USD/JPY ایکسچینج ریٹ: آج کی قیمت اور مارکیٹ تجزیہ
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  • #12721 Collapse

    Friday ko, trading pair mein price action ne upper boundary se ek significant reversal dikhaya, jo market sentiment mein tabdeeli ka ishara deta hai. Yeh movement aksar economic data releases, geopolitical events, ya trader positioning mein changes ki wajah se hoti hai. Monday ke liye agay dekhein to downward movement ke barqarar rehne ke imkanaat zyada hain. Abhi tak ka trajectory yeh indicate karta hai ke price aur neeche gir ke channel ki lower boundary, yani 148.65 ka target kar sakta hai.

    Yeh level technical analysis mein bohot ahmiyat rakhta hai. Channels support aur resistance zones ke taur par kaam karte hain, aur lower boundary wo point hota hai jahan buyers interest dikha sakte hain. Agar price 148.65 tak pohanchta hai, to yeh dekhna zaroori hoga ke market kaise react karta hai. Agar price is level par stable na reh saka aur neeche gir gaya, to yeh bearish sentiment ka izafa show karega, jo price ko aur neeche ke levels par le ja sakta hai, selling pressure ke saath.

    Lekin, agar price lower boundary 148.65 par support dikhata hai – jaise ke lower prices reject hon ya bullish candlestick patterns samne aayein – to traders isko ek buying opportunity samajh sakte hain. Is level se bounce karke price dobara upper boundary ki taraf jaa sakta hai, jo qareeban 149 ka target ho sakta hai. Yeh upward movement market sentiment aur buyers ki strength par depend karega.

    Trading environment ko assess karte waqt broader economic context ko bhi nazar mein rakhna zaroori hai, kyun ke interest rate decisions, inflation reports, aur employment data jese factors trader expectations ko shape karte hain aur currency pairs mein volatility laa sakte hain. Agar weekend ya agle hafte ke aghaaz mein koi relevant economic data release hota hai, to yeh price ki direction ko badal bhi sakta hai.

    Traders ko technical indicators par bhi nazar rakhni chahiye jo extra insights provide kar sakte hain. Jaise ke **Relative Strength Index (RSI)**, jo yeh batata hai ke pair overbought hai ya oversold. Agar RSI 30 se neeche ho, to iska matlab hota hai ke pair oversold hai lower boundary par. Agar RSI 70 se upar ho, to yeh overbought conditions indicate karta hai, jo long positions ke liye khatra ban sakti hain. Iske ilawa, moving averages dynamic support aur resistance levels ke taur par kaam karte hain, aur unka crossover trend reversal ka signal bhi de sakta hai.

    Jese hi week unfold hoga, market participants ko key patterns ya breakouts ko observe karte rehna hoga. Upper aur lower channel boundaries ke darmiyan ka interplay bohot crucial hoga. Agar price isi range mein confined rahta hai, to traders ko yeh levels ke darmiyan oscillate karte dekhne ka imkaan hai. Lekin agar price ne decisive break diya, to yeh ek significant trend shift ka indication ho sakta hai.

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    Ab tak ke price action ne jo upper boundary se turn dikhaya hai, wo agle moves ko shape karega. Agar price 148.65 tak girta hai aur support milti hai, to ek bounce ka imkaan hai jo upper boundary tak wapas le ja sakta hai. Wagarna, agar price channel ke neeche break karta hai, to market aur ziada decline kar sakta hai. Yeh evolving situation ko navigate karne ke liye technical analysis aur market developments par focus rakhna bohot zaroori hai.
       
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    • #12722 Collapse

      USD/JPY pair, jo abhi 150.952 ke qareeb hai, recent trading sessions mein bearish trend dikhayi de rahi hai. Iska matlab hai ke U.S. dollar, Japanese yen ke muqablay mein kamzor ho raha hai, halaan ke market dheemi raftaar se chal rahi hai. Is slow movement ke bawajood kuch factors hain jo agle dino mein ek bara move hone ka ishara de rahe hain.

      Ek aham wajah jo USD/JPY mein significant shift ka imkaan barhati hai, wo hai macroeconomic landscape. U.S. dollar par pressure hai, khas kar Federal Reserve ke agle monetary policy ke hawalay se paida hui uncertainty ki wajah se. Inflation control karne ke liye Fed ne aggressive interest rate hikes kiye, magar ab wo ek cautious approach le raha hai, jis se dollar ki bullish momentum kamzor ho gayi hai. Agar Fed apni policy stable rakhne ka ishara de, ya rate cut ka zikr kare, to dollar mazeed kamzor ho sakta hai yen ke muqablay mein.

      Doosri taraf, Japanese yen bhi pressure mein hai Japan ki ultra-loose monetary policy ki wajah se. Bank of Japan (BOJ) abhi bhi negative interest rates aur yield curve control measures ko barqarar rakhe hue hai taake economy ko support mile. Magar hal hi mein ye speculation hai ke BOJ apni policy mein shift laa sakta hai. Agar BOJ apni policies normalize karna shuru karta hai, to yen rapidly mazboot ho sakta hai, aur USD/JPY mein sharp downward move dekhne ko mil sakti hai.

      Geopolitical factors aur global risk sentiment bhi iss pair par asar daalte hain. Yen ko aksar safe-haven currency samjha jata hai, jo ke global uncertainty ke doran appreciate karti hai. Agar geopolitical tensions barh jati hain ya stock market correction hoti hai, to traders yen ki taraf move karenge, jo USD/JPY ko neeche le ja sakti hai.

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      **Nateeja**: USD/JPY ka current trend bearish hai aur market dheemi chal rahi hai, magar kuch factors is baat ki nishani hain ke ek bara move hone wala hai. Agar Federal Reserve ya Bank of Japan ki policies mein shift aayi, to currency pair ki direction dramatically change ho sakti hai. Sath hi, agar global risk mein izafa hota hai to yen ki rally ho sakti hai. Traders ko central bank announcements, economic data, aur global events par nazar rakhni chahiye, kyun ke yeh factors USD/JPY mein sharp movements laa sakte hain.
         
      • #12723 Collapse

        resistance level 145.00 jo closing prices pe bana tha, upar ki taraf break ho gaya. In haalaat ne growth ke haq mein kaafi asar dala. MACD indicator ne bullish divergence ko pehchana aur tasdeeq ki, jo yahan form hui thi, aur wedge pattern bhi dekha gaya. September ke aakhri dino mein jo downward rollback hua, usay hum doosri wave samajh sakte hain. Agar hum pehli wave par Fibonacci grid lagayein, toh hum dekhte hain ke ek potential growth target hai 161.8 ka level, jise hum ne achieve kar liya. CCI indicator ab bearish divergence ko show kar raha hai, jo yeh indicate karta hai ke ab ek corrective decline hone ke imkaanat bohot zyada hain kyun ke growth target already determine ho chuka hai. Fibonacci grid ke mutabiq target ko achieve karne ke ilawa, humne pehle ki waves ke tops ko bhi update kiya. Yeh ek potential sales zone hai. Digar major pairs ke market mein bhi correction shuru ho rahi hai jab ke US dollar ka kaafi arsay tak strength dekhne ko mila. Chhoti time frame, yani H4 period mein, MACD indicator ne bearish divergence ko highlight kiya hai, jo ke ek strong sell signal hai. Pooray analysis ko dekhte hue, sirf sell formations intraday trading ke liye consider ki ja rahi hain. Jo kuch upar ki taraf hai, usay nazarandaz karna chahiye kyun ke growth potential ab pehle jaisa nahi raha. Ab zyadah tar chance sellers ke haq mein ja rahe hain. H4 pe sirf ek confirmation chahiye, jo ke consolidation ascending support line ke neeche ho jahan abhi price khadi hai. Yeh line bhi detail mein dekhne ko milti hai. Reduction ke targets 147.03 aur 145.00 hain. Prices abhi weekly highs ke paas thodi upar chal rahi hain. Central support area test ho chuka hai aur abhi tak quotes ko hold kar raha hai, jo yeh dikhata hai ke abhi tak current upside vector valid hai. 147.45 ke upar ek consolidation chahiye jo ek key support area ke qareeb hai, taake ek sustainable upside barqarar rahe. Is level ka retest aur uske baad ek upward bounce ek nai wave ka raasta khol sakta hai, jo 151.80 aur 153.35 ke areas ko
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        • #12724 Collapse

          , usay hum doosri wave samajh sakte hain. Agar hum pehli wave par Fibonacci grid lagayein, toh hum dekhte hain ke ek potential growth target hai 161.8 ka level, jise hum ne achieve kar liya. CCI indicator ab bearish divergence ko show kar raha hai, jo yeh indicate karta hai ke ab ek corrective decline hone ke imkaanat bohot zyada hain kyun ke growth target already determine ho chuka hai. Fibonacci grid ke mutabiq target ko achieve karne ke ilawa, humne pehle ki waves ke tops ko bhi update kiya. Yeh ek potential sales zone hai. Digar major pairs ke market mein bhi correction shuru ho rahi hai jab ke US dollar ka kaafi arsay tak strength dekhne ko mila. Chhoti time frame, yani H4 period mein, MACD indicator ne bearish divergence ko highlight kiya hai, jo ke ek strong sell signal hai. Pooray analysis ko dekhte hue, sirf sell formations intraday trading ke liye consider ki ja rahi hain. Jo kuch upar ki taraf hai, usay nazarandaz karna chahiye kyun ke growth potential ab pehle jaisa nahi raha. Ab zyadah tar chance sellers ke haq mein ja rahe hain. H4 pe sirf ek confirmation chahiye, jo ke consolidation ascending support line ke neeche ho jahan abhi price khadi hai. Yeh line bhi detail mein dekhne ko milti hai. Reduction ke targets 147.03 aur 145.00 hain. Prices abhi weekly highs ke paas thodi upar chal rahi hain. Central support area test ho chuka hai aur abhi tak quotes ko hold kar raha hai, jo yeh dikhata hai ke abhi tak current upside vector valid hai. 147.45 ke upar ek consolidation chahiye jo ek key support area ke qareeb hai, taake ek sustainable upside barqarar rahe. Is level ka retest aur uske baad ek upward bounce ek nai wave ka raasta khol sakta hai, jo 151.80 aur 153.35 ke areas ko target


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          • #12725 Collapse

            , usay hum doosri wave samajh sakte hain. Agar hum pehli wave par Fibonacci grid lagayein, toh hum dekhte hain ke ek potential growth target hai 161.8 ka level, jise hum ne achieve kar liya. CCI indicator ab bearish divergence ko show kar raha hai, jo yeh indicate karta hai ke ab ek corrective decline hone ke imkaanat bohot zyada hain kyun ke growth target already determine ho chuka hai. Fibonacci grid ke mutabiq target ko achieve karne ke ilawa, humne pehle ki waves ke tops ko bhi update kiya. Yeh ek potential sales zone hai. Digar major pairs ke market mein bhi correction shuru ho rahi hai jab ke US dollar ka kaafi arsay tak strength dekhne ko mila. Chhoti time frame, yani H4 period mein, MACD indicator ne bearish divergence ko highlight kiya hai, jo ke ek strong sell signal hai. Pooray analysis ko dekhte hue, sirf sell formations intraday trading ke liye consider ki ja rahi hain. Jo kuch upar ki taraf hai, usay nazarandaz karna chahiye kyun ke growth potential ab pehle jaisa nahi raha. Ab zyadah tar chance sellers ke haq mein ja rahe hain. H4 pe sirf ek confirmation chahiye, jo ke consolidation ascending support line ke neeche ho jahan abhi price khadi hai. Yeh line bhi detail mein dekhne ko milti hai. Reduction ke targets 147.03 aur 145.00 hain. Prices abhi weekly highs ke paas thodi upar chal rahi hain. Central support area test ho chuka hai aur abhi tak quotes ko hold kar raha hai, jo yeh dikhata hai ke abhi tak current upside vector valid hai. 147.45 ke upar ek consolidation chahiye jo ek key support area ke qareeb hai, taake ek sustainable upside barqarar rahe. Is level ka retest aur uske baad ek upward bounce ek nai wave ka raasta khol sakta hai, jo 151.80 aur 153.35 ke areas ko target


            Click image for larger version

Name:	image_260452.jpg
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            • #12726 Collapse

              , jo market sentiment mein tabdeeli ka ishara deta hai. Yeh movement aksar economic data releases, geopolitical events, ya trader positioning mein changes ki wajah se hoti hai. Monday ke liye agay dekhein to downward movement ke barqarar rehne ke imkanaat zyada hain. Abhi tak ka trajectory yeh indicate karta hai ke price aur neeche gir ke channel ki lower boundary, yani 148.65 ka target kar sakta hai.
              Yeh level technical analysis mein bohot ahmiyat rakhta hai. Channels support aur resistance zones ke taur par kaam karte hain, aur lower boundary wo point hota hai jahan buyers interest dikha sakte hain. Agar price 148.65 tak pohanchta hai, to yeh dekhna zaroori hoga ke market kaise react karta hai. Agar price is level par stable na reh saka aur neeche gir gaya, to yeh bearish sentiment ka izafa show karega, jo price ko aur neeche ke levels par le ja sakta hai, selling pressure ke saath.

              Lekin, agar price lower boundary 148.65 par support dikhata hai – jaise ke lower prices reject hon ya bullish candlestick patterns samne aayein – to traders isko ek buying opportunity samajh sakte hain. Is level se bounce karke price dobara upper boundary ki taraf jaa sakta hai, jo qareeban 149 ka target ho sakta hai. Yeh upward movement market sentiment aur buyers ki strength par depend karega.

              Trading environment ko assess karte waqt broader economic context ko bhi nazar mein rakhna zaroori hai, kyun ke interest rate decisions, inflation reports, aur employment data jese factors trader expectations ko shape karte hain aur currency pairs mein volatility laa sakte hain. Agar weekend ya agle hafte ke aghaaz mein koi relevant economic data release hota hai, to yeh price ki direction ko badal bhi sakta hai.

              Traders ko technical indicators par bhi nazar rakhni chahiye jo extra insights provide kar sakte hain. Jaise ke **Relative Strength Index (RSI)**, jo yeh batata hai ke pair overbought hai ya oversold. Agar RSI 30 se neeche ho, to iska matlab hota hai ke pair oversold hai lower boundary par. Agar RSI 70 se upar ho, to yeh overbought conditions indicate karta hai, jo long positions ke liye khatra ban sakti hain. Iske ilawa, moving averages dynamic support aur resistance levels ke taur par kaam karte hain, aur unka crossover trend reversal ka signal bhi de sakta hai.


              Click image for larger version

Name:	image_260452.jpg
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              • #12727 Collapse

                USD/JPY pair, jo abhi 150.952 ke qareeb hai, recent trading sessions mein bearish trend dikhayi de rahi hai. Iska matlab hai ke U.S. dollar, Japanese yen ke muqablay mein kamzor ho raha hai, halaan ke market dheemi raftaar se chal rahi hai. Is slow movement ke bawajood kuch factors hain jo agle dino mein ek bara move hone ka ishara de rahe hain.
                Ek aham wajah jo USD/JPY mein significant shift ka imkaan barhati hai, wo hai macroeconomic landscape. U.S. dollar par pressure hai, khas kar Federal Reserve ke agle monetary policy ke hawalay se paida hui uncertainty ki wajah se. Inflation control karne ke liye Fed ne aggressive interest rate hikes kiye, magar ab wo ek cautious approach le raha hai, jis se dollar ki bullish momentum kamzor ho gayi hai. Agar Fed apni policy stable rakhne ka ishara de, ya rate cut ka zikr kare, to dollar mazeed kamzor ho sakta hai yen ke muqablay mein.

                Doosri taraf, Japanese yen bhi pressure mein hai Japan ki ultra-loose monetary policy ki wajah se. Bank of Japan (BOJ) abhi bhi negative interest rates aur yield curve control measures ko barqarar rakhe hue hai taake economy ko support mile. Magar hal hi mein ye speculation hai ke BOJ apni policy mein shift laa sakta hai. Agar BOJ apni policies normalize karna shuru karta hai, to yen rapidly mazboot ho sakta hai, aur USD/JPY mein sharp downward move dekhne ko mil sakti hai.

                Geopolitical factors aur global risk sentiment bhi iss pair par asar daalte hain. Yen ko aksar safe-haven currency samjha jata hai, jo ke global uncertainty ke doran appreciate karti hai. Agar geopolitical tensions barh jati hain ya stock market correction hoti hai, to traders yen ki taraf move karenge, jo USD/JPY ko neeche le ja

                Click image for larger version

Name:	image_260452.jpg
Views:	21
Size:	63.6 کلوبائٹ
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                • #12728 Collapse

                  ne growth ke haq mein kaafi asar dala. MACD indicator ne bullish divergence ko pehchana aur tasdeeq ki, jo yahan form hui thi, aur wedge pattern bhi dekha gaya. September ke aakhri dino mein jo downward rollback hua, usay hum doosri wave samajh sakte hain. Agar hum pehli wave par Fibonacci grid lagayein, toh hum dekhte hain ke ek potential growth target hai 161.8 ka level, jise hum ne achieve kar liya. CCI indicator ab bearish divergence ko show kar raha hai, jo yeh indicate karta hai ke ab ek corrective decline hone ke imkaanat bohot zyada hain kyun ke growth target already determine ho chuka hai. Fibonacci grid ke mutabiq target ko achieve karne ke ilawa, humne pehle ki waves ke tops ko bhi update kiya. Yeh ek potential sales zone hai. Digar major pairs ke market mein bhi correction shuru ho rahi hai jab ke US dollar ka kaafi arsay tak strength dekhne ko mila. Chhoti time frame, yani H4 period mein, MACD indicator ne bearish divergence ko highlight kiya hai, jo ke ek strong sell signal hai. Pooray analysis ko dekhte hue, sirf sell formations intraday trading ke liye consider ki ja rahi hain. Jo kuch upar ki taraf hai, usay nazarandaz karna chahiye kyun ke growth potential ab pehle jaisa nahi raha. Ab zyadah tar chance sellers ke haq mein ja rahe hain. H4 pe sirf ek confirmation chahiye, jo ke consolidation ascending support line ke neeche ho jahan abhi price khadi hai. Yeh line bhi detail mein dekhne ko milti hai. Reduction ke targets 147.03 aur 145.00 hain. Prices abhi weekly highs ke paas thodi upar chal rahi hain. Central support area test ho chuka hai aur abhi tak quotes ko hold kar raha hai, jo yeh dikhata hai ke abhi tak current upside vector valid hai. 147.45 ke upar ek consolidation chahiye jo ek key support area ke qareeb hai, taake ek sustainable upside barqarar rahe. Is level ka retest aur uske baad ek upward bounce ek nai wave ka raasta khol sakta hai, jo 151.80 aur 153.35 ke areas ko

                  Click image for larger version

Name:	image_260452.jpg
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                  • #12729 Collapse

                    Trading environment ko assess karte waqt broader economic context ko bhi nazar mein rakhna zaroori hai, kyun ke interest rate decisions, inflation reports, aur employment data jese factors trader expectations ko shape karte hain aur currency pairs mein volatility laa sakte hain. Agar weekend ya agle hafte ke aghaaz mein koi relevant economic data release hota hai, to yeh price ki direction ko badal bhi sakta hai.
                    Traders ko technical indicators par bhi nazar rakhni chahiye jo extra insights provide kar sakte hain. Jaise ke **Relative Strength Index (RSI)**, jo yeh batata hai ke pair overbought hai ya oversold. Agar RSI 30 se neeche ho, to iska matlab hota hai ke pair oversold hai lower boundary par. Agar RSI 70 se upar ho, to yeh overbought conditions indicate karta hai, jo long positions ke liye khatra ban sakti hain. Iske ilawa, moving averages dynamic support aur resistance levels ke taur par kaam karte hain, aur unka crossover trend reversal ka signal bhi de sakta hai.

                    Jese hi week unfold hoga, market participants ko key patterns ya breakouts ko observe karte rehna hoga. Upper aur lower channel boundaries ke darmiyan ka interplay bohot crucial hoga. Agar price isi range mein confined rahta hai, to traders ko yeh levels ke darmiyan oscillate karte dekhne ka imkaan hai. Lekin agar price ne decisive break diya, to yeh ek significant trend shift ka indication ho sakta hai

                    Click image for larger version

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                    • #12730 Collapse

                      USD/JPY USD/JPY ne haal hi mein aik bullish breakout dekha, jismein 149.29 ka ahm resistance level test kiya gaya, jo pehle mid-August mein price action ko reject kar chuka tha. Yeh surge strong U.S. Dollar fundamentals ki wajah se aaya, jo solid economic data aur Federal Reserve ke hawkish stance se support ho raha tha. Yeh contrast tha Bank of Japan ki dovish policy ke sath, jisne Japanese Yen ko kamzor rakha hai. Jab USD/JPY ne 149.29 tak pohoncha, toh buyers ne profits lene shuru kar diye, jis se ek halka retracement dekhne ko mila. Filhaal USD/JPY dheere dheere 147.29 ke support level ki taraf wapas aa raha hai, aur aage chal kar critical low 145.92 tak ja sakta hai. Yeh zone bulls ke liye ek ahm entry point sabit ho sakta hai, khas kar jab ke overall trend ab bhi bullish hai. Yeh pullback ek consolidation phase lagta hai, jo buyers ko wapas regroup karne ka mauqa de raha hai, taake woh phir se price ko upar dhakel sakein. Bank of Japan ki policy rate aur press conference ne bhi sellers ko support diya hai, lekin buyers ab bhi market par pressure dal rahe hain. Iske natayej mein, bullish momentum dobara se shuru ho sakta hai. Aik news-based strategy ka istemal karna aur saath hi market ka technical analysis karna bohot zaroori hai. Is approach se traders ko data ko gehrai mein samajhne ka mauqa milta hai aur market ke dynamics mein tabdiliyon ka andaza lagaya ja sakta hai. Global perspective rakhne wale traders ko maloom hota hai ke U.S. monetary policy ke tabdeeliyon ka asar international economies, commodities, aur equities par hota hai. Yeh tabdeeliyan mukhtalif investment strategies ke liye mauqay paida karti hain. Mera andaza hai ke USD/JPY market resistance zone 142.75 ko cross karayega. FOMC ke member HarkerClick image for larger version


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                      • #12731 Collapse

                        USD/JPY karansi pair, jo ke is waqt lagbhag 152.30 par trade kar raha hai, ahista ahista bearish trend dikhaya hai, jo kuch market ke do-mind honay ka ishara hai. Pair ki movement slow hai, jo yeh suggest karti hai ke traders koi significant economic ya policy announcement ka intezar kar rahe hain jo ke price ko ek wazeh direction mein le ja sakti hai. Iss gradual bearish trend ke bawajood, kuch strong indicators hain jo dikhate hain ke USD/JPY pair aglay kuch dinon mein ek bara movement dekh sakta hai. Kuch ahem factors, jaise ke interest rate expectations aur geopolitical dynamics, iss potential shift ko shape de sakte hain.
                        Ek ahem factor jo USD/JPY ko affect kar raha hai wo U.S. Federal Reserve ki interest rate policies hain. Fed inflation ko control karne ke liye rate hike kar raha hai, jo ke traditionally dollar ko strengthen karta hai. Lekin, agar Fed apne rate hikes ko pause karne ya slow down karne ka ishara deta hai, toh ye dollar mein weakness la sakta hai, jo USD/JPY pair ko neeche ki taraf dhakel sakta hai. Waisa hi, agar Fed apni hawkish stance maintain karta hai, toh ye dollar mein ek tezi se upar ki taraf movement la sakta hai. Ye uncertainty jo U.S. economy mein hai, traders ke liye mushkil bana deti hai ke wo pair ki direction ka andaza lagayen, aur ye aane wale Fed comments ya economic data ke basis par sharp moves ka stage set kar sakta hai.

                        Bank of Japan (BoJ) ki policies bhi ek aur important driver hain. Tareekhi tor par, BoJ ne apni economy ko support karne ke liye ultra-low interest rate policy rakhi hai, jo zyada tar ek weaker yen ka sabab banti hai. Magar, rising inflation pressures aur changing global economic landscape ki wajah se Japan ka central bank apni approach ko reconsider kar sakta hai. Agar BoJ apne stance ko hawkish ki taraf shift karta hai, hatta ke subtly bhi, toh ye ek strong yen ka sabab ban sakta hai, jo USD/JPY pair ko jaldi se neeche dhakel sakta hai. BoJ ki policy mein kisi bhi tabdeeli ka ishara traders ke liye kafi maani rakhta hai, aur wo yen ke potential appreciation ka faida uthana chahenge. Japan ke policy mein tightening ka sirf ek imkaan bhi market mein unpredictability create karta hai, aur traders koi bhi shift ka signal milne ka intezar kar rahe hain.

                        Technical analysis bhi kuch aur clues provide karta hai ke USD/JPY pair apne current pattern se breakout kar sakta hai. Pair ne kuch key resistance aur support levels ke qareeb trade kiya hai, jahan par traders ne khas taur par 152.50 level ko monitor karna shuru kar diya hai. Agar price is point ko breach karti hai, toh ye momentum-based trading set kar sakta hai jo ek tezi se upar ki taraf trend lead karega. Dusri taraf, agar pair kuch ahem support levels ke neeche girta hai, toh ye ek bearish trend ko confirm kar sakta hai, jo recent downside movement ko reinforce karega.
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                        Mukhtasir mein, halan ke USD/JPY pair ahista aur bearish pace mein hai, magar U.S. interest rates mein possible changes, Bank of Japan ka watchful hona, aur critical technical levels ka combination is cheez ko suggest karta hai ke aglay kuch dinon mein major movement aasakti hai. Fundamental aur technical factors ki wajah se uncertainty ko dekhte hue, traders ko alert rehna chahiye, kyunke koi bhi policy shifts ya key economic indicators USD/JPY ko ek significant trend mein le ja sakte hain.
                           
                        • #12732 Collapse

                          USD/JPY currency pair, jo ke filhal 152.37 par trade ho rahi hai, recent movement ki wajah se traders ka focus ban chuki hai, khaaskar jab se yeh downward trend mein hai. Aaj kal yeh pair thore se bearish trend mein hai, jo ke aksar market ki hesitation ya cautious approach ko show karta hai, kyun ke traders potential future movements ko analyze karte hain. Market ka pace alag alag global economic factors par depend kar sakta hai, jaise fluctuating interest rates, Japan ki monetary policies, aur U.S. Federal Reserve ka stance. Phir bhi, kuch aise signs hain jo ke agle kuch dino mein significant movement ka potential show kar rahe hain, kyun ke kai conditions align ho rahi hain.Yeh bearish trend broader market mein ek bada pattern form karne ki taraf ishara kar sakta hai. Aise kuch reasons hain jo ke is movement ko push kar sakte hain. Pehle toh, Federal Reserve ka stance interest rates par important hai. Agar Fed rate hikes ko rokne ya kam karne ka ishara deta hai, to U.S. dollar kamzor ho sakta hai, jo ke pair ko aur neeche le ja sakta hai. Wahan par, agar Fed inflation ko aggressively tackle karte hue hawkish approach ko emphasize karta hai, to dollar mazid strong ho sakta hai, aur sharp upward movement dekhne ko mil sakti hai. U.S. policy mein is tarah ke changes ek pronounced swing ke liye catalyst ban sakte hain.Japan ka central bank, Bank of Japan (BoJ), bhi is outlook mein significant role play karta hai. Historically, BoJ ne ultra-loose monetary policy rakhi hai, khaaskar jab ke Fed iske muqablay mein tight stance rakhta hai, jo ke yen ko dollar ke muqablay mein weak karta hai. Lekin agar Japan inflationary pressures ya dusre economic factors ko madde nazar rakhte hue apni policy ko tighten karta hai, to yen mein significant strength aa sakti hai. Aisi shift USD/JPY mein sharp drop cause kar sakti hai, khaaskar agar BoJ ka stance global tightening trends ke sath aligned ho jaye. Traders BoJ ke kisi bhi minor signal ko closely dekh rahe hain, kyun ke aise signs pair par substantial effects daal sakte hain.Technical indicators bhi insight provide karte hain. Recent chart patterns potential breakout ya breakdown ki taraf ishara karte hain. Yeh pair resistance levels ke kareeb hover kar raha hai, aur agar yeh kisi specific price point ko break karta hai, to momentum-based trading trigger ho sakti hai. Technical analysis use karne wale traders key levels, jaise 152.50 aur 153, ko closely monitor kar rahe hain, kyun ke in levels ko cross karna bullish continuation ko confirm kar sakta hai, jab ke break below deeper bearish trend ko support kar sakta hai.
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                          • #12733 Collapse

                            **T E C H N I C A L _ A N A L Y S I S** **U S D / C H F**

                            Hello, aaj mein USD/CHF price ka in-depth tajziya karunga taa ke low risk ke saath trade ki ja sake. Sab ka shukriya ke aap meri post parh rahe hain aur apne doston aur family ke saath enjoy kar rahe hain. Ab hum week ke aakhri din mein dakhil ho rahe hain. USD/CHF is waqt 0.8666 par trade kar raha hai jabke mein yeh likh raha hoon. Is chart mein buyers ka pressure bhara hua hai. Halaat ke mutabiq, yeh trend abhi bhi kaafi strong hai. Is chart mein, Relative Strength Index (RSI) ka value 55 hai jo ye dikhata hai ke market mein positivity hai lekin yeh overbought nahi hai, kyunke RSI abhi 55 par hai. Sath hi, Moving Average Convergence Divergence (MACD) bhi bullish signal dikhata hai, kyunke signal line ya slow line zero line ya midline ke upar hai. Moving averages bhi bullish signal dikhate hain kyunke is chart reference ke mutabiq, bullish trend barqarar hai kyunke candles abhi bhi mere use kiye gaye 2 major MAs ke upar move kar rahi hain.

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                            USD/CHF ke liye significant resistance level 0.8673 hai. Agar USD/CHF is waqt 0.8673 ka upper level break karta hai, to hum USD/CHF mein strength dekh sakte hain aur USD/CHF mazid barh kar 0.8684 level ki taraf jayega jo ke doosra resistance level hai. Iske baad, USD/CHF mazid teesre resistance level ki taraf barh sakta hai. Dusri taraf, USD/CHF ke liye significant support level 0.8649 hai. Agar USD/CHF is waqt 0.8649 ka support break karta hai, to USD/CHF kamzor ho sakta hai aur neeche gir kar 0.8635 level tak pohonch sakta hai jo ke doosra support level hai. Uske baad, USD/CHF mazid teesre support level ki taraf gir sakta hai. Is waqt ke frame mein, price uptrend structure bana rahi hai. To summary mein, aaj ka USD/CHF trading plan buy karna hai.
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                            **Indicators jo chart mein use hue hain:**

                            * MACD indicator:
                            * RSI indicator period 14:
                            * 50-day exponential moving average (color Orange):
                            * 20-day exponential moving average (color Magenta)
                               
                            • #12734 Collapse

                              USD/CHF (U.S. Dollar/Swiss Franc) exchange rate abhi 0.86505 par hai, jo ke currency pair mein bearish trend ko darshaata hai. Yeh bearish trend yeh zahir karta hai ke U.S. dollar ki value Swiss franc ke muqable mein kamzor ho rahi hai. Market ke hissa daar aise trends ko aam tor par future movements ke liye signals ke tor par dekhte hain, aur mojooda indicators ke mutabiq, yeh mumkin hai ke USD/CHF pair jald hi kisi significant movement ka samna kare. Jabke bearish sentiment kuch waqt tak barqarar reh sakta hai, kuch indicators yeh bhi darshaate hain ke yeh sirf temporary ho sakta hai, aur ek reversal ki sambhavnayein hain.
                              Is outlook ka aik sabab yeh hai ke bearish trends, khaaskar jo dheere dheere aur mustehkam ghat rahe hain, aksar jab critical support ya resistance levels ke qareeb pohonchte hain, to unmein bade movements ko janam dete hain. USD/CHF ke case mein, yeh pair abhi aik historically significant support level ke qareeb hai. Jab currency pairs aise levels ke qareeb aate hain, to aksar yeh ya to break karte hain, jo ke tezi se neeche ki taraf trend ko janam deta hai, ya phir agar buyers market mein dobara re-enter karte hain to yeh sharply reverse ho jaate hain.

                              Ek aur factor jo consider karna hai, wo yeh hai ke U.S. aur Switzerland ki economic outlook kya hai. Haal hi mein, U.S. Federal Reserve apni monetary policy mein kaafi ehtiyaat barat raha hai, lekin agar inflationary pressure ya economic resilience ke signs milte hain, to Fed ko zyada aggressive stance apnane par majboor kar sakta hai. Agar Fed umeed se pehle ya zyada significant taur par interest rates barhata hai, to is se dollar mazboot ho sakta hai, jo ke bearish trend ko reverse kar sakta hai. Iske muqable, agar Swiss National Bank apni monetary policy ko relatively stable rakhta hai, to is se franc ko mazid support mil sakta hai, jo ke bearish trend ko aage barhane mein madadgar sabit ho sakta hai.

                              Traders aur investors ko global risk factors ko bhi nazar mein rakhna chahiye, jaise ke geopolitical events aur global economic performance, kyunke inka asar USD/CHF pair par hota hai, khas taur par Swiss franc ki safe-haven currency ke tor par ahmiyat ki wajah se. Global uncertainty ke doran, investors aksar franc ki taraf jhuk jaate hain, jo ke isay dollar ke muqable mazboot kar sakta hai. Dusri taraf, agar global stability behtar hoti hai, to franc ki appeal kam ho sakti hai, jo ke USD/CHF mein potential upward movement ko janam de sakta hai.
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                              Khulasay mein, jabke USD/CHF abhi bearish sentiment dikhata hai, yeh trend sirf temporary ho sakta hai. Key support levels, economic indicators, aur global risk factors sab mil kar aane wale dinon mein bade movements ko janam de sakte hain. Yeh trend jaari rahega ya phir reverse hoga, yeh in factors ke outcome par depend karega, is liye traders ko vigilant rehna chahiye aur trading decisions lene se pehle technical aur fundamental signals ko dhyan mein rakhna chahiye.
                                 
                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #12735 Collapse

                                ### USD/JPY H4 Trading Chart Analysis
                                USD/JPY market mein price movement pichle kuch dinon se established trend ke saath consistent raha hai. Ek mid-week correction ke baad, market ne buyer-driven upward trend dikhaya hai jo week ke end tak chala. Yahan koi strong bearish signals nahi hain, aur weekly timeframe yeh dikhata hai ke upward trend ke chalu rehne ki sambhavnayein hain, jo kisi bhi temporary price dips se faida uthane ka mauka deti hain. USD/JPY pair ke 4-hour timeframe ka jaiza lene par, market ne pichle haftay ke muqablay mein aur bhi strong bullish momentum mehsoos kiya hai, jo agle haftay ke trading ke liye buyers ke liye optimistic outlook ko mazid barhata hai.

                                Price kaafi hafte se upward trajectory par hai, aur aakhir kar 152.07 ke resistance level ko break karne mein kamiyab raha hai, jo ab ek support level ban gaya hai. Yeh yeh darshata hai ke market mein price ke izafa hone ki sambhavnayein hain. Agar sabse uncha level jo buyers ab tak nahi touch kar sake hain ko dekha jaye, toh price agle haftay aur bhi barh sakta hai aur naya resistance level establish kar sakta hai. Jabke sellers ne pichle haftay price ko neeche dhakelne ki koshish ki, jo 149.10 ke area tak pahuncha, lekin bearish movement aakhirkar nakam rahi, aur price barh gaya, jo yeh darshata hai ke buyers apni dominance banaye rakh sakte hain aur bullish trend ko aage barha sakte hain.
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                                Jab market ne kal raat band hone tak bullish trend ka tajurba kiya, tab ek long bullish weekly candlestick bani. 4-hour chart ka jaiza lene par yeh pata chalta hai ke pichli price increase ne monthly resistance level ko penetrate nahi kiya, aur buyers lagta hai ke next bullish opportunity ka faida uthane ki koshish kar rahe hain taake price ko aur bhi upar le ja sakein. Filhal, stochastic indicator par signal line 5.3 par hai. Majority customers ab bhi prevailing force hain.
                                   

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