امریکی ڈالر/سوئس فرانک: شرح تبادلہ، خبریں اور تجزیے
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  • #8956 Collapse

    Friday ko ye currency pair sellers ke haq mein trade kar raha tha, kyunke bulls 0.8609 ke resistance level ko break nahi kar paaye. Hourly chart ki technical analysis is baat ka ishara de rahi hai ke aur bearish momentum baqi hai. Monday tak girawat jaari reh sakti hai, jahan bears ka target 0.849 ka level hoga. Lagta hai ke bears USD/CHF market mein ziada active ho rahe hain. 0.839 zone mein buyers ne bar bar bearish attacks ko roka hai, jo support level ko mazid mazboot bana raha hai, aur wahan se strong rebound ka mauqa ban raha hai. Is wajah se, recent sessions mein US dollar ne Swiss franc ke muqable mein kafi taqat hasil ki hai aur ek noticeable upward move dekha gaya. Is se pehle, 0.8429 se upward wave ka aaghaz 38.1% Fibonacci level pe ruk gaya tha, jo resistance ke tor pe kaam kar raha tha aur bears ko umeed di ke downtrend wapas shuru ho sakta hai short-term correction ke baad. Lekin sentiment badla, aur dollar ek safe-haven asset ke tor pe ziada maqbool ho gaya. Buyers ne shayad side line par khade hoke dekhna pasand kiya, jis se pair 0.853 ke upar jaane aur range se bahar nikalne mein kaamyab ho gaya. Phir bhi, ye upward momentum apni had tak pohoch gaya hai, aur sellers ne resistance ke qareeb 0.859 pe pakar banaye rakhi hai. 0.8549-59 ko support mein tabdeel karne ke bawajood, sellers ke paas mauqa hai ke established resistance ka faida uthayein aur bearish trend ko dobara initiate karein. Agar woh recent support levels 0.8509 aur aakhir mein 0.8449 ko overcome kar lein, to sellers apni pehli wali losses ko wapas le sakte hain, aur franc mazeed taqat hasil kar sakta hai, jo ke 0.839 zone ka dubara test karwa sakta hai. Jab sentiment shift hua, to dollar ek safe-haven asset ke tor par ziada maqbool ho gaya. Buyers ne shayad peechay hatna behtar samjha, jis se USD/CHF pair ne 0.853 ke upar break kiya aur range se bahar nikal aaya. Lekin upward momentum apna course pura kar chuka tha, aur sellers ne 0.859 ke qareeb resistance ko successfully hold kiya. 0.8549-59 ke support mein tabdeel hone ke bawajood, ab lagta hai ke sellers established resistance ka faida utha kar bearish trend ko dobara initiate karenge

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    • #8957 Collapse

      Abhi ke price 1.3726 ke range mein hai aur yeh low prices 1.3720 ko paar kar sakti hai, jo ek naya lower low pattern banayega. Agar iska ulta hota hai, to higher high banne ka mauka hai agar yeh successfully 1.3753 ke high prices ko paar kar leti hai. MACD indicator ke side par, bullish divergence signal tab aa sakta hai jab histogram volume falling price volume se match nahi karta, jo 1.3720 ke low prices ko paar karta hai. Stochastic indicator ke parameters jo oversold zone (20 - 10) mein enter kar rahe hain, yeh indicate karte hain ke price decline jald hi selling saturation point tak pohnch sakti hai. Trading recommendations ke liye, bearish trend direction ko follow karte rahiye, aur price ka SBR 1.3794 area ke aas-paas upward correction ka intezar karke SELL entry position place karein. Confirmation ke liye Stochastic indicator parameters ka overbought zone (90 - 80) ko cross karna bhi zaroori hai. Indicator histogram ka volume pehle se zyada hona chahiye taake bullish divergence signal ko negative area mein break kiya ja sake. Target placement take profit ke liye low 1.3720 ke aas-paas aur stop loss high prices 1.3855 par rakha jaye. abhi ke liye sabhi chaar basement indicators ek sell signal de rahe hain. Lekin, mujhe lagta hai ke pehle ek upar ki taraf correction hogi, uske baad yeh pair H1 channel ke lower boundary ki taraf decline karega. H4 chart par, pair ne ek bade girawat ke baad thoda slow down kiya hai aur mujhe lagta hai ke iske baad upar ki taraf correction dekhne ko milegi. Pehle teen basement indicators ne buy signal de diya hai. Is chart ke base par, mujhe umeed hai ke price upar ki taraf correction karegi, MA100 tak aur shayad usse thoda zyada. Maine kuch minute pehle do buy positions khol di hain aur profit levels set kiye hain. H4 chart par basement indicators mixed signals de rahe hain, jo ke itna valuable nahi hai. Lekin, upar ek target hai aur price ko us taraf move karna hoga jahan mere profit levels set hain. Summary yeh hai ke filhal pair ko present price par buy karna relevant hai, profit targets ke sath.

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      • #8958 Collapse

        USD/CHF currency pair ke price action par hamari analysis aur discussion ka markaz hoga. USD/CHF ke muqable mein, jahan Jumay ki khabron ne ziada uncertainty paida ki, USD/CHF ne ek clear bullish trend dikhaya. H4 time frame mein ek upward movement highlight hoti hai jo 1/4 margin zone se shuru hui, jo weekly RSI ke lower boundary ke sath coincide karti hai. Is area mein ek bullish engulfing candle nazar aayi, jahan market margin zone ke upar close hui, jo buyers ke strength ko zahir karta hai. Halanke recent lows ka thoda break dekhne ko mila, lekin yeh lows sirf marginally update hue, jo ek potential early reversal ka ishara karte hain. Yeh upward move broader downtrend ke andar ek correction ho sakti hai, lekin kuch signs further gains ki potential ki taraf ishara kar rahe hain. Nateeja yeh hai ke recent decline ne temporary uncertainty paida ki, lekin signs yeh suggest karte hain ke USD/CHF ke liye ek possible recovery ho sakti hai. Traders ko 0.8713 level ke aas-paas ke additional price action par nazar rakhni chahiye jab market critical support aur resistance levels ko test kare. Market ka concept ab buyers ke haq mein convert ho raha hai aur woh 0.8484 level ke qareeb pohanch gaye hain. Hum keh sakte hain ke yeh sentiment shift traders ke liye pehchan na zaroori hai, khaaskar ek correction ke period ke baad. Buyers kuch dinon se ziada active nahi rahe, kyunke correction ke period ne buying activity ko kamzor kiya. Market corrections aksar buying activity ko slow kar dete hain, kyunke traders price stabilization ka intezar karte hain. Magar ab waqt aa gaya hai ke buyers apne trades ko manage karein, kyunke market conditions behtar ho rahi hain. Broadly, USD/CHF market iss hafte 0.8634 ke resistance level ko cross kar sakta hai. Yad rahe ke support levels wo price floors represent karte hain jahan demand itni ziada hoti hai ke aage girawat rok li jaati hai. Main yeh suggest karunga ke support level se buy entry lein, kyunke yeh risk ko minimize karta hai aur upward momentum se fayda uthane ka mauqa deta hai. Iss setup ke liye, take profit target ko daily high level ke upar set karna zaroori hai. Daily high aksar resistancehaq mein rahega aur hum aaj bullish concept ko follow kar sakte hain. Ek broad view mein, traders ko un dosray factors se bhi agah rehna chahiye jo market ko influence kar sakte hain

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        • #8959 Collapse

          hota hai, to higher high banne ka mauka hai agar yeh successfully 1.3753 ke high prices ko paar kar leti hai. MACD indicator ke side par, bullish divergence signal tab aa sakta hai jab histogram volume falling price volume se match nahi karta, jo 1.3720 ke low prices ko paar karta hai. Stochastic indicator ke parameters jo oversold zone (20 - 10) mein enter kar rahe hain, yeh indicate karte hain ke price decline jald hi selling saturation point tak pohnch sakti hai. Trading recommendations ke liye, bearish trend direction ko follow karte rahiye, aur price ka SBR 1.3794 area ke aas-paas upward correction ka intezar karke SELL entry position place karein. Confirmation ke liye Stochastic indicator parameters ka overbought zone (90 - 80) ko cross karna bhi zaroori hai. Indicator histogram ka volume pehle se zyada hona chahiye taake bullish divergence signal ko negative area mein break kiya ja sake. Target placement take profit ke liye low 1.3720 ke aas-paas aur stop loss high prices 1.3855 par rakha jaye. abhi ke liye sabhi chaar basement indicators ek sell signal de rahe hain. Lekin, mujhe lagta hai ke pehle ek upar ki taraf correction hogi, uske baad yeh pair H1 channel ke lower boundary ki taraf decline karega. H4 chart par, pair ne ek bade girawat ke baad thoda slow down kiya hai aur mujhe lagta hai ke iske baad upar ki taraf correction dekhne ko milegi. Pehle teen basement indicators ne buy signal de diya hai. Is chart ke base par, mujhe umeed hai ke price upar ki taraf correction karegi, MA100 tak aur shayad usse thoda zyada. Maine kuch minute pehle do buy positions khol di hain aur profit levels set kiye hain. H4 chart par basement indicators mixed signals de rahe hain, jo ke itna valuable nahi hai. Lekin, upar ek target hai aur price ko us taraf move karna hoga jahan mere profit levels set hain. Summary yeh hai ke filhal pair ko present price par buy karna relevant hai, profit targets ke sath. Lekin, jab yeh targets achieve ho jayein, tab selling par switch karna sahi hoga (jaisa ke dotted line ke indication se hai) kyunki downtrend ab bhi intact hai aur expected growth sirf ek upward correction lagti hai. Yeh expected movement chart par clearly outlined hai. Khud ko sambhal kar rakhna! Jaise

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          • #8960 Collapse

            paar kar leti hai. MACD indicator ke side par, bullish divergence signal tab aa sakta hai jab histogram volume falling price volume se match nahi karta, jo 1.3720 ke low prices ko paar karta hai. Stochastic indicator ke parameters jo oversold zone (20 - 10) mein enter kar rahe hain, yeh indicate karte hain ke price decline jald hi selling saturation point tak pohnch sakti hai. Trading recommendations ke liye, bearish trend direction ko follow karte rahiye, aur price ka SBR 1.3794 area ke aas-paas upward correction ka intezar karke SELL entry position place karein. Confirmation ke liye Stochastic indicator parameters ka overbought zone (90 - 80) ko cross karna bhi zaroori hai. Indicator histogram ka volume pehle se zyada hona chahiye taake bullish divergence signal ko negative area mein break kiya ja sake. Target placement take profit ke liye low 1.3720 ke aas-paas aur stop loss high prices 1.3855 par rakha jaye. abhi ke liye sabhi chaar basement indicators ek sell signal de rahe hain. Lekin, mujhe lagta hai ke pehle ek upar ki taraf correction hogi, uske baad yeh pair H1 channel ke lower boundary ki taraf decline karega. H4 chart par, pair ne ek bade girawat ke baad thoda slow down kiya hai aur mujhe lagta hai ke iske baad upar ki taraf correction dekhne ko milegi. Pehle teen basement indicators ne buy signal de diya hai. Is chart ke base par, mujhe umeed hai ke price upar ki taraf correction karegi, MA100 tak aur shayad usse thoda zyada. Maine kuch minute pehle do buy positions khol di hain aur profit levels set kiye hain. H4 chart par basement indicators mixed signals de rahe hain, jo ke itna valuable nahi hai. Lekin, upar ek target hai aur price ko us taraf move karna hoga jahan mere profit levels set hain. Summary yeh hai ke filhal pair ko present price par buy karna relevant hai, profit targets ke sath. Lekin, jab yeh targets achieve ho jayein, tab selling par switch karna sahi hoga (jaisa ke dotted line ke indication se hai) kyunki downtrend ab bhi intact hai aur expected growth sirf ek upward correction lagti hai.

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            • #8961 Collapse

              USD/CHF Daily Analysis
              Aaj hum USD/CHF ka daily analysis kar rahe hain, jisme yeh pair filhal ek bullish trend mein trade kar raha hai. Chart ko dekhte hue lagta hai ke yeh pair 0.8448 ke resistance level ke qareeb pohonch gaya hai, jo ek ahem maqam hai. Agar yeh level break ho jata hai aur price iske upar sustain karti hai, to aage 0.8747 ka target ho sakta hai. Yeh resistance area market ke bulls ke liye ek challenge ban sakta hai, lekin agar strong momentum bana rehta hai to mazeed growth ke chances hain.
              Is chart par Moving Averages bhi use ki gayi hain jo bullish trend ko confirm kar rahi hain. Price candles ab Moving Averages ke upar hain, jo ye indicate karta hai ke bulls market mein dominate kar rahe hain. Yeh Moving Averages price ko asani se neeche girne nahi de rahe aur is wakt ek strong support ki tarah kaam kar rahi hain. Neeche MACD indicator bhi positive momentum ko support kar raha hai. MACD ka histogram green bars dikhata hai jo bullish trend ka indication hai. Iska matlab hai ke buyers ki taraf se strong pressure hai aur agar yeh momentum bana rehta hai, to price mazeed upar ja sakti hai. Yeh indicator market mein mazid buying interest ko bhi show kar raha hai. Lekin agar price 0.8448 ke resistance se reject hoti hai aur neeche girti hai, to pehla major support 0.8252 par hai. Yeh support area kaafi strong hai aur is level par buying interest mazid barhne ki umeed hai. Agar yeh support break ho jata hai, to yeh downtrend ka indication ho sakta hai aur agla target 0.8100 ke qareeb ho sakta hai. Is waqt ke trend aur indicators ko dekhte hue, filhal USD/CHF bullish lagta hai, lekin risk management zaroori hai kyunke market kabhi bhi volatile ho sakti hai. Aggressive buyers ke liye yeh acha mauqa ho sakta hai ke wo price breakout ka intezar karen aur support aur resistance levels ka khayal rakhen.

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              • #8962 Collapse


                USD/CHF

                USD/CHF is waqt 0.85780 ke aas paas trade kar raha hai, jahan bearish trend market par ghubta hua hai. Yeh U.S. dollar ki Swiss franc ke muqable mein kamzori ko dikhata hai, jo ke market ke broader sentiment ko zahir karta hai, aur yeh sentiment mukhtalif factors jaise ke economic data releases, central bank policies aur geopolitical events ki wajah se hai. Recent time mein, U.S. dollar pressure mein raha hai, kyun ke economic signals mixed hain aur Federal Reserve ka dovish stance interest rates ko ya to stable rakha hua hai ya cuts ka ishara diya hai. Doosri taraf, Swiss franc, jo ek safe-haven currency ke tor par jana jata hai, global uncertainty ke dauran aur ziada mazboot hota hai, aur yeh USD/CHF ke downtrend ko mazeed support karta hai.USD/CHF ka bearish momentum dheere dheere barh raha hai, lekin kai traders umeed kar rahe hain ke ane wale dinon mein ek significant movement ho sakta hai. Moving averages aur Relative Strength Index (RSI) jaise technical indicators yeh batate hain ke pair ab oversold territory mein hai. Yeh ya to bearish trend ko mazeed aage le ja sakta hai ya phir future mein kisi catalyst ke doran sharp reversal dekhne ko mil sakta hai.USD/CHF ke bade movement ke liye kai reasons ho sakte hain. Pehla, U.S. ke economic data releases, jaise ke employment numbers, inflation reports ya Federal Reserve ke monetary policy updates, market mein volatility ko barha sakte hain. Agar data economic growth ya inflationary pressures ko zahir karta hai, to U.S. dollar mazboot ho sakta hai, jo USD/CHF mein ek reversal ka sabab banega. Agar data weakness ya dovish policy ka ishara kare, to bearish trend aur barh sakta hai.Is ke ilawa, geopolitical tensions ya global risk events bhi Swiss franc ke liye demand ko barha sakte hain, kyun ke crisis ya uncertainty ke waqt investors CHF mein invest karte hain. Is se USD/CHF aur neeche ja sakta hai. Global markets ke challenges, jaise inflation concerns, political instability aur energy markets mein changes, USD/CHF mein volatility ko aur barha sakte hain.In short, halan ke USD/CHF abhi slow bearish trend face kar raha hai, lekin ane wale dinon mein ek bara movement expected hai. Traders ko upcoming economic reports aur global events par nazar rakhni chahiye, kyun ke yeh market direction ke key factors ban sakte hain. Chahe USD/CHF lower break kare ya ek rebound kare, agle kuch din is pair ke long-term direction ke liye kaafi ahmiyat rakhte hain.




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                • #8963 Collapse

                  USD/CHF pair ne recent mein upward trend dikhaya hai, jo ke Monday ko 0.8642 par apni peak tak pohoncha. Ab ek short-term pullback hua hai, jo ke ek temporary pause ho sakta hai pehle ke uptrend dobara se resume ho. Yeh pair 0.8680 ka target level achieve kar sakta hai, jo recent upward move ka 100% Fibonacci extension level hai. Ek conservative target 61.8% Fibonacci level 0.8627 par hai.Relative Strength Index (RSI) ne overbought zone se exit kiya hai, jo yeh indicate karta hai ke upward momentum dheemi ho sakti hai. Yeh consolidation ya potential downward correction ki surat mein nikal sakta hai. Dosri taraf, MACD indicator ne positive territory mein entry ki hai, jo ke overall bullish trend ko indicate karta hai. Lekin, Stochastic oscillator overbought level ke kareeb hover kar raha hai, jo ke short-term correction ki taraf ishara kar sakta hai.Monday ki subah ek gap chart par open hua, aur market us gap ko fill karne ki koshish kar sakta hai, jo ke correction ko 0.8574 level tak le ja sakta hai. Agar price previous high 0.8541 se neeche break hoti hai, toh yeh ek trend change ka signal hoga aur aur zyada downside ki taraf ja sakta hai. Short-term mein USD/CHF pair ke bullish hone ki umeed hai, lekin short-term correction ko bhi nazar andaaz nahi kiya ja sakta, khaaskar jab overbought conditions aur recent gap chart par dekha ja sakta hai. Traders ko key support aur resistance levels par nazar rakhni chahiye aur apni positions accordingly adjust karni chahiye. Yeh bhi zaroori hai ke jabke technical analysis valuable insights de sakta hai, fundamental factors jaise economic data releases, geopolitical events, aur central bank policies bhi pair ke movement par significant asar daal sakti hain. Iss wajah se, trading decisions lete waqt dono technical aur fundamental analysis ko consider karna zaroori hai.
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                  • #8964 Collapse

                    Confirmation ke liye Stochastic indicator parameters ka overbought zone (90 - 80) ko cross karna bhi zaroori hai. Indicator histogram ka volume pehle se zyada hona chahiye taake bullish divergence signal ko negative area mein break kiya ja sake. Target placement take profit ke liye low 1.3720 ke aas-paas aur stop loss high prices 1.3855 par rakha jaye. abhi ke liye sabhi chaar basement indicators ek sell signal de rahe hain. Lekin, mujhe lagta hai ke pehle ek upar ki taraf correction hogi, uske baad yeh pair H1 channel ke lower boundary ki taraf decline karega. H4 chart par, pair ne ek bade girawat ke baad thoda slow down kiya hai aur mujhe lagta hai ke iske baad upar ki taraf correction dekhne ko milegi. Pehle teen basement indicators ne buy signal de diya hai. Is chart ke base par, mujhe umeed hai ke price upar ki taraf correction karegi, MA100 tak aur shayad usse thoda zyada. Maine kuch minute pehle do buy positions khol di hain aur profit levels set kiye hain. H4 chart par basement indicators mixed signals de rahe hain, jo ke itna valuable nahi hai. Lekin, upar ek target hai aur price ko us taraf move karna hoga jahan mere profit levels set hain. Summary yeh hai ke filhal pair ko present price par buy karna relevant hai, profit targets ke sath. Lekin, jab yeh targets achieve ho jayein, tab selling par switch karna sahi hoga (jaisa ke dotted line ke indication se hai) kyunki downtrend ab bhi intact hai aur expected growth sirf ek upward correction lagti hai. Yeh expected movement chart par clearly outlined hai. Khud ko sambhal kar rakhna! Jaise price decline karti rahegi (ya shayad abhi bhi), humein closely monitor karna hoga kisi possible chali gayi. Yeh level girawat ko rokta hai aur wapas growth ka sabab banta hai, halan ke M15 time frame ab bhi bearish hai. Agar M15 par bullish shift dekha jaye to yeh tabhi mumkin hoga jab price 0.8444 ke upar break kare. Dusre time frames bhi bearish hain, lekin dheere dheere upar ki taraf chalne se har ek frame reversal dekh sakta hai. Daily time frame yeh darsha raha hai ke ek potential correction 0.8619 tak ho sakti hai, lekin bearish bias barqarar rahegi. Agar upward correction na ho to girawat 0.8401 aur phir 0.8377 tak ja sakti hai. Agar pair 0.8479-0.8489 range ke upar consolidateConfirmation ke liye Stochastic indicator parameters ka overbought zone (90 - 80) ko cross karna bhi zaroori hai. Indicator histogram ka volume pehle se zyada hona chahiye taake bullish divergence signal ko negative area mein break kiya ja sake. Target placement take profit ke liye low 1.3720 ke aas-paas aur stop loss high prices 1.3855 par rakha jaye. abhi ke liye sabhi chaar basement indicators ek sell signal de rahe hain. Lekin, mujhe lagta hai ke pehle ek upar ki taraf correction hogi, uske baad yeh pair H1 channel ke lower boundary ki taraf decline karega. H4 chart par, pair ne ek bade girawat ke baad thoda slow down kiya hai aur mujhe lagta hai ke iske baad upar ki taraf correction dekhne ko milegi. Pehle teen basement indicators ne buy signal de diya hai. Is chart ke base par, mujhe umeed hai ke price upar ki taraf correction karegi, MA100 tak aur shayad usse thoda zyada. Maine kuch minute pehle do buy positions khol di hain aur profit levels set kiye hain. H4 chart par basement indicators mixed signals de rahe hain, jo ke itna valuable nahi hai. Lekin, upar ek target hai aur price ko us taraf move karna hoga jahan mere profit levels set hain. Summary yeh hai ke filhal pair ko present price par buy karna relevant hai, profit targets ke sath. Lekin, jab yeh targets achieve ho jayein, tab selling par switch karna sahi hoga (jaisa ke dotted line ke indication se hai) kyunki downtrend ab bhi intact hai aur expected growth sirf ek upward correction lagti hai. Yeh expected movement chart par clearly outlined hai. Khud ko sambhal kar rakhna! Jaise price decline karti rahegi (ya shayad abhi bhi), humein closely monitor karna hoga kisi possible chali gayi. Yeh level girawat ko rokta hai aur wapas growth ka sabab banta hai, halan ke M15 time frame ab bhi bearish hai. Agar M15 par bullish shift dekha jaye to yeh tabhi mumkin hoga jab price 0.8444 ke upar break kare. Dusre time frames bhi bearish hain, lekin dheere dheere upar ki taraf chalne se har ek frame reversal dekh sakta hai. Daily time frame yeh darsha raha hai ke ek potential correction 0.8619 tak ho sakti hai, lekin bearish bias barqarar rahegi. Agar upward correction na ho to girawat 0.8401 aur phir 0.8377 tak ja sakti hai. Agar pair 0.8479-0.8489 range ke upar consolidate
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                    • #8965 Collapse

                      indicator ki value lagbhag 49.46 hai, jo ke market ki neutral position ko dikhata hai, na to yeh overbought hai aur na hi oversold. Aise halat mein trading ke liye confirmation ka intezar karna behtareen hota hai, taake galat signals par trade na liya jaye.Momentum indicator ki value lagbhag 100 ke aas paas hai, jo ke market ke andar koi khaas taqat ka izhar nahi kar rahi. Yeh 100 ka level aik baseline hota hai jo ke price ki taqat ko measure karta hai. Jab momentum 100 se zyada hota hai to price mein bullishness dekhi ja sakti hai, lekin jab yeh 100 se neeche ho to bearishness ka izhar hota hai. Is waqt, market mein koi khaas taqat nahi hai, is liye price ka direction abhi clear nahi hai.Price ne pehle bhi in levels par react kiya hai, jahan support aur resistance ke qareeb trading hoti rahi hai. Yeh baat clear hai ke jab tak market in levels ko break nahi karti, tab tak traders ko range-bound trading strategy adopt karni chahiye. Range-bound strategy ka matlab hota hai ke jab price support ke qareeb aaye to buying positions lena aur jab price resistance ke qareeb ho to selling positions lena. Lekin agar price in levels ko break karti hai, to ek naye trend ka aghaz ho sakta hai.Technical analysis mein aise halat mein thoda sabr karna zaroori hota hai, khas tor par jab RSI aur Momentum jaise indicators neutral zones mein hoon. Aise waqt mein ek aggressive approach se bachna chahiye aur strong signals ka intezar karna chahiye. RSI ki value agar 70 ke upar chali jaye to overbought condition ko dikhaye gi, aur agar yeh 30 ke neeche aaye to oversold condition ka izhar kare gi. Is liye, aglay chand ghanton mein price action ka dehaan se dekhna zaroori
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                      • #8966 Collapse

                        Confirmation ke liye Stochastic indicator parameters ka overbought zone (90 - 80) ko cross karna bhi zaroori hai. Indicator histogram ka volume pehle se zyada hona chahiye taake bullish divergence signal ko negative area mein break kiya ja sake. Target placement take profit ke liye low 1.3720 ke aas-paas aur stop loss high prices 1.3855 par rakha jaye. abhi ke liye sabhi chaar basement indicators ek sell signal de rahe hain. Lekin, mujhe lagta hai ke pehle ek upar ki taraf correction hogi, uske baad yeh pair H1 channel ke lower boundary ki taraf decline karega. H4 chart par, pair ne ek bade girawat ke baad thoda slow down kiya hai aur mujhe lagta hai ke iske baad upar ki taraf correction dekhne ko milegi. Pehle teen basement indicators ne buy signal de diya hai. Is chart ke base par, mujhe umeed hai ke price upar ki taraf correction karegi, MA100 tak aur shayad usse thoda zyada. Maine kuch minute pehle do buy positions khol di hain aur profit levels set kiye hain. H4 chart par basement indicators mixed signals de rahe hain, jo ke itna valuable nahi hai. Lekin, upar ek target hai aur price ko us taraf move karna hoga jahan mere profit levels set hain. Summary yeh hai ke filhal pair ko present price par buy karna relevant hai, profit targets ke sath. Lekin, jab yeh targets achieve ho jayein, tab selling par switch karna sahi hoga (jaisa ke dotted line ke indication se hai) kyunki downtrend ab bhi intact hai aur expected growth sirf ek upward correction lagti hai. Yeh expected movement chart par clearly outlined hai. Khud ko sambhal kar rakhna! Jaise price decline karti rahegi (ya shayad abhi bhi), humein closely monitor karna hoga kisi possible chali gayi. Yeh level girawat ko rokta hai aur wapas growth ka sabab banta hai, halan ke M15 time frame ab bhi bearish hai. Agar M15 par bullish shift dekha jaye to yeh tabhi mumkin hoga jab price 0.8444 ke upar break kare. Dusre time frames bhi bearish hain, lekin dheere dheere upar ki taraf chalne se har ek frame reversal dekh sakta hai. Daily time frame yeh darsha raha hai ke ek potential correction 0.8619 tak ho sakti hai, lekin bearish bias barqarar rahegi. Agar upward correction na ho to girawat 0.8401 aur phir 0.8377 tak ja sakti hai. Agar pair 0.8479-0.8489 range ke upar consolidateConfirmation ke liye Stochastic indicator parameters ka overbought zone (90 - 80) ko cross karna bhi zaroori hai. Indicator histogram ka volume pehle se zyada hona chahiye taake bullish divergence signal ko negative area mein break kiya ja sake. Target placement take profit ke liye low 1.3720 ke aas-paas aur stop loss high prices 1.3855 par rakha jaye. abhi ke liye sabhi chaar basement indicators ek sell signal de rahe hain. Lekin, mujhe lagta hai ke pehle ek upar ki taraf correction hogi, uske baad yeh pair H1 channel ke lower boundary ki taraf decline karega. H4 chart par, pair ne ek bade girawat ke baad thoda slow down kiya hai aur mujhe lagta hai ke iske baad upar ki taraf correction dekhne ko milegi. Pehle teen basement indicators ne buy signal de diya hai. Is chart ke base par, mujhe umeed hai ke price upar ki taraf correction karegi, MA100 tak aur shayad usse thoda zyada. Maine kuch minute pehle do buy positions
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                        • #8967 Collapse

                          histogram volume falling price volume se match nahi karta, jo 1.3720 ke low prices ko paar karta hai. Stochastic indicator ke parameters jo oversold zone (20 - 10) mein enter kar rahe hain, yeh indicate karte hain ke price decline jald hi selling saturation point tak pohnch sakti hai. Trading recommendations ke liye, bearish trend direction ko follow karte rahiye, aur price ka SBR 1.3794 area ke aas-paas upward correction ka intezar karke SELL entry position place karein. Confirmation ke liye Stochastic indicator parameters ka overbought zone (90 - 80) ko cross karna bhi zaroori hai. Indicator histogram ka volume pehle se zyada hona chahiye taake bullish divergence signal ko negative area mein break kiya ja sake. Target placement take profit ke liye low 1.3720 ke aas-paas aur stop loss high prices 1.3855 par rakha jaye. abhi ke liye sabhi chaar basement indicators ek sell signal de rahe hain. Lekin, mujhe lagta hai ke pehle ek upar ki taraf correction hogi, uske baad yeh pair H1 channel ke lower boundary ki taraf decline karega. H4 chart par, pair ne ek bade girawat ke baad thoda slow down kiya hai aur mujhe lagta hai ke iske baad upar ki taraf correction dekhne ko milegi. Pehle teen basement indicators ne buy signal de diya hai. Is chart ke base par, mujhe umeed hai ke price upar ki taraf correction karegi, MA100 tak aur shayad usse thoda zyada. Maine kuch minute pehle do buy positions khol di hain aur profit levels set kiye hain. H4 chart par basement indicators mixed signals de rahe hain, jo ke itna valuable nahi hai. Lekin, upar ek target hai aur price ko us taraf move karna hoga jahan mere profit levels set hain. Summary yeh hai ke filhal pair ko present price par buy karna relevant hai, profit targets ke sath. Lekin, jab yeh targets achieve ho jayein, tab selling par switch karna sahi hoga (jaisa ke dotted line ke indication se hai) kyunki downtrend ab bhi intact hai aur expected growth sirf ek upward correction lagti hai.

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                          • #8968 Collapse

                            indicate karte hain, jo agar bina significant interference ke maintain hota hai toh support level 0.8837 tak pahunch sakta hai. Yeh note karna zaroori hai ki agar bearish forces intervene karti hain, toh pehle observed bullish sentiment ko disrupt kar sakti hain aur market trend ko control kar sakti hain. Daily chart analysis ke mutabik, jab tak price 0.8894 level ke neeche rehti hai, current downtrend continue hone ke chances hain, jaisa ki latest candlestick chart par suggest karta hai. 0.8642 level past mein strong support bana hai, lekin current bearish momentum ko dekhte hue, yeh lama time tak nahi tik sakta. Is level ke neeche break hone se downtrend accelerate ho sakta hai.0.8720 level ne recently support kiya hai aur price ko temporary respite de sakta hai. Nearest resistance 0.8800 level ke aas-paas hai, jo ek previous swing high ke saath coincide karta hai. Is level ke upar break hone se potential trend reversal signal mil sakta hai, lekin overall bearish sentiment ke dekhte hue, yeh unlikely hai.0.8945 level ne past mein resistance ka kaam kiya hai aur bullish reversal ke liye ek sigsignificant USD/CHF pair ke liye bearish move 0.8629 level tak possible tha. Shayad bearish scenario ab tak play out ho chuka hai ya phir retest ho sakta hai. Phir bhi, ye pair support levels se strong buy lagta hai aur upward movement ki zyada probability hai. Bullish target ab bhi lagbhag 0.9179 par hai, jo ke ek important resistance level hai aur mid- to long-term ke liye ek potential target ho sakta hai. Jab ye lower boundary par pohanchay ga, to girawat ruk sakti hai, aur price upward reverse kar sakti hai channel ke upper boundary ke taraf, jo ke 0.8779 level ke kareeb hai. Jo log is currency pair ke long-term prospects mein interested hain, unke liye maine ye sab kuch apne monthly chart par graphically detail kiya hai. Signal last July ke close ke baad activate hua jab pair ne Fibonacci grid ke 100th level ko break kiya. Uske baad ek
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                            • #8969 Collapse

                              cross karna bhi zaroori hai. Indicator histogram ka volume pehle se zyada hona chahiye taake bullish divergence signal ko negative area mein break kiya ja sake. Target placement take profit ke liye low 1.3720 ke aas-paas aur stop loss high prices 1.3855 par rakha jaye. abhi ke liye sabhi chaar basement indicators ek sell signal de rahe hain. Lekin, mujhe lagta hai ke pehle ek upar ki taraf correction hogi, uske baad yeh pair H1 channel ke lower boundary ki taraf decline karega. H4 chart par, pair ne ek bade girawat ke baad thoda slow down kiya hai aur mujhe lagta hai ke iske baad upar ki taraf correction dekhne ko milegi. Pehle teen basement indicators ne buy signal de diya hai. Is chart ke base par, mujhe umeed hai ke price upar ki taraf correction karegi, MA100 tak aur shayad usse thoda zyada. Maine kuch minute pehle do buy positions khol di hain aur profit levels set kiye hain. H4 chart par basement indicators mixed signals de rahe hain, jo ke itna valuable nahi hai. Lekin, upar ek target hai aur price ko us taraf move karna hoga jahan mere profit levels set hain. Summary yeh hai ke filhal pair ko present price par buy karna relevant hai, profit targets ke sath. Lekin, jab yeh targets achieve ho jayein, tab selling par switch karna sahi hoga (jaisa ke dotted line ke indication se hai) kyunki downtrend ab bhi intact hai aur expected growth sirf ek upward correction lagti hai. Yeh expected movement chart par clearly outlined hai. Khud ko sambhal kar rakhna! Jaise price decline karti rahegi (ya shayad abhi bhi), humein closely monitor karna hoga kisi possible chali gayi. Yeh level girawat ko rokta hai aur wapas growth ka sabab banta hai, halan ke M15 time frame ab bhi bearish hai. Agar M15 par bullish shift dekha jaye to yeh tabhi mumkin hoga jab price 0.8444 ke upar break kare. Dusre time frames bhi bearish hain, lekin dheere dheere upar ki taraf chalne se har ek frame reversal dekh sakta hai. Daily time frame yeh darsha raha hai ke ek potential correction 0.8619 tak ho sakti hai, lekin bearish bias barqarar rahegi. Agar upward correction na ho to girawat 0.8401 aur phir 0.8377 tak ja sakti hai. Agar pair 0.8479

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                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #8970 Collapse

                                Foreign exchange market ke mojooda dynamics, khas tor par USD/CHF pair ke sath, ek significant price movement ki potential ko zahir karte hain jo ke technical patterns aur economic fundamentals dono se mutasir ho sakti hai. Haal hi mein, USD/CHF mein ek ascending wedge formation develop ho rahi hai, jo aam tor par ek possible reversal ya breakout ko suggest karti hai. Is wedge ka lower boundary test kiya gaya hai, jo traders ke liye ek ahem waqat hai. Agar price is lower boundary se bounce karti hai, toh yeh price ko wapas channel ke top ki taraf le ja sakta hai, jo key resistance level 0.8716 ke aas paas align karta hai.
                                Broader context ka jaiza lete hue, U.S. dollar ki recent strength ek critical role play karti hai. Aik mazboot dollar aam tor par doosri currencies par downward pressure daalti hai, aur jabke British pound euro ko follow karte hue downward trends ka shikar hai, ye USD/CHF pair ke liye ek dilchasp dynamic create karta hai. Agar pound girta raha, toh yeh Swiss franc ke us par upward movement ko mazid barha sakta hai, jo USD/CHF dynamics ko bhi mutasir karega. Aaj ke trading session mein wedge ke upper aur lower boundaries dono test hui hain. Yeh volatility aur traders mein uncertainty ko zahir karta hai. Mojooda projections suggest karti hain ke aaj ka trading session 0.87 se 0.8651 ke range mein khatam ho sakta hai, aur ek critical resistance level 0.8671 par hai jo closely watch karne layak hai. Agar price is resistance ke upar push karti hai, toh yeh ek naye bullish sentiment aur wedge formation ke andar naye highs tak pohanchne ki potential ko signal kar sakta hai.

                                Magar tamam tawajju ane wale U.S. economic data releases par hai, jo ke market sentiment ko kafi had tak mutasir kar sakte hain. Strong economic indicators dollar ki strength ko mazid mazboot kar sakte hain aur wedge pattern ka continuity support kar sakte hain, jabke disappointing data ek tez reversal ko lead kar sakta hai, jo ke mojooda formations aur trends ko tor sakta hai. Traders ko hooshyar rehna
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                                chahiye, kyunke agle kuch sessions USD/CHF pair ki trajectory ka taayun karne mein pivotal ho sakte hain. Iss liye, strategic positioning jo ke technical analysis aur economic insights par mabni ho, is evolving market landscape ko navigate karne ke liye essential hai.
                                   

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