam kar sakta hai. Dusri baat, geopolitical events aur central bank policies bhi ek currency pair ke movement par asar daal sakte hain. Agar koi desh ki political stability mein koi uncertainty ho, ya phir koi geopolitical tension ho, toh yeh uske currency pair ke value ko kam kar sakta hai. Central bank policies bhi mahatvapurn hote hain, khaaskar jab central banks interest rates ko badha ya ghata dete hain. Interest rate changes se currency pairs ke movement mein tezi ya mandi aati hai. Teesri baat, technical analysis bhi traders ke liye mahatvapurn hai. Technical analysis mein traders price charts aur trading volumes ka istemal karte hain, taaki wo market trends aur price patterns ko samajh sakein. Resistance aur support levels bhi technical analysis ka ek hissa hote hain, jo traders ko market mein entry aur exit points decide karne mein madad karte hain. Agar kisi currency pair ka price ek resistance level tak pahunchta hai, toh traders usse ek potential selling opportunity ke roop mein dekhte hain. Is tarah se, GBP/USD pair ke resistance level ko nishana banane ki koshish karne ke peeche kai karan hote hain, jismein economic indicators, geopolitical events, central bank policies, aur technical analysis ka role hota hai. Traders ko in sabhi factors ko dhyan mein rakhte hue apne trading decisions ko lena chahiye.
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      • #4908 Collapse

        maqsadmand rehna, mutasir aur mustaqil risk management practices ko amal karna zaroori hai. Is tarah, traders forex market mein ziada bharosa aur dairpaishgi ke saath manzil tak pahunch sakte hain, bazar ki maujooda halat ke bawajood. Bunyadi asarat, jaise ke supply aur demand dynamics, corporate earnings, aur ma'ashi indicators, market movements ka markazi hissa hain. In factors ka tajziya karne se traders individual companies, industries, aur economies ki sehat ka andaza laga sakte hain, jo ke maqool investment decisions ke liye madadgar hota hai.

        Geopolitical developments, jaise ke trade tensions se le kar siyasi bechaini tak, market sentiment aur assets prices par gehra asar daal sakte hain. Maslan, mukhtalif economies ke darmiyan trade negotiations ke ird gird shak ka mahol hosakta hai, jo ke global markets mein volatility ko janam de sakta hai, mukhtalif sectors aur asset classes ko mutasir karte hue. Geopolitical risks aur unke potential implications ko samajhna market reactions ka pesh karna aur trading strategies ko mutabiq karne ke liye ahem hai.

        Zyada wide economic trends, jin mein monetary policy decisions, inflation rates, aur employment data shamil hain, financial markets ka macroeconomic environment shape karte hain. Central bank policies, jaise ke interest rate changes aur quantitative easing measures, izafati dastoore karobar, consumer spending, aur investment patterns par asar dal sakte hain, mukhtalif markets mein asset prices ko mutasir karte hue. Ma'ashi indicators aur central bank communications ko monitor karna traders ko market conditions ke tabadul par mutawasit rehne aur unke trading strategies ko mutabiq karne mein madad karta hai.

        Is ke ilawa, technology ki taraqqi aur innovations finance markets ke manzar ko dobara shakal de rahi hain, traders ke liye naye moqaat aur challenges ko introduce karte hue. Algorithmic trading, high-frequency trading, aur machine learning algorithms ka ubhar market transactions ke raftaar aur efraat ko transform kar chuka hai, jo traders ko tabdeel aur technology ka faida uthane ke liye zaroori hai. Is ke ilawa, digital assets aur blockchain technology ka ubhar naye raaste investment aur speculation ke liye kholte hain, market ecosystem ko complicated bana dete hain.

        Is dynamic aur interconnected environment mein, maqsadmand aur mustaqil rehna traders ke liye zaroori hai jo market ke complexities ko safar kar rahe hain. Continous learning, sakhti se analysis, aur disciplined risk management ek mazboot trading strategy ke lazmi taur par hissa hain. Fundamental drivers, geopolitical developments, economic trends, aur technological innovations ke mutabiq reh kar, traders apni capability ko barhane mein kamiyab ho sakte hain aur chalte phirte market landscape mein apne maali maqasid haasil kar sakte hain.
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        • #4909 Collapse



          GBP/USD ne bhi Wednesday ko aik ahem neeche ki taraf movement dikhaya. Ye itni taqatwar thi ke keemat ek saath trend line, Ichimoku indicator ki lines aur 1.2605 aur 1.2620 ke levels ko paar kar gayi. Humne aise harkatein bohot arse baad nahi dekhi, lekin isne overall technical picture par taasir ka koi asar nahi dikhaya. Trading day ke ikhtitam tak, pair 1.2516 ke level tak gir gaya, jo 24 ghanton ke time frame par sideways channel ka khatra maqarar kiya ja sakta hai. Is liye, jab tak hum ye tasdeeq nahi kar sakte ke keemat ne safalta se is had ko paar kiya hai, humein sirf yeh ummeed nahi rakhni chahiye ke pair bas ek neeche ki taraf ki trend shuru kar dega. Naummeed ghati ko, bazaar mein ek naye chal se seedha hokar 1.2516 ke level se asani se lot sakta hai aur upar ki taraf ek naye qadam utha sakta hai - 1.2800 ke level ki taraf.

          Dollar ke 200 pips ke barhne ka ek hi wajah tha, wo US inflation report thi, jise hum ne aapko ahem report bataya tha. Ek khatra tha ke bazaar ek baar phir dollar ke liye musbat value ko "bhool jaye", lekin is baar yeh theek tareeqe se kaam kiya. Lagta hai ke bazaar ne kuch ghanton mein hi US ke peechle haftay ke tamam reports ko bhi digest kar liya tha, jo ke mazboot aur dollar ko support karte the. Magar, flat ke khatam hone ke bare mein abhi bhi baat karna bohot jaldi hai.

          Kal ki pound ke trading signals euro se behtar thein. European trading session ke doran bhi, pair 1.2691-1.2701 ke range mein dakhil hua, is liye koi us se bounce ki umeed kar sakta tha aur pehle se hi short positions khol sakta tha, yad rahe ke ek Stop Loss rakhna zaroori tha agar US inflation figures ummeed se kam nikle. Magar, Stop Loss ki zaroorat nahi thi. Pair lagbhag 200 pips ke ****l ke neeche gir gaya aur sirf 1.2512 ke level ke qareeb ruka, jahan traders short positions par munafa le sakte the. Ab, humein zyada se zyada aik bullish rebound dekhne ko mil sakta hai, aur phir sab kuch bearon ki dabaav par depend karega, jo ke mukhtalif bunyadi aur macroeconomic factors ke support mein hain.

          1H chart par, GBP/USD ko 1.25-1.28 ke sideways channel ke andar aik naye upward movement ko rokna para. Agar inflation report na hoti, jo dollar par asar daal sakti thi, to shayad hum kai hafton tak pound ko mazeed ooncha dekhte. Lekin, abhi tak sideways channel mojood hai. Flat phase ko khatam karne ke liye, keemat ko 1.2516 ke level ke neeche mazbooti se consolidate karna hoga. Flat hamesha ke liye nahi chal sakta, lekin ab tak ye char mahine ka chal raha hai...

          April 11 ke tor par, hum neyati 2.2215, 1.2269, 1.2349, 1.2429-1.2445, 1.2516, 1.2605-1.2620, 1.2691-1.2701, 1.2786, 1.2863, 1.2981-1.2987 ko ahem levels banaya hai. Senkou Span B (1.2609) aur Kijun-sen (1.2616) lines bhi signals ke sources ke taur par kaam aayeinge. Agar keemat intehai sahi disha mein 20 pips chal chuki hai to Stop Loss ko breakeven par set kar dena na bhoolen. Ichimoku indicator lines din ke doran chal sakti hain, is liye trading signals ka tajziya karte waqt isko zaroor lein.

          Thursday ko UK mein koi ahem events scheduled nahi hain. Intehai reports par US mein sirf doosri darjat ke producer price index aur bayrozgar claims jaari kiye jayeinge. Hum dollar ko mazeed mazbooti se hone ki umeed kar sakte hain, khaaskar jab 80% probability hai ke Fed June mein dar ko kam nahi karega. Lekin, ab sab kuch 1.2516 ke level aur bazaar ki samarth hai par mabni hai ke wo isay paar kar sake.
             
          • #4910 Collapse



            GBP/USD H4:

            Jumeraat ke subah, yeh lagta hai ke yeh aam tor par mukhtalif girawat ke trend ka palat hone ki bajaye aik temporary relief rally hai. Kai factors is bearish sentiment ka hissa hain. Pehle to, technical analysis yeh dikhata hai ke market ab bhi ek downtrend mein hai. Price action ne nihayat hi constant tor par lower lows aur lower highs banaye hain, jo ke sellers ki dominance ko dikhate hain. Is ke ilawa, ahem support levels ko tor diya gaya hai, jo ke bearish bias ko aur confirm karta hai. Dusra, fundamental factors bhi bearish outlook ko support karte hain. GDP growth, employment figures, aur consumer sentiment jaise economic indicators kamzoriyat ke nishaan dikhate hain. Geopolitical tensions aur uncertainties, jaise ke trade disputes ya political instability, market volatility aur investors ke darmiyan risk aversion ko barhate hain. Iske ilawa, haal hi mein commodity prices, khaas tor par oil, mein izafa ho sakta hai jo ke inflationary pressures ko mazeed barha sakta hai, central banks ke taraf se tight monetary policies ka natija hai. Is se, economic growth ke expectations ko khatam kar sakta hai aur asset prices, including stocks, par bhoj dal sakta hai. Iske ilawa, sentiment indicators, jaise ke investor surveys aur option market activity, yeh suggest karte hain ke market participants cautious hain aur further downside risk se hedging kar rahe hain. Yeh dikhata hai ke market mein ab bhi kafi skepticism aur pessimism hai, jo ke mazeed selling pressure ko barha sakta hai. Ikhtitam mein, mojudah bearish momentum ko dekhte hue, both technical aur fundamental nazarie se, trend-following traders ke liye bechna ek mahfooz trading idea ho sakta hai. Magar, risk ko mojooda rakhna zaroori hai, stop-loss orders set karke aur market reversals ya unexpected developments ka khyal rakhte hue. Hamesha ki tarah, kisi bhi trading decisions se pehle mukammal research aur analysis karna ahem hai.

            GBP/USD H1:

            Residual seasonality ek phenomenon hai jahan economic data mein patterns ya fluctuations hote hain jo seasonal adjustments mein puri tarah se shamil nahi kiye gaye factors ki wajah se aate hain. Ye adjustments regular, recurring patterns jaise ke holiday season mein retail sales ka izafa ya seasonal changes ki wajah se agriculture output mein fluctuations ke liye kiye jate hain. Magar, in adjustments ke baad bhi data mein residual seasonality mojood ho sakti hai. Ek wajah residual seasonality ka bana rehna hai ke economic activity ko influence karne wale factors ki complexity hai. Jab ke seasonal adjustments bohot saare predictable patterns ke liye hisaab le sakte hain, wahan aksar aur factors bhi hote hain jo quantifiable aur adjust karne ke liye mushkil hote hain. Ye factors consumer behavior mein changes, technology mein shifts, aur natural disasters ya geopolitical tensions jaise unexpected events shamil hote hain. Aapke statement ke context mein lagta hai ke residual seasonality ko ek factor consider kiya ja raha hai jo Commission ke economy ke risks ka assessment par asar dal sakta hai. Agar residual seasonality ko theek se adjust nahi kiya gaya hai, to ye economic data ko misunderstand karne aur ghalat policy decisions lene ka bhi natija ho sakta hai. For example, agar consumer spending mein seasonal izafa ho raha hai jo ke theek se adjust nahi kiya gaya hai, to policymakers ye galati se zyada strong economic growth ka sign samajh sakte hain jo haqeeqat mein mojood nahi hai, aur unko overly optimistic policies adopt karne par majboor kar sakta hai. Overall, jab ke residual seasonality haqeeqat mein economic trends ko shape kar sakta hai, ye sirf ek factor hai jise policymakers ko economy ke bare mein faislay karne ke waqt madde nazar rakhna chahiye. Zaroori hai ke robust data analysis techniques ko istemal kiya jaye taake residual seasonality ko effectively identify aur account kiya ja sake, saath hi doosre factors ko bhi jo economic activity ko influence karte hain.

               
            • #4911 Collapse



              EURUSD pair ki haalat mein halat mein bayaanhi tabdeeliyan dekhi gayi hain, jin mein euro aur U.S. dollar ke darmiyan jari daramad ka tasalsul shamil hai. Din ko 1.0700 mark se shuru karte hue, pair ne early European trading mein kami ka samna kiya, jo Eurozone ke andar ma'ashi raftar ke lehaz se barhne wale fikron ki wajah se thi. Khaas tor par, pehli fikri PMI data ki ijaad, jo January mein doosre musalsal mahine mein karobar ki fa'alat ka sukoon naqis hone ka ishara deta hai, ne khaufnaak imkanat ka izhar kya ke khshoosiyat se dakhil hone wali mustaqbil ki depression se dher lag gayi. Isnatijanab, yeh naumeedgar ma'ashi dakhla euro par niche dabaav dala, jis ki wajah se U.S. dollar ka mustaqbil mazboot hua. Is peshgoi ke muqam par, EURUSD pair ek din ke dar me gira, London session ke doran takriban 1.0660 ke qareeb chhoo gaya, phir kuch thori madad milti hai. Is se pehle kevel se pehle dakan bharne ka matlab hai ke bazaar ke shirakat daron ko yeh ehsaas hai ke euro in ghatte hue keemat ke darjat par makhsoos ahmiyat rakhta hai. Jab ke trading din North American session ki taraf barh raha tha, pair ne kuch nuksan ko kama liya, 1.0680 mark tak wapas aa gaya. Magar, yeh ek nisbatan tang 30-pip range ke andar phansa hua hai, jo bazaar mein mojooda ehtiyaat bhara jazba ko darust karta hai.

              Mojooda bazaar ki ehsas ke lehaz se, kuch tajziye khanadano ka tawaqo hai ke euro par mazeed dabaav aaye ga, khaaskar jab European Central Bank (ECB) decelerating growth momentum ka jawab dene ke liye ek musallat dovish policy stance ikhtiyar karta hai. Mukhalif taur par, U.S. dollar abhi bhi sath se mustafeed hai, jo Federal Reserve (Fed) ke fazool imdad ke iradon ke tehat mazboot monetary tightening ke taraf ja raha hai, jo ek hawkish stance se mustamil hai. EURUSD, hum currency mein kami dekhte hain, Bollinger border - 1.064 ke neeche, hum ek sell position mein dakhil hone ka tawajjo dein ge jab moving average indicator 13.50 ke doran sell signal draw kare ga. Bazaar mein buland keemat par dakhil hona, imtehaan mein karna, jab keemat Test, . channel - 1.064 ke darmiyan wapas aaye. Is surat mein, reference range Maximum - 1.063 ban jayega, jahan par apni Protective Order set karna behtar hai. Mazeed, main currency ki kami ka silsila jari rakhne ka koi irada nahi rakhta - 1.062, area jahan support ka kaam chal raha hai - 1.064. Agar currency Resistance - 1.063 ke oopar wapas aa jaye, to yeh darshaata hai ke Sellers khatam ho gaye hain. Isi doran, madadgar indicator - CCI, parameters 150-150 ke saath, neeche se oopar phir se guzar jana chahiye, jo order ki phir se taqseem ko darust karta hai, Long mein naye trend ki taraf mutaqaddam, trend tabdeel ho ga.

                 
              • #4912 Collapse

                Daily chart par GBP/USD pair ka linear regression channel oopri taraf ki manind hai, jo sakti se buyers ki numaindgi karta hai. Main soch raha hoon ke market durust hote hi khareedai ka faisla karun. Main channel ke neechay, 1.26487 ke qareeb, ek khareedai ka moqa dekh raha hoon. Main pasand karta hoon ke market ke sath nahi jaun aur bechnay ki bajaye, khas tor par jab ke channel buland hai. Mere liye zyada munasib tareeqa yeh hai ke channel ke neechay se durusti se khareedun. Yeh tareeqa ghalat dakhil hone ke surat mein nuqsaan ko kam kar sakta hai, jo ke tamam traders ka samna hai. 1.26787 ke upper boundary level ko imtehan kiya jayega, aur uske baad, aik taqreeban tawazun ke liye ek kami shuda wazeha ke liye ghor karna chahiye. Tawazun ke liye chuna gaya zyadati ko bunyadi mana jata hai.

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                Ghantay ke chart par linear regression channel rozana ke chart ke saath milta julta hai, jo bullish jazbat ko taqwiyat deta hai. Dono channels khareednay ki taraf ishaarat karte hain. Bechnay ke shirait mojood nahi hain. Bechnay ke liye kam az kam M15 channel neechay ki taraf hona chahiye. Magar, jaise ke charts mein dekha gaya hai, dono channels oopar ki taraf ishaarat karte hain, jo khareednay ki taraf mashhoor hai. Buyers market mein hakoomat kar rahe hain, is liye behter hai ke main unke saath shamil ho jaun channel ke neechay se, 1.26024 par, jo ke khareednay ke liye zyada faidaymand dakhilai ka point hai. Is point ke neeche, bechnay ka amal ho sakta hai, jab ke khareednay ke moqa kam ho jayenge. Main intezar kar raha hoon ke upper boundary of the channel, 1.26991 par, ko chue jaye. Jab upper levels tak pohanche jayenge, to bullion ke faraiz anjam denay ke liye taayyar honge, aur ek kami shuda ho sakti hai, jise main talwar. Main phir se upward trend ke saath pullback par khareednay ke moqa dekhun ga.
                   
                • #4913 Collapse

                  GBP/USD H1 waqt frame
                  Jumeraat subah ka zahirana daramad kaafi zyada ek waqti chamak lagta hai balkay overall bearish trend ka mustaqil chakkar ko puri tarah se badalne ka tha. Technical analysis is jazbaat ko mad e nazar rakhta hai, jahan market ab bhi ek downtrend mein qayam hai jo kam ho rahi lows aur kam hoti highs ki musalsal shakl mein banta hai, jise barqarar rehnay wale farokht karnewalon ki hukoomat ka ishara hai. Mazeed, ahem support levels ke faqad honay se mojooda bearish bias ko taqat di jati hai. Bunyadi front par, isharaat ek andha numaya manzar pesh karte hain, jahan sust GDP ka izafa, thanda rozgar ke figures, aur kamzor consumer sentiment asal kamzori ki nishandahi hai. Saansaniyat tensions bearish outlook ko mazeed bigadti hain, jahan hal nahi howe tijarati ikhtalafat aur siyasi be tartibi market ki bulandiyon ko barhata hai aur investor ki khatraat ko izafa deta hai. Yeh sab asbaab mil kar mojooda bearish jazbat mein shamil hain, jis se yeh zahir hota hai ke Jumeraat subah ki chamak zyada mutmaini se ek chand lamha hai balkay market ka rukh parivartan mein mukhtalif hai. Jab ke investors in asbaab ka andaaza lagate hain, to tasawwur barqarar hai mojooda ghair yaqeeni mahol mein khatraat ko samaitne ke darmiyan, jo turbulent market conditions mein chaltay hue rahne ka ahemiyat ko mad e nazar rakhta hai.

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                  Forex trading ke daairay mein, GBP/USD jodi ab ek potential correction ki nishandahiyan dikhane par hai. Magar, ehtiyaat aur jaldi conclusions par na pohnchein ka aham hai. Apne trading system ke mutabiq, yeh mashwara diya jata hai ke ek bullish chaar ghanton ka candlestick ka intizar kiya jaye tab tak jab tak yeh harkat darust correction ke tor par na qaraar paaye jaye. Candlestick patterns technical analysis ke integral hisson ke taur par kaam karte hain, jo traders ko mojooda market jazbat aur mustaqbil ke trend reversals ki anmol jhalakon se munawwar karte hain. Pas manzar ho kar intizaar karna aur confirmation ke liye ek bullish candlestick pattern ka intizar karna darust correction ki feasibility ko tasdeeq karna mein ahemiyat rakhta hai. Is tarah ke amal se traders jaldi faislon ke jokhim ko kam kar sakte hain aur achi raay ki trades ka imkaan barha sakte hain. Yeh ehtiyaat bhari approach forex trading ke complexities ko samajhne mein discipline aur makhsoos tajziya ki ahemiyat ko mad e nazar rakhta hai. Is tarah, jab ke GBP/USD jodi shuruati signs of correction dikha sakti hai, ehtiyaat aur aqalmandi se farigh hona aakhir mein lambi dour mein behtar trading nataij ko mad e nazar rakhta hai.
                     
                  • #4914 Collapse

                    GBP/USD haftawana chart par, peechle haftay ke range ka zyada se zyada update karne ke baad, local resistance level ko neeche se oopar test karte hue, jo ke meri tajziya ke mutabiq 1.27094 par mojood hai, ke baad, qeemat ko ek mazboot bearish impulse ke zor se ulta kar diya gaya aur neeche daba diya gaya, jiski wajah se ek poora bearish candle ka ban gaya jo asani se toot gaya aur confidently support level ke neeche band hua, jo meri tajziya ke mutabiq 1.25180 par mojood tha. Mojooda manzar ko mad e nazar rakhte hue, market ka transition ek side ki movement se ek southern trend ki taraf hone par, mein bilkul tasleem karta hoon ke agle haftay neeche ki taraf ke rukh jaari rahega, aur qeemat neeche ki taraf jaakar support level ko test karegi, jo ke meri tajziya ke mutabiq 1.23738 par mojood hai. Is support level ke qareeb, do scenarios ho sakti hain. Pehli scenario mein qeemat is level ke neeche consolidate ho kar aur aur southern movement kaari hoti hai. Agar yeh scenario asar andaaz hota hai, to mein umeed karta hoon ke qeemat support level par mojood hai jo 1.21870 par mojood hai, ki taraf jaayegi. Agar qeemat is support level ke neeche consolidate hoti hai, to mein mazeed southern movement kaari hoti ki umeed karta hoon, neeche ke support level par mojood hai jo 1.20956 ya phir jo support level 1.20371 par mojood hai. In support levels ke qareeb, mein trading setup ka banne ka intezar karta hoon jo mazeed trading rukh ka tay karne mein madad karega. Bila shuba, mein tasleem karta hoon ke qeemat ko mukarrar door ke southern targets ki taraf jaate hue, uttar wale pullbacks ho sakte hain, jo mein istemaal karne ka iraada karta hoon taake qareeb ke resistance levels se bearish signals dhoondh sakoon, global bearish trend ke andar neeche ke qeemat ke movement ka dobara aghaz ka intezaar karte hue. Qeemat ke support level 1.23738 ki taraf aate waqt, qeemat ke movement ke liye ek alternative plan ek reversal candles ka formation aur ek correct northward movement ka aghaz shamil hai. Agar yeh plan amal mein laya gaya, to mein umeed karta hoon ke qeemat waapas resistance level par mojood hai jo 1.25180 par mojood hai. Is resistance level ke qareeb, mein ek reversal candle ka formation aur qeemat ke neeche ki taraf rukh ka dobara aghaz ka intezar karta hoon. Mukhtasar tor par, agle haftay mein mein local tor par umeed karta hoon ke qeemat neeche ki taraf daba di jaayegi, aur qareeb ke support level ko test kiya jayega, phir market situation ke mutabiq faislay kiye jayenge, southern signals ko ahemiyat di jaayegi.


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                    • #4915 Collapse

                      Forex trading ke daira mein currency pairs ki taiz o tezi aksar jald-baazi se hoti hai, jahan behtareen moukoofiat azem munafa dene wali hoti hai. Is daur mein, dani traders nishaano ko pehchante hain aur market ki gardishon se faida uthate hain taake bahut ziada munafa hasil kar saken. Aik aise currency pair jo apni harkat mein mashhoor hai woh GBP/USD hai. Haal hi mein GBP/USD pair ki taraqqi mein aae huye inha'at ko dekhte hue, wazeh ho raha hai ke iske quotes ka rukh jald-baazi se girte hain aur be-hadd chadhte hain. Magar is chaotay mahaul mein bhi bohot bara munafa hai. Taareekhi data aur mojooda market shirayat ko tafseel se jaanch karne se traders future ki harkat ko pehchan sakte hain aur khud ko moqaon ko faida uthane ke liye tayyar kar sakte hain. Mojoooda waqt mein GBP/USD pair khud ko ek ahem range mein paaya hai, jahan aik ahem resistance level 1.2590 par hai. Agar pair is raaste ko kamyabi se paar kar le aur is ke upar mazboot ho jaaye, to ye ek dili mauqa ban jata hai future ki tezi ke liye. Abhi 1.2625 par trade kiya gaya hai, traders is ahem had tak ke paar hone ka tasdeeq intizar karte hain taake unka nuqsan barha saken, magar ahem hai ke moqadmat ke jhatke par qayam rakha jaye jaise ke 1.2555 ke mark tak. Magar, aise sudharat girawat ko guzarti waqt guzrana chahiye aur rokawat nahi, kyunke ye aksar market ki fa'aliyat mein dobarah taraqqi ke pehle aati hain. Market range ke aik test ko intizar karti hai jo 1.2540 ke qareeb hoti hai, aur phir tezi ke baad ka barhna hota hai. 1.2560 par choti si galat rookh phir bhi pighalte hue rukh ko darust kar deta hai, GBP/USD pair ki asal raah tezi ki taraf hai.Is ke ilawa, 1.2585 ke range ke upar guzarne ki umeed bullish sentiment ko mazboot karti hai jo market mein mojood hai, aur musalsal upar ki taraf le jane ke raaste ko saaf karti hai. Bechani wale pharakon ke imkaan ke bawajood, traders GBP/USD pair ke lambay muddat ke imkanat ke mutalliq pur umeed hain, jinhe mazboot asliyat aur mojooda market ki jazbatiyat ne barha diya hai. Aakhri mein, forex market mein mojood jald-baazi se harkat ke musalsal guzarne ke liye kisi ne kisi andaz mein, naqshban aur strategy ko istemal karna zaroori hota hai. Market ke trends ko dheyan se jaanch karke aur ahem support aur resistance levels ka faida uthate hue, traders aise currency pairs jaise ke GBP/USD ki tabahi ko apne faide ke liye istemal kar sakte hain. Jabke musibatein raaste mein paida ho sakti hain, lekin bohot ziada munafa ki imkaan


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                      • #4916 Collapse


                        GBPUSD

                        Residual seasonality, jisey economic trends par ik asar ke tor par manzoor kiya jata hai, sirf aik pahlu hai ek mushkil jaal mein jo policy makers ko mahiyar faislon ki tehqiqat karte waqt samundar ki gharayi mein ghus jaata hai. Iska asar mukhtalif sectors mein phel sakta hai, jis se ma'ashiyati data ka tabadla mushkil ho jata hai. Is liye, intihai tafteeshati data analysis techniques ko farzi seasonality ke asraat ko dusre economic activities ke drivers se farq karne ke liye lazmi qarar diya jata hai.

                        Residual seasonality ka asal maqsad economic indicators mein bacha hua fluctuation hai baad mein mousmi patterns ko hisaab se karne ke baad. Jab ke kuch industries saal bhar ke mousmi asrat se mutasir hote hain jaise ke mausam, holidays, aur production cycles, to residual seasonality unn beghairati tabdeeliyon ko pakarta hai jo in mousmi patterns se wazeh nahi hoti.

                        Policy makers ke liye, residual seasonality ko pehchan kar samajhna maqbool faislon ko barqarar rakhne ke liye ahem hai. Iski mojoodgi ko nazar andaaz karna ma'ashiyati halaat ke haqeeqi manzar ko sahi tor par samajhne ke liye lazmi hai, jo ke inko munasib jawabat banaane mein madad deta hai.

                        Magar, residual seasonality ko dusre maqami asraat se alag karna aik mushkil kaam hai. Ma'ashiyati data apni fitri shor kar hota hai, mukhtalif variables ke asar mein se mutasir hota hai jaise ke maali aur ma'ashi policy, geopolitical events, technology ke fauri faayde, aur consumer behavior. Is complexity mein residual seasonality ke mukhtalif asrat ko alag karna sophisticated statistical methods aur mazboot analytical frameworks ki zaroorat hoti hai.

                        Taraqqi yafta econometric techniques, jin mein time series analysis, seasonal adjustment models, aur regression analysis shamil hain, residual seasonality ke asraat ko dusre ma'ashiyati drivers se juda karne mein aik ahem kirdar ada karte hain. In methodologies ko tareekhi data par lagoo kar ke, economists wapsi ki patterns ko pehchan sakte hain, anayat ka pata laga sakte hain, aur ma'ashiyati dynamics ke haqeeqi samajh ko sahi kar sakte hain.

                        Is ke ilawa, policy makers ko residual seasonality ka samna karte waqt mutghayyar aur dani rahein. Jab ke ma'ashiyati manazir tabdeel hote hain aur naye trends ubharne lagte hain, riwayati tafteeshati tools ko ya to mukammal kiya ya dorust kiya ja sakta hai taake badalte patterns ko sahi tor par capture kiya ja sake.

                        Akhri mein, jabke residual seasonality ko ma'ashiyati tajziya mein shamil karna zaroori hai, ye sirf ek tukda hai. Policy makers ko rigorous data analysis techniques istemal kar ke is ke asraat ko dusre ma'ashiyati factors se alag karna chahiye aur sustain karne wale ma'ashi ittefaq aur mustaqbil ke liye aqalmand faislon ko barqarar rakhne chahiye.

                           
                        • #4917 Collapse

                          GBP/USD currency pair

                          Chalo, GBP/USD currency pair ki qeemat ki tajziyat ka jaaizah len. Bull do dafa haftawar trend line ko torne ki koshish ki magar nakam rahe. Ye ishara deta hai ke unka breakout area par qaboo nahi hai. Is liye, pound par long positions kholne se pehle ehtiyaat zaroori hai. Balkay, short term mein bullish rebound ke baad kharidari par tawajjuh deni chahiye. Bear daily support level 1.25287 ke qareeb nishana bana sakte hain, jo agle maqami support tak bearish momentum ko phela sakta hai. Magar, short position mein dakhil hone se pehle bullish rebound ka intezar karna zaroori hai. Overexposing ya jaldi dakhil hone se bachna bhi zaroori hai. 27ve figure ke qareeb resistance area pehla correction zone ko darust karta hai. Ye ek technical inkar hai pichle haftay ka kamyab breakout ke baad. Is ke aage, resistance area haftawar trend line aur daily range ke upper limit ko shamil karta hai jo 1.27839 par hai, yeh akhri bullish pullback area hai, kharidaron ko kheenchta hai.

                          H4 chart dikhata hai ke lower margin zone ko Jumma ko nishana bana, jo support faraham kiya. Seedha pair par bechne mein abhi bhi khatra hai. 1.2545 tak doosra pivot target ke taraf ek mumkin downward move hai. Agar din ikhtataam mein rok ke saath guzarta hai to correction plan agle din ho sakta hai. Ulti taraf, sideways action se ek upward move 1/4 zone 1.2652-59 tak ka rollback dene ke liye umeed ho sakti hai, jahan reversal patterns ke base par bechnay ki maujoodgi ho sakti hai. Magar, agar ek margin se oopar ka rebound hota hai to hum ek lower margin target ki taraf shift ho sakte hain. Kisi surat mein bhi, hum is zone mein ek reaction ka intezar karte hain. Din ko 1/4 zone ke andar khatam kar dena, correction ki taraf 1/2 zone 1.2728-47 ki taraf guzarne ka ishara ho sakta hai, mazeed trading opportunities ke liye.





                             
                          • #4918 Collapse

                            GBP/USD

                            Baqi reh jati mosamiat, jab ke ek mumkin asar ke tor par maani jati hai, tasreef-e-siyaasat-daan ko rozmara ke karobaar ke faislon ke ikhtraaj ke doran pechida aurat mein se ek raftar hoti hai. Iska asar mukhtalif sectors mein phail sakta hai, jis se maqool tareeqay se faiz data ka tabadla mushkil ho jata hai. Isliye, dhang se data analysis tareeqay zaroori hai takay iske asraat ko doosre maamooli faiz data ke drivers se mukhtalif kiya ja sake.

                            Baqi reh jati mosamiat ka bunyadi matlab mosami patterns ke hisaab se muamlat ke baaqi harkat hai. Jab ke kuch industries saal bhar ke doraan mukhtalif reasons jaise mausam, ta'aze, aur production cycles ki wajah se taqreeban musalsal harkat karte hain, baqi reh jati mosamiat anay wale variations ko pakar leti hai jo ke in mosami factors ke hisaab se sambhala nahi ja sake.

                            Baqi reh jati mosamiat ka samajhna maqool data aur uss pe amal karne walay forces ke samajh ko shamil karta hai. Siyasat-daan aur ma'aashiyat daano ko in residual fluctuations ko doosre sources of variability se juda karne ki chunauti ka samna karna padta hai, jaise ke mustaqil trends, chakkar daar fluctuations, aur aik dafa ke shocks.

                            Baqi reh jati mosamiat mukhtalif sectors mein mukhtalif suraton mein zahir ho sakti hai. Misal ke tor par, retail mein, holiday seasons ke doran farokht mein izafa hota hai, jo ke mosami adjustements mein shamil kiya jata hai. Magar baqi reh jati mosamiat tab paida hoti hai agar farokht ghair muntazim tor par in mosami patterns se alehda hoti hain, jaise ke consumer behaviour mein tabdeeli ya supply chain mein rukawat.

                            Isi tarah, mausami patterns ka asar zyada watan ke industries mein, jaise ke kasht aur tameer, baqi reh jati mosamiat wajood mein aati hai jab ghair muntazim mausami hadsaton, jaise ke taufanon ya aandhiyon, ka asar hota hai jo normal production patterns ko mutasir kar ke output aur rozi roti mein ghair muntazim harkat ko paida karta hai.

                            Baqi reh jati mosamiat ka mojoodgi siyasat-daanon ka kaam ko mukhtalif kar deti hai, jo ke mojooda maashiyati data par barabar aur bharose mand qarza aur iqtisadi policy banane ke liye aitebaar karte hain. Agar baqi reh jati mosamiat ko mohtajiyat ke doran aik naqabil tasdeeq qarar diya jaye, to yeh ghalat nateejay iqtisadi halat ke hawale se darust nateeje ka bana sakti hai, jisse ghalt faislay ho sakte hain.

                            Baqi reh jati mosamiat ke asraat ko iqtisadi tajziya mein kam karne ke liye, siyasat-daan aur researchers nayayati statistics ke tareeqay aur econometric models ka istemaal karte hain. Waqt series analysis, misal ke tor par, analysts ko iqtisadi data se mosami ahemiyat ko pehchanna aur filter karna deta hai, jo ke buniyadi trend aur chakkar daar harkat ko alehda karne mein madad karta hai.

                            Is ke ilawa, hasool-e-dad ke tareeqon aur data analytics mein taraqqi ne maeeshati daan ko zyada mufassil aur mustehkam tajziya karne mein madad ki hai, jisse iqtisadi data ke andar chhipe hue patterns aur ta'alluqat ko khud bakhud pehchana ja sakta hai. Machine learning algorithms, misal ke tor par, baray databases mein pesh ghoor patterns ko pehchane mein madad karte hain, baqi reh jati mosamiat ki detection aur correction mein madad karte hain.

                            In tajziya tools aur tareeqon ke bawajood, baqi reh jati mosamiat iqtisadi tajziya mein aik baqayda chunauti hai. Is ke asraat muhtasar aur mushkil taur par pehchana ja sakte hain, jo ke data analysis ke jariye jaari karne aur doosri analytical methods ki paishkash karta hai. Mazeed, maashiyati daur ka aqal ko yeh batata hai ke naye sources of baqi reh jati mosamiat waqt ke saath ubhar sakte hain, jo ke iqtisadi modeling aur analysis mein mutasir ho sakte hain.

                            Iske iqtisadi policy ke liye asraat ke ilawa, baqi reh jati mosamiat ke asraat ko karobariyon aur investors ke liye ahem hai. Agar baqi reh jati mosamiat ko mohtajiyat ke doran nahi dhaal liya jata hai, to firms iqtisadi indicators mein harkat ko ghalat samajh sakte hain aur na qabil e intizam se inaam ya production faislay kar sakte hain.

                            Isi tarah, investors maqool iqtisadi data par aitebar karke asas farokht aur portfolio management ke bare mein agahi hasil karte hain. Baqi reh jati mosamiat in data ko bigaar sakta hai, investors ko market conditions ko ghalat samajhne aur assets ko ghalat qeemat dena ka samna karna pad sakta hai, jo nuqsan ya moqay ki khoobiyon ka inkaar ka samna kar sakta hai.

                            Ikhtataam mein, baqi reh jati mosamiat aik peshang aur phelao dar phenomenon hai jo iqtisadi trends par asar daal sakta hai aur policymakers, businesses, aur investors ke liye chunautiyon ka samna karta hai. Iska asar iqtisadi tajziya aur faislon mein mufeed data analysis aur mustehkam modeling tareeqon ki ahmiyat ko wazeh karta hai. Baqi reh jati mosamiat aur uske asraat ke samajh ko barhawa dene ke zariye, hum iqtisadi tajziya ka durusti aur bharose mand bana sakte hain, jo behtareen policy formation aur behtar malumat ke saath karobar aur invest karne ke faislayon tak le jata hai.
                               
                            • #4919 Collapse

                              GBPUSD



                              Maujooda market manzar rangeen jhokon se rangeen hai, jo kisi naqisat ki nishani hai. Siyasi be sukooni aur bi tarteeb tijarati tanaza, jaise ke hal na hone wale tajara, aur siyasi adam tawazun, aise taaqatwar karkuno ke darmiyan hotay hain jo mandi ka manzar aur bhi kharab bana detay hain. Ye mahol buland market chusti aur investors ki khatarnak hesiyat ko barhate hain, jo mojooda mandi ki afsoon afsoos manfi afkar ko aur bhi barha detay hain.

                              Is girawat ka dilon mein ek gathjor tijarati tanaza hai. Ye tanaza, aksar tajarti bhalay ke darmiyan, global market mein tajarat ki taweel naqabliat daaltay hain, jis se taraqqi aur market ki istiqrar mein rukawat ati hai. Mustaqbil ki tajarat ke muta'alliq waziha nahi hai, aur kariffs ke baaray mein bay wazi kar ke, karobari aur investors ko ek bechani halat mein chhod deta hai, bara intezar karte hue ke wo kisi aham iktisadi intezamat ya muahday ke husool par kuch wazahat mile.

                              Siyasi be sukooni mazeed masail ko barha deti hai. Naqabil i'tminan leadership, siyasi ittehadat mein tabdeeli, aur siyasi tanazurat aik naistha mulk mahol banate hain jahan market mein tez taraqqiyan norm ke bajaye ikhtilaf ban jate hain. Investors, apne portfolios par siyasi faislon ke mumkin asarat se darte hue, ek difa neeti apnate hain, riski assets se peechay ho jate hain aur mehfooz havale talash karte hain.

                              Market chusti, ye siyasi aur iktisadi ghumao ke natural natayej, investors ke darmiyan be sakooni ka ehsaas ko izafa karta hai. Asnaad ke dafe mein badalne wali qeemat, market ki kashish mein fori tabdili, aur ghair mutawaqqa waqe'at investor confidence ko nashonuma kar sakte hain aur riwayati market dynamics ko tabah kar sakte hain. Aise mahol mein, maahir investors bhi maqboza ho sakte hain financial market ke mazboot toofano mein.

                              Mojooda mandi ki afsoon afsoos afkaar ko zyada bara kar raha hai investors mein phaeli hui khatra se bachao. Ghair tawazun siyasi mohol ke samne, investors capital ki hifazat ko aggressive izafa ki bajaye tariqon par taawun karte hain. Ye khatra afsoos mansooba se aslaaf ko door karne ka raasta hai, jabke maal-e-dawat aur sone ki tarah assets par investors tawajju dety hain, jo ke ghair mutawazun niveshak jaise asan tareeqay se nuksan mein hain.

                              Halankay maujooda market shirayat acha nahi lagta, lekin yeh bhi un logon ke liye maujood hai jo inko qabool karna chahtay hain. Maahir investors jo qeemat se kam moolyon ko pehchante hain aur mazeed musalsal samundar ke kinare chalne mein maharat hasil karte hain wo market ke ghumao se faida utha sakte hain aur lambay arsey mein taqatwar tor par samne aa sakte hain. Iske ilawa, siyasat daanoo ki taraf se imdad karne wale kuch proactive iqdamaat, mawjooda siyasi aur iktisadi masail ko hal karne mein madad kar sakte hain, aur market par bharosa aur istiqrar ko baqaida kar sakte hain.

                              Akhri taur par, aaj ke markets mein mojooda mandi ka manzar mazid naqisat ki aks hai jo tajarti tanaza, siyasi be sukooni, buland market chusti, aur investors ki khatarnak hesiyat ko barhate hain. In challenges ka samna karne ke liye ek faujdar, adaptability, aur lambi mor pe nazar ki zaroorat hai.

                                 
                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #4920 Collapse



                                GBP/USD H1 Time Frame:

                                Mozi ghadi mein, GBP/USD jodi ko ek khatarnaak raasta tay karna hai jab wo haal hi ke ghatey hue darajat aur 100 dinon ka aasaan moving average (SMA) ke nichley sataron se ubharne ki koshish karti hai. Uske koshishon ke bawajood, jodi khud ko aik ikhtisar zone mein phansa dekhti hai jo ke November ke aakhri mein qeemat ki harekaton ko madd e nazar rakhta hai. Jab wo 1.2650 ke mark ke aas paas rehti hai, wahan musalsal karne ke nishan hain, jahan momentum indicators ne ek be-ja kari ki karwi peshkash ki hai. GBP ka phir se ubhar traders mein skepticism ke saath mil raha hai jab wo ahem rukawat sataron ka muqabla karta hai. Agar jodi 1.2580 ke aas paas ke ikhtisar zone aur 1.2480 ke zaroori support level ko tor na sake, to ye traders mein zyada pessimistic fehmi ko laa sakta hai. Aisi surat mein, aik saral hawaar par neeche ki taraf murad ke liye raste ki tayari hogi jo 1.2390 ke qawi rukawat ko nishana banata hai, jismein market ki fehmi ka aik muddat hota hai.

                                GBP/USD H4 Time Frame:

                                Hal ab technical indicators jaise ke Moving Average Convergence Divergence (MACD) aur Relative Strength Index (RSI) traders ko thodi raahat nahi de rahe, jo aik pur-asrar aur ehtiyaat bhara manzar banate hain. MACD jo ke do moving averages ke darmiyan taluqat ko track karta hai, ek naytral se bearish nazar-e-andaz ka ishaara deta hai, jo ke market mein yaqeen ki kami ka tasawwur dikhata hai. Isi tarah, RSI, aik momentum oscillator, clear rukh ko dene mein nakami ka sabab banta hai, jis se jodi ke short term ke raaste ke ird gird tanav ko mazeed shadeed karta hai. Is manzar ke samne, traders ko ehtiyaat aur chokas rahna mashwara diya jata hai, jabke GBP/USD jodi aik manzar-e-ghumnam aur be-yaqeeni ke samundar mein taireen karti hai. Jab ke ubharne ki koshishen umeed ki ek roshni faraham kar sakti hain, lekin qawi rukawat sataron ke maujoodgi aur be-ja kari ke momentum indicators ne chokas rahne ki zarurat ko samjha deta hai. Ahem support aur resistance sataron ko nigrani karna, sath hi technical indicators ko, jodi ka agla qadam jaan ne aur forex market ke turbat sataron mein taireen karne ke liye zaroori hoga. Aakhri mein, GBP/USD jodi apne aik aham lamha par hai, behtari aur mazeed nichle potential ke darmiyan daanste hue. Jabke ikhtisar zone qeemat ki karwai ko rokta hai aur momentum indicators aik shumara kharaab tasveer banate hain, traders ko chokas rahne aur markazi raftar ki raftar ke mutabiq janae wale market dynamics ke liye adapt hona chahiye.




                                   

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