امریکی ڈالر/سوئس فرانک: شرح تبادلہ، خبریں اور تجزیے
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  • #8986 Collapse

    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 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 ka


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    • #8987 Collapse

      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
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      • #8988 Collapse

        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.
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        • #8989 Collapse

          USD/CHF currency pair ne pichli session ki downturn ke baad resilience dikhayi, aur Friday ki Asian trading mein 0.8650 level ke upar stabilize hui. Yeh level Wednesday ko reach hue do mahine ke high 0.8686 ke kareeb hai. USD/CHF pair ki strength US dollar (USD) ki mazbooti ki wajah se hai, jo ke market expectations ke badalne se fueled hai ke Federal Reserve (Fed) pehle se anticipate kiye hue se ziada lenient stance apna sakta hai rate cuts par. Is ke ilawa, US dollar ne upcoming US presidential election ki uncertainties se bhi faida uthaya. Ek recent Reuters/Ipsos poll ne dikhaya ke Vice President Kamala Harris former President Donald Trump se thori lead mein hain. Trump ne apna economic vision outline kiya jab ke Harris ne Bruce Springsteen, Tyler Perry aur former President Barack Obama jaise prominent figures ki support hasil ki.Is ke baraks, Swiss franc (CHF) ko potential headwinds ka samna hai kyunke December ki upcoming Swiss National Bank (SNB) meeting mein ek aur rate cut ki umeed barh rahi hai. Yeh expectation September ke 0.8% inflation rate ki wajah se hai, jo ke last month ke 1.1% se neeche hai aur teen saal ka low hai. Lekin Swiss franc ka decline iske safe-haven appeal ki wajah se limited ho sakta hai, jo geopolitical uncertainties, khaaskar Middle East ki situation ke darmiyan inflows ko attract kar rahi hai. Traders ghour se Israel ka response Iran ke recent missile attack par monitor kar rahe hain. US aur France ne bhi conflict par statements di hain, jisme US ne Israel ke long-term actions in Lebanon par displeasure ka izhar kiya aur France ne ceasefire aur diplomatic efforts ki call di hai.
          Technically, USD/CHF pair ne aik crucial medium-term downtrend line ke upar break kiya hai jo ke 0.8650 ke kareeb hai, jo ke 0.8400 level se strong rebound ke baad hua. Momentum indicators near-term bullish bias suggest karte hain, jisme RSI 50 level ke upar hai aur MACD apni signal aur zero lines ke upar cross kar raha hai. Agar price aur gain karti hai toh 0.8745 resistance level immediate target hoga, followed by 200-day simple moving average (SMA) jo 0.8825 ke kareeb hai. Ek decisive break is level ke upar potential move ke liye raasta bana sakta hai jo ke key 0.9050 level tak pohnch sakti hai. Lekin agar price retrace karti hai toh support levels 0.8540 par emerge ho sakte hain, jo 20- aur 50-day moving averages ke 0.8530 par bullish crossover ke upar hai. Aik deeper correction 0.8370-0.8400 area ka retest kara sakta hai.
          Overall, USD/CHF pair ki bullish momentum US dollar ki strength aur Fed ke dovish expectations se driven hai. Lekin Swiss franc ka safe-haven appeal aur SNB ke potential interest rate cuts pair ke upside potential ko limit kar sakte hain. Traders ko geopolitical developments aur economic indicators ko closely monitor karna chahiye taake pair ki future direction assess ki ja sake.
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          • #8990 Collapse

            yeh bearish trend show kar raha hai, jo ke U.S. dollar ki Swiss franc ke muqablay mein weakness indicate karta hai. Market participants is tarah ke trends ko potential future movements ke signals ke tor par dekhte hain, aur given indicators ke mutabiq, USD/CHF pair mein near future mein significant move dekhne ka imkan hai. Yeh bearish sentiment kuch arsay tak continue ho sakta hai, lekin kuch indicators yeh bhi suggest karte hain ke yeh temporary ho sakta hai aur ek reversal aa sakta hai. Is outlook ki ek wajah yeh hai ke bearish trends, khaaskar woh jo relatively slow aur steady declines ke sath hote hain, aksar larger movements ki taraf lead karte hain jab woh critical support ya resistance levels ke qareeb hotay hain. USD/CHF ke case mein, yeh pair abhi ek historically significant support level ke kareeb hai. Jab currency pairs aise levels par aatay hain, toh ya toh woh break through karke rapid downward trend mein chalay jate hain, ya phir sharply reverse karte hain agar buyers market mein wapas aana shuru kar dein. Ek aur factor U.S. aur Switzerland ka economic outlook hai. Hal hi mein, U.S. Federal Reserve ne cautious monetary policy adopt ki hai, lekin agar inflationary pressure ya economic resilience ke signs mazid mazboot hote hain, toh Fed ek zyada aggressive stance le sakta hai. Agar Fed expected se pehle ya significant rate hike karta hai, toh yeh dollar ko strong kar sakta hai, jo ke bearish trend ko reverse kar sakta hai. Iske baraks, agar Swiss National Bank apni monetary policy stable rakhta hai, toh yeh franc ko support provide kar sakta hai, jo ke bearish trend ko mazid extend kar sakta hai.
            Traders aur investors ko global risk factors, jaise geopolitical events aur global economic performance, bhi monitor karne chahiye, kyun ke inka USD/CHF pair par asar par sakta hai kyun ke Swiss franc ko safe-haven currency mana jata hai. Global uncertainty ke doran, investors aksar franc mein invest karte hain, jo ke isay dollar ke muqablay mein strengthen kar sakta hai. Dosri taraf, agar global stability improve hoti hai, toh franc ki appeal decrease ho sakti hai, jo ke USD/CHF mein upward movement ka sabab ban sakti hai.jab ke USD/CHF abhi bearish sentiment show kar raha hai, yeh trend temporary bhi ho sakta hai. Key support levels, economic indicators, aur global risk factors sab milke ane walay dinon mein large movement contribute kar sakte hain. Yeh trend continue hota hai ya reverse, yeh in factors ke outcome par depend karega, is liye traders ko vigilant rehna chahiye aur kisi bhi trading decision se pehle technical aur fundamental signals ko cons Click image for larger version

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            • #8991 Collapse

              USD/CHF Analysis (H1 Timeframe) - 27th October 2024

              Aaj hum USD/CHF pair ka H1 timeframe chart analyse kar rahe hain. Chart par dekh sakte hain ke price recent sessions main thodi stability ke saath move kar rahi hai, lekin kuch key indicators ne ab bullish signs show karna shuru kiya hai. Is waqt market main thora sa buying pressure nazar aa raha hai jo shayad ek short-term trend reversal ki taraf ishaara kar raha hai. Is chart par do Moving Averages (MA) use hui hain: ek yellow line, jo 200-Period Moving Average hai, aur ek white line, jo 50-Period Moving Average hai. Pehle, price ne 200-Period MA ke aas paas support liya, jo kaafi strong level tha. Abhi recent move main, price 50-Period MA ke upar close hui hai, jo ek positive sign hai. Yeh indicate karta hai ke agar price sustain rahi toh aur zyada upar ja sakti hai. MACD (Moving Average Convergence Divergence) indicator bhi bullish momentum ki taraf ishaara kar raha hai. MACD line aur signal line ke darmiyan thoda positive gap hai aur histogram bars bhi thodi positive hain, jo market main buying interest ko highlight karti hain. Lekin, is waqt MACD ki jo trend hai, woh slow hai. Agar MACD line signal line ko convincingly cross kar le, toh yeh ek strong bullish sign hoga.
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              Chart ke neeche, Stochastic Oscillator ne bhi clear signal diya hai. Stochastic ne oversold region se reversal liya aur ab 50 ke level se upar move kar raha hai. Iska matlab hai ke market abhi bullish ho sakti hai, lekin humein yeh dekhna hoga ke yeh overbought region (80 ke upar) tak ja sakti hai ya nahi. Wahan se reversal bhi aasakta hai, toh carefully observe karna zaroori hai. Price action ko dekhte huye, agle kuch candles critical honge. Agar USD/CHF 0.8680 resistance level ko break kar le, toh yeh short-term bullish rally ho sakti hai. Agar yeh fail hua aur price niche ki taraf 0.8650 ke support ko break kar gayi, toh bearish trend dobara shuru ho sakta hai. Yeh waqt hai risk management ka khayal rakhne ka. Indicators ko check karte hue trade decisions lena zaroori hai, takay aapke paas strong confirmation ho aur aapki trading strategy effective sabit ho. Trading kabhi bhi bina analysis ke nahi karni chahiye, aur hamesha calculated steps lena chahiye.

                 
              • #8992 Collapse

                USD/CHF

                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



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                • #8993 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. Click image for larger version

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                  • #8994 Collapse

                    trading mein 0.8650 level ke upar stabilize hui. Yeh level Wednesday ko reach hue do mahine ke high 0.8686 ke kareeb hai. USD/CHF pair ki strength US dollar (USD) ki mazbooti ki wajah se hai, jo ke market expectations ke badalne se fueled hai ke Federal Reserve (Fed) pehle se anticipate kiye hue se ziada lenient stance apna sakta hai rate cuts par. Is ke ilawa, US dollar ne upcoming US presidential election ki uncertainties se bhi faida uthaya. Ek recent Reuters/Ipsos poll ne dikhaya ke Vice President Kamala Harris former President Donald Trump se thori lead mein hain. Trump ne apna economic vision outline kiya jab ke Harris ne Bruce Springsteen, Tyler Perry aur former President Barack Obama jaise prominent figures ki support hasil ki.Is ke baraks, Swiss franc (CHF) ko potential headwinds ka samna hai kyunke December ki upcoming Swiss National Bank (SNB) meeting mein ek aur rate cut ki umeed barh rahi hai. Yeh expectation September ke 0.8% inflation rate ki wajah se hai, jo ke last month ke 1.1% se neeche hai aur teen saal ka low hai. Lekin Swiss franc ka decline iske safe-haven appeal ki wajah se limited ho sakta hai, jo geopolitical uncertainties, khaaskar Middle East ki situation ke darmiyan inflows ko attract kar rahi hai. Traders ghour se Israel ka response Iran ke recent missile attack par monitor kar rahe hain. US aur France ne bhi conflict par statements di hain, jisme US ne Israel ke long-term actions in Lebanon par displeasure ka izhar kiya aur France ne ceasefire aur diplomatic efforts ki call di hai. Technically, USD/CHF pair ne aik crucial medium-term downtrend line ke upar break kiya hai jo ke 0.8650 ke kareeb hai, jo ke 0.8400 level se strong rebound ke baad hua. Momentum indicators near-term bullish bias suggest karte hain, jisme RSI 50 level ke upar hai aur MACD apni signal aur zero lines ke upar cross kar raha hai. Agar price aur gain karti hai toh 0.8745 resistance level immediate target hoga, followed by 200-day simple moving average (SMA) jo 0.8825 ke kareeb hai. Ek decisive break is level ke upar potential move ke liye raasta bana sakta hai jo ke key 0.9050 level tak

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ID:	13193126 pohnch sakti hai. Lekin agar price retrace karti hai toh support levels 0.8540 par emerge ho sakte hain, jo 20- aur 50-day moving averages ke 0.8530 par bullish crossover ke upar hai. Aik deeper correction 0.8370-0.8400 area ka retest kara sakta hai. Overall, USD/CHF pair ki bullish momentum US dollar ki strength aur Fed ke dovish expectations se driven hai. Lekin Swiss franc ka safe-haven appeal aur SNB ke potential interest rate cuts pair ke upside potential ko limit kar sakte hain. Traders ko geopolitical developments aur economic indic
                       
                    • #8995 Collapse

                      USD/CHF ki Movement

                      USDCHF ki movement mein girawat ka rujhan tha. Sabse zyada girawat budh ko hui jab candle ne 0.8386 ke price tak girawat dikhaai. Us waqt, movement kaafi dilchasp thi kyun ke jab candle demand area 0.8386 par paar karne mein nakam rahi, to USDCHF ki movement phir se kaafi range ke sath barh gayi. Jumeraat ko, USDCHF mazeed barhna shuru ho gaya aur 0.8511 tak pohoch gaya. Lekin is ke baad USDCHF ne ek correction ke liye wapas girawat shuru ki. Jumma ke din bhi USDCHF thoda upar gaya, lekin filhaal 0.8511 ke paas apni qareebi resistance ki wajah se rok gaya hai. Agar h1 timeframe par dekha jaye, to candle abhi tak 0.8511 ke resistance area ko paar nahi kar saki. Jab tak yeh area paar nahi hota, mera khayal hai ke girawat ka imkaan kaafi zyada hai. Magar agar yeh area seedha paar ho jata hai, to USDCHF apni barhoti ko agle level tak jari rakhega. Short term ke liye USDCHF pehle neeche ja sakta hai kyun ke neeche ek demand area hai jo abhi tak chhua nahi gaya, aur yeh 0.8534 ke aas paas hai. Long term analysis ke liye, mera andaza hai ke USDCHF barh jaye ga, kyun ke candle abhi tak demand area 0.8392 ko paar nahi kar paya. Agar Ichimoku indicator se analysis kiya jaye, to since USDCHF ki movement upar gayi hai, candle jo pehle line ke neeche chal rahi thi, ab Tenkan Sen aur Kijun Sen lines ke upar move kar rahi hai. Is position se yeh signal milta hai ke trend bullish ho gaya hai. Iss lihaaz se, Ichimoku indicator bhi USDCHF ke aur barhne ko support kar raha hai. USDCHF ka agla target area 0.8547 hai. Dusri taraf, stochastic indicator yeh dikhata hai ke market overbought hai, jo ke is baat se zahir hota hai ke line ne level 80 ko paar kar liya hai. Shayad jo maine upar kaha hai, yeh bilkul ho sakta hai. USDCHF apni mazeed barhoti se pehle demand area 0.8534 ki taraf correction kar sakta hai.Aaj ke analysis ka natija yeh hai ke jab tak candle demand area 0.8392 ko paar nahi karti, mujhe lagta hai ke USDCHF ka imkaan aur barhne ka hai. Ichimoku indicator bhi yahi keh raha hai kyun ke candle Tenkan Sen aur Kijun Sen lines ke upar hai. Is lihaaz se, main yeh recommend karta hoon ke buy positions par focus karein. Aap apna take profit target resistance 0.8705 par rakh sakte hain aur stop loss support Is waqt USD/CHF pair 0.8664


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                      • #8996 Collapse

                        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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                        • #8997 Collapse

                          Wednesday ko reach hue do mahine ke high 0.8686 ke kareeb hai. USD/CHF pair ki strength US dollar (USD) ki mazbooti ki wajah se hai, jo ke market expectations ke badalne se fueled hai ke Federal Reserve (Fed) pehle se anticipate kiye hue se ziada lenient stance apna sakta hai rate cuts par. Is ke ilawa, US dollar ne upcoming US presidential election ki uncertainties se bhi faida uthaya. Ek recent Reuters/Ipsos poll ne dikhaya ke Vice President Kamala Harris former President Donald Trump se thori lead mein hain. Trump ne apna economic vision outline kiya jab ke Harris ne Bruce Springsteen, Tyler Perry aur former President Barack Obama jaise prominent figures ki support hasil ki.Is ke baraks, Swiss franc (CHF) ko potential headwinds ka samna hai kyunke December ki upcoming Swiss National Bank (SNB) meeting mein ek aur rate cut ki umeed barh rahi hai. Yeh expectation September ke 0.8% inflation rate ki wajah se hai, jo ke last month ke 1.1% se neeche hai aur teen saal ka low hai. Lekin Swiss franc ka decline iske safe-haven appeal ki wajah se limited ho sakta hai, jo geopolitical uncertainties, khaaskar Middle East ki situation ke darmiyan inflows ko attract kar rahi hai. Traders ghour se Israel ka response Iran ke recent missile attack par monitor kar rahe hain. US aur France ne bhi conflict par statements di hain, jisme US ne Israel ke long-term actions in Lebanon par displeasure ka izhar kiya aur France ne ceasefire aur diplomatic efforts ki call di hai. Technically, USD/CHF pair ne aik crucial medium-term downtrend line ke upar break kiya hai jo ke 0.8650 ke kareeb hai, jo ke 0.8400 level se strong rebound ke baad hua. Momentum indicators near-term bullish bias suggest karte hain, jisme RSI 50 level ke upar hai aur MACD apni signal aur zero lines ke upar cross kar raha hai. Agar price aur gain karti hai toh 0.8745 resistance level immediate target hoga, followed by 200-day simple moving average (SMA) jo 0.8825 ke kareeb hai. Ek decisive break is level ke upar potential move ke liye raasta bana sakta hai jo ke key 0.9050 level tak pohnch sakti hai. Lekin agar price retrace karti hai toh support levels 0.8540 par emerge ho sakte hain, jo 20- aur 50-day moving averages ke 0.8530 par bullish crossover ke upar hai. Aik deeper correction 0.8370-0.8400 area ka
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                          • #8998 Collapse

                            ### USD/CHF Ka Jaiza: Haal Aur Mustaqbil Ki Tanazur
                            Iss waqt USD/CHF currency pair lagbhag 0.8619 par trade kar raha hai, jo ke ek bearish trend ko darshata hai jo haal mein market ko khas taur par chaaron taraf chala raha hai. Ek bearish trend yeh darshata hai ke U.S. dollar ki value Swiss franc ke muqablay mein kamzor ho rahi hai. Yeh harkat kai ahem wajahaton ki wajah se hui hai, jinmein economic data releases, geopolitical developments, aur monetary policy mein tabdeeliyan shamil hain.

                            #### Haal Ki Bazaar Ki Hawa

                            USD/CHF ke liye maujooda bearish jazbaat zyada tar Swiss franc ki overall taqat se asar andaaz hain, jo aksar ek safe-haven currency ke taur par dekha jata hai. Iski wajah yeh hai ke Swiss franc ki taqat ke liye economic stability, kam inflation rates, aur ek mazboot banking system hai. Iske muqablay mein, U.S. dollar ne kuch mushkilat ka samna kiya hai, jinmein inflation ke masail aur economic uncertainties shamil hain, jo bazaar ki confidence mein fluctuations ka sabab bante hain.

                            Haal ke economic indicators jo U.S. se aaye hain, unmein milay julay signals hain. Jabke labor market ne mazbooti dikhai hai, inflation ab bhi Federal Reserve ke liye ek ahem masla bana hua hai. Kisi bhi interest rate hike ya monetary policy mein tabdeeli se USD ki value par seedha asar hoga. Agar Fed ne economic conditions ke hawale se ek zyada dovish stance dikhaya, to U.S. dollar dusri currencies ke muqablay mein kamzor ho sakta hai, jisme Swiss franc bhi shamil hai.

                            #### Technical Jaiza

                            Technical pehlu se, USD/CHF pair 0.8619 ke aas-paas consolidate hota dikh raha hai, jahan upar ki taraf resistance aur neeche ki taraf support ban raha hai. Agar pair significant support levels se neeche chala jata hai, to bearish trend ki tasdiq ho sakti hai. Traders aksar technical indicators jaise moving averages aur Relative Strength Index (RSI) ka istemal karte hain takay trend ki taqat ko samjha ja sake. Iss waqt, RSI yeh darshata hai ke pair oversold ho sakta hai, jo ke nazdeek ke waqt mein correction ya reversal ki nishani ho sakti hai.

                            #### Mustaqbil Ka Tanazur

                            Maujooda bearish jazbaat ke bawajood, kuch nishan hain jo yeh darshate hain ke USD/CHF agle dinon mein significant movements dekh sakta hai. Bazaar ki volatility aksar geopolitical events ya economic announcements se uthti hai jo jazbat ko achanak badal sakti hain. Misal ke taur par, agar U.S. monetary policy, economic data releases, ya kisi ahem geopolitical development mein tabdeeli hoti hai, to USD/CHF pair mein tezi se tabdeeli aa sakti hai.

                            Iske ilawa, traders ko key economic indicators jaise U.S. GDP growth, employment reports, aur inflation figures par nazar rakhni chahiye. Positive economic data U.S. dollar mein confidence barha sakta hai aur maujooda bearish trend mein correction ka sabab ban sakta hai. Iske muqablay mein, behtareen data Swiss franc ki taqat ko barhawa de sakta hai.

                            #### Nateeja
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                            Khulasa yeh hai ke USD/CHF pair is waqt 0.8619 ke level par ek bearish trend dikhata hai, jo mukhtalif economic factors se asar andaaz hai. Jabke market ka jazbaat is waqt bearish taraf hai, traders ko chaukanna rehna chahiye kyunki mumkinah catalysts aane wale dinon mein significant movements ko janam de sakte hain. Agar sahi economic developments hoti hain, to hum momentum mein tabdeeli dekh sakte hain jo maujooda trend ko challenge kar sakta hai, isliye traders ke liye yeh zaroori hai ke wo maloomat hasil karte rahein aur apni strategies ko waqtan-fa-waqtan adjust karne ke liye tayar rahein.
                               
                            • #8999 Collapse

                              ### USD/CHF Ka Tanazur
                              Good Morning, dosto!

                              USD/CHF ka market ne jumme ke din 0.8667 zone ko cross kiya, jo is baat ki nishani hai ke buyers mazboot hain aur market ke utar chadhav ke bawajood apni taqat dikha rahe hain. Yeh upward movement buyers ke be-dari aur positivity ko reflect karta hai, jo yeh darshata hai ke wo momentum hasil kar rahe hain. Lekin aane wale news data kaafi ahem hoga is faislay mein ke kya yeh momentum barqarar reh sakta hai ya nahi. Is hafte, Swiss Consumer Price Index (CPI) rate sellers ko wo impetus de sakta hai jo unhein critical 0.8622 level ko cross karne mein madadgar ho sakta hai, jo recent trading sessions mein ek ahem support point raha hai. Agar CPI expect se zyada hota hai, to yeh Switzerland mein inflation mein izafa darshata hai, jisse traders yeh ummeed rakh sakte hain ke Swiss National Bank monetary policy ko tighten kar sakta hai, jo Swiss franc ko US dollar ke muqablay mein faida dega. Dusri taraf, US economic data jo is hafte release honay wali hai - jaise Job Openings and Labor Turnover Survey (JOLTS), Unemployment Rate, aur Non-Farm Employment Rate - bhi market ke dynamics par bara asar daal sakti hai. Agar US se positive data aata hai, to yeh US dollar ko support de sakta hai, jisse buyers 0.8765 zone ko ek potential resistance level ke tor par target kar sakte hain.

                              Yeh conflicting economic indicators yeh darshate hain ke trading mein nuanced approach ki zaroorat hai. Is hafte humein current market sentiment ke mutabiq bohot ehtiyaat se trade karna hoga. US aur Swiss economic reports par nazar rakhna ahem hoga taake trends ko pehchan sakein aur informed decisions le sakein. Traders ko vigilant aur flexible rehna chahiye, kyunki in economic factors ke darmiyan ka asar tezi se market shifts la sakta hai. Risk management strategies ko implement karna, jaise stop-loss orders lagana, bhi bohot zaroori hoga taake unexpected volatility se investments ko bacha sakhein.
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                              Mujmooan, USD/CHF market mein kaafi significant movement ka imkaan hai, aur traders ko tayar rehna chahiye ke wo apni strategies ko incoming data aur prevailing sentiment ke mutabiq adjust kar sakain. Agar wo maloomat hasil karte rahein aur market ke changes par mutabarik rahen, to traders is dynamic trading environment mein mauqa hasil kar sakte hain.

                              Aap sab ko ek kamyab trading week mubarak ho!
                                 
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                              • #9000 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

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