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  • #1621 Collapse

    USD/CAD (U.S. Dollar to Canadian Dollar) ka currency pair iss waqt 1.3765 par trade kar raha hai, aur market ka rujhan bearish hai. Iska matlab hai ke U.S. dollar ka Canadian dollar ke muqable mein dheere dheere qeemat gir rahi hai, aur traders ek ahista ahista decline dekh rahe hain. Magar, kai aise factors hain jo yeh darshate hain ke aanewale dino mein USD/CAD pair mein aik barhi harkat dekhne ko mil sakti hai, jo ke iss waqt ke dheeme rujhan ko disrupt kar sakti hai.
    Ek ahem wajah jo aisi harkat ka sabab ban sakti hai woh hai global economic halat mein chal rahi ghair yaqeeniyat. U.S. aur Canadian economies, dono hi cheezain inflation rates, central banks ke interest rate faislay, aur oil prices mein utar chadhav se kafi mutasir hoti hain. Canada, jo ke ek bara oil exporter hai, zyada oil prices ka faida uthata hai, jo ke aam tor par Canadian dollar ko mazid mazbooti deta hai. Iske bar'aks, agar oil prices girti hain to Canadian dollar kamzor hota hai, jo ke USD/CAD mein aik upward movement ka sabab ban sakta hai.

    U.S. Federal Reserve ke policy faislay bhi ek ahem factor hain jis par nazar rakhni chahiye. Agar Fed yeh signal deti hai ke woh inflation ka muqabla karne ke liye interest rates barhati rahegi, to yeh U.S. dollar ko mazid mazbooti de sakta hai, jo ke mojooda bearish rujhan ka ulta ho sakta hai. Doosri taraf, agar Fed aik soft rujhan ka ishara karti hai, to USD/CAD par pressure barqarar reh sakta hai, aur Canadian dollar mazeed qeemat mein izafa kar sakta hai.

    Geopolitical factors aur global trade dynamics bhi USD/CAD mein ek significant shift ka sabab ban sakti hain. Aise events jaise ke Middle East mein tensions, U.S.-Canada ke darmiyan tijarati talluqaat mein tabdeeli, ya commodity markets (khaaskar oil) mein ghair mutawaqqa tabdeeli koi bhi achanak movement laa sakti hain. Market filhaal ek intezaar aur dekhne ke mode mein hai, magar inn areas mein koi naya development kisi bhi direction mein breakout ka sabab ban sakta hai.
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    Akhir mein, technical analysis yeh dikhata hai ke mojooda support levels jald test ho sakte hain, jo ya to rebound ko trigger karega ya phir mazeed girawat, ye depend karta hai ke market in levels par kaise react karta hai. Khulasay mein, jabke mojooda rujhan bearish hai aur market dheere chal raha hai, kayi aise factors hain jo aanewale dino mein USD/CAD mein ek barhi harkat ka sabab ban sakte hain. Traders ko economic data aur geopolitical developments par gahri nazar rakhni chahiye taake kisi breakout ke isharaat ko dekh sakein.
       
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    • #1622 Collapse

      USD/CAD Price Action Summary
      Hamari mojooda tawajjo USD/CAD currency pair ke price action ka jaiza lenay par hai. H4 chart par USD/CAD pair ne ek naya upward channel bana liya hai. Jumay ke din ek bearish engulfing pattern ubhar kar aaya tha; aakhri do candles ne isey ab tak invalidate nahi kiya. Is liye main soch raha hoon ke pair ko 1.3685 tak aur mumkin hai ke 1.3645 tak sell karoon. Ek factor jo buying ke haq mein hai, wo 37th figure ke ird gird stability aur dono Ichimoku Cloud ki boundaries ke ooper trade karna hai. 1.3782 ka level mazboot hai, jo mazeed growth ki potenshal ko darshata hai. Magar, is resistance zone se do sell signals milne ki wajah se, main umeed karta hoon ke ek pullback hoga jo 1.3645 tak le jayega. Yeh Ichimoku Cloud ke upper boundary ka test hoga, jo mumkin hai ke ek rebound ka sabab banay, aur upward momentum 38 aur 39 figures tak jari rahe. Agar 1.3645 ka test hota hai, main 1.3531 par selling kar raha hoon. H4 time frame par RVI indicator abhi tak ek wazeh direction nahi de raha, yeh flat hai, magar strong buying zone ki taraf jhuka hua hai.

      Pichlay haftay, Canadian dollar ne Monday ko hourly chart par ek bullish note ke sath shuruaat ki. Price ne 1.36278 resistance ko break kiya, magar isey barqarar rakhne mein nakam raha. Is ke baad, support level ko bhi mukhtasir tor par breach kiya gaya, magar yeh ek false breakout tha. Tuesday tak ek buy signal saamne aaya, jo 1.36952 resistance ko target kar raha tha, aur yeh signal kamiyab raha. Wednesday ko price ne phir se 1.36952 ko break kiya aur us ke ooper settle ho gaya, jo ke 1.37660 resist


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ID:	13176483 ance ko target karte hue ek buy signal ka sabab bana. Yeh signal Thursday ko kaam kar gaya, magar Friday ko do false signals aaye—ek buying aur ek selling ke liye. Jumay ko ek aur buy signal saamne aaya, jo ke 1.38395 resistance ko target kar raha tha, jo ke Monday ke liye ab bhi relevant hai. Magar, line ne flatten hona shuru kar diya hai, jo yeh darshata hai ke Monday se bearish turn aa sakta hai, jo ke selling opportunities ko trigger kar sakta hai.
         
      • #1623 Collapse

        Jab kisi currency pair mein long position lene ka socha jata hai, to sabse zaroori cheez ye hoti hai ke behtareen entry points, mumkin profits, aur risk management techniques ko pehchana jaye. Diye gaye scenario mein, market mein munafa hasil karne ke liye do ahem options hain.
        **Entry Points Ki Pehchan**

        Pehla option yeh darshata hai ke position 1.36153 par ya shayad 10 se 15 points neeche enter ki jaye. Yeh profitable trade ho sakta hai, magar yeh mojooda market conditions ke lehaz se sabse behtareen entry point nahi lagta. Doosra aur zyada mufeed option yeh hai ke lowest support level par entry ki jaye, jo ke 1.35628 par pehchana gaya hai. Yeh level is liye ahem hai ke yeh wo point hai jahan historically buyers ne mazeed girawat rokne ke liye step in kiya hai. Isliye, agar trader is support level par enter karta hai, to usay upward momentum ka faida uthate hue risk ko kam karne ka moka milta hai.

        **Profit Targets Set Karna**

        Jab entry point set ho jaye, to ek realistic profit target tay karna zaroori hai. Is case mein, 1.36968 ka profit target well-researched aur feasible lagta hai. Yeh target sirf entry point ke ooper nahi hai, balki un historical resistance levels se bhi milta hai jahan price action pehle ruk gaya tha ya reverse hua tha. Ek strategically positioned profit target trader ko kaafi gains ka moka deta hai jabke market ki volatility ko bhi madde nazar rakha jata hai.

        **Stop Loss ke Saath Risk Management**

        Profit targets define karne ke barabar hi stop-loss level tay karna zaroori hota hai. Propose kiya gaya stop-loss level 1.35598 par set hai. Yeh level kayi maqasid serve karta hai: agar trade plan ke mutabiq nahi jata to yeh losses ko limit karta hai aur trading mein ek disciplined approach ko barqarar rakhta hai. Stop-loss ke saath, traders apni risk exposure ko effectively manage kar sakte hain. Yeh stop-loss level isliye chuna gaya hai kyun ke yeh identified support level 1.35628 ke neeche hai. Agar price is level ko breach karta hai, to yeh market sentiment mein tabdeeli ka signal ho sakta hai, aur long position ko dobara reconsider karne ka waqt aa sakta hai.

        **Position Sizing aur Money Management**

        Jab trades enter ki jayein to effective money management buhat zaroori hai, khaaskar Forex trading mein, jahan leverage gains aur losses dono ko barhawa deta hai. Entry point ki height lot size ko mutasir karti hai. Agar entry point zyada hai, to lot size chhota hona chahiye taake risk exposure ko kam kiya ja sake. Position size ko entry point aur stop-loss ke mutabiq adjust karke traders is baat ko yaqeeni bana sakte hain ke woh jitna risk utha sakte hain us se zyada risk nahi kar rahe.

        **Strategy Ki Ahmiyat**

        Bagair ek mazboot plan ke trading karna emotional decisions ka sabab ban sakta hai, jo aksar losses mein badalta hai. Isliye, ek well-thought-out strategy ka istemal karna, jo specific entry aur exit points ke saath ho aur risk management measures ko bhi shamil kare, buhat zaroori hai. Agar trader apne trading plan par amal kare aur stop-loss strategy ko follow kare, to emotional reactions ko door rakha ja sakta hai jo jaldbazi mein decisions lene ka sabab ban sakti hain.

        **Khulasay Mein**
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        Currency pair mein long position enter karne ke do mufeed options hain, jismein sabse behtareen entry 1.35628 ke support level par hai. 1.36968 ka profit target market dynamics ke saath align karta hai, jo ke ek realistic goal hai. 1.35598 ke stop-loss ke saath, yeh approach effective risk management ki ijazat deti hai. Iske ilawa, ek disciplined money management strategy par amal karna trading mein lambi muddat tak kamiyabi ke liye zaroori hai. Entry points, profit targets, aur risk parameters ka achi tarah jaiza lekar, traders profitable outcomes ke chances ko barha sakte hain jabke mumkin losses ko minimize kar sakte hain. Aakhri baat yeh hai ke trading sirf profits kamane ke liye nahi hai, balki apne trading decisions par control barqarar rakhne aur dynamic market environment mein risks ko effectively manage karne ke liye hai.
           
        • #1624 Collapse

          1.3485 level ek ahem support level ke tor par dekha ja raha hai un traders ke liye jo USD/CAD pair par bullish hain. Agar price is level ke upar qaim rehti hai, to yeh U.S. dollar ki mazid taqat ka ishara hoga aur upward momentum mazeed barh sakta hai. Jo traders long positions lena chahte hain, un ke liye yeh level ek entry point ho sakta hai, kyun ke yeh recent upward trend ka silsila jari rehne ka signal deta hai. Magar agar pair is support level ke neeche girta hai, to yeh selling pressure barhane ka sabab ban sakta hai, jisse traders apni positions aur risk tolerance ko dobara evaluate karne par majboor ho sakte hain.
          Dusri taraf, 1.3500 level ko psychological importance hasil hai. Yeh round number aksar trading mein ek psychological barrier ke tor par kaam karta hai, jahan buyers aur sellers ek doosre ke muqable mein decision lene mein mushkilat mehsoos karte hain. 1.3500 mark sirf technical resistance nahi hai, balkay yeh wo point hai jahan market sentiment bhi shift ho sakta hai. Agar pair 1.3500 ke upar qaim rehne mein mushkil mehsoos karta hai, to yeh rally ke exhaustion ka signal ho sakta hai, jisse traders ek pullback ya reversal ki umeed kar sakte hain.

          Lekin agar USD/CAD pair is level ko tod kar upar chala jata hai aur wahan qaim rehne mein kamyab hota hai, to yeh further upward momentum ka confirmation hoga, jo mazeed high levels ke liye rasta khol sakta hai. Is surat mein, bullish traders next resistance levels ko target kar sakte hain aur current trading range se upar gains ki umeed kar sakte
             
          • #1625 Collapse

            time frame par market ka trend movement dekhte hain, yahan price ne September ke aakhir mein bearish rally banane mein nakami hasil ki. Price abhi bhi upar uthne mein pareshani mehsoos kar rahi hai aur ab daily support resistance area mein 1.3759 ke price range par ruk gayi hai, jo peechle kuch arse se behtar hai. Mujhe umeed hai ke price aage barhkar next target, jo shayad 1.3609 ke aas-paas ho, tak ja sakti hai. Lekin, yeh surat-e-haal zyada wazeh hone ki zarurat hai kyunki pichle do hafton mein barhne ki potential zyada dominant rahi hai. Support level ke upar mazboot movement aage aur barhne ki sambhavnayein badha sakti hai, jo ke sabse uncha point tak le ja sakta hai.
            Aakhri Jumme ko USDCAD pair ki price movement ka dekhte hue, yeh kaafi powerful nazar aayi, jahan buyers ki taraf se consistent buying action dekhne ko mila. Pichle hafte ki shuruaat se, buyers ne dheere dheere prices ko upar ki taraf push karne ki koshish ki hai. Kai bullish candlesticks jo choti aur beech ki body sizes ke hain, upar ki taraf move karte hue dikh rahe hain, jisse price 1.3427 se 1.3782 tak aa gayi. Pehle, sellers ne price par pressure daalna shuru kiya, lekin jab wo 1.3472 ke area se break nahi kar paye, toh isne buyers ko mazboot kharidari ka mauqa diya, jisse price do consecutive hafton tak phir se barh gayi.

            Jab sellers price ko dabaane mein nakam rahe, bullish candlesticks jo medium ya short body sizes ke hain, upar ki taraf aa gaye hain, jo price ko uski lowest area se door le ja rahe hain. 1.3427 area se buyers ne market par dominancy hasil ki hai jo is haftay tak chali. 1.3759 ke resistance area tak pahunchnay ke baad, jo ab daily support ban chuka hai, price wahan ruk gayi kyunki market band ho chuki thi. Is haftay ke trading session mein, bullish trend ab bhi dominate kar raha hai kyunki bullish candlestick ka shape pehle se lamba hai.


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            • #1626 Collapse

              Pichle hafte market sentiment behtar nazar aaya. Canadian unemployment rate ghat gaya aur employment rate bhi kaafi acha raha. Lekin, US ki news data negative thi. Agar hum US dollar ke fundamental asraat ko ghor se dekhein, toh yeh saaf hai ke USD se mutaliq overall news data negative taraf raha hai. Is wajah se, humne US dollar ko kamzor hote dekha, jabke doosri currencies ne stability hasil ki.
              USD/CAD par trading ke liye, mujhe lagta hai ke humein agle hafte ka calendar check karna chahiye aur phir nai market trading strategy tay karni chahiye. Yeh surat-e-haal humein ye batati hai ke humein apne trading plan ko maujooda market sentiment ke mutabiq badalna kitna zaroori hai. Market sentiment kisi currency ki taqat ya kamzori tay karne mein ahmiyat rakhta hai, aur US dollar ke aas-paas ki negative data ke saath, humein apni trading strategies ko iske mutabiq align karna zaroori hai taake risks ko kam kiya ja sake aur potential gains ko optimize kiya ja sake.

              Aane wale dinon mein, USD/CAD mein selling opportunity nazar aa sakti hai. Lekin, humein aane wale news data par bhi nazar rakhni hogi. Aaj market band hai, lekin hum news market sentiment aur nai trading stocks ka andaza laga sakte hain. Umeed hai ke aane wale din USD/CAD ke sellers ko unki pichli losses cover karne mein madad karenge. Aur, price shayad baad mein 1.3700 ke support zone ko cross kare. Lekin, aane wale news data bhi USD/CAD ki current market par asar daalenge. Isliye, market updates par nazar rakhna aur trading mein stop loss ka istemal karna zaroori hai taake uncertain losses se apne account ko bacha sakein




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              • #1627 Collapse

                Yeh price ke downward movement ki possibility ko darshata hai, khas taur par jab trend bearish condition mein hai. Misal ke taur par, agar bearish trend ke beech mein upward correction phase hai, to price SBR 1.3794 area ko test kar sakti hai. Jab tak breakout nahi hota, price apni downward rally continue kar sakti hai. 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. 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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                • #1628 Collapse

                  USD/CAD karansi pair, jo ke is waqt 1.3800 ke aas paas hai, ne ek bearish trend dikhaya hai, jo is baat ki nishani hai ke US dollar, Canadian dollar ke muqablay mein kamzor ho raha hai. Iss downtrend ke bawajood, market ka movement ahista hai, jisme dheere dheere girawat ho rahi hai magar koi tez ulat-palat nahi ho rahi. Lekin kuch mazboot isharaat hain ke aane wale dinon mein ek bara movement ho sakta hai.
                  Kayi factors USD/CAD exchange rate mein barey tabadlay ka imkaan barhati hain. Sab se pehle, United States aur Canada ke economic data releases kaafi ahem hain jinhon ne iss pair ki direction tay karni hai. Misal ke taur par, US Federal Reserve ki monetary policy aur interest rate ke faislay seedha US dollar par asar daalte hain. Agar Federal Reserve apni rate hikes ko rokne ya dheere karne ka faisla karti hai, inflation concerns ya economic slowdown ki wajah se, toh yeh USD/CAD pair mein mazid bearish move ko trigger kar sakta hai, kyun ke neeche rates aam tor par dollar ko kamzor karti hain. Isi tarah, agar US mein kisi bhi unexpected economic weakness ka saamna hota hai, jaise ke disappointing job reports ya GDP growth ka kam hona, toh USD aur neeche ja sakta hai.

                  Canadian side par, CAD ki value aksar oil prices se mutasir hoti hai, kyun ke Canada ek bara oil exporter hai. Agar oil prices barhte hain, toh CAD USD ke muqablay mein mazid mazboot ho sakta hai, jo USD/CAD ke bearish outlook ko support karega. Iske bar’aks, agar oil prices tezi se girte hain, toh Canadian dollar kamzor ho sakta hai, jo ke USD ko kuch support de sakta hai. Iske ilawa, Bank of Canada (BoC) ki monetary policy bhi kafi ahem kirdar ada karti hai. Agar BoC inflation ko rokne ke liye interest rates ko agressive tor par barhata hai, toh yeh CAD ko aur barhawa dega aur USD/CAD par neeche ka pressure barhaye ga.

                  Ek aur factor jo USD/CAD pair mein bade movement ka sabab ban sakta hai, woh hai geopolitical events ya global economic shifts. Misal ke taur par, agar global trade mein koi bara tabadla hota hai, ya bade economies ke darmiyan tensions barhti hain, toh forex market mein tez harkat ho sakti hai. Aise events aksar flight-to-safety behavior ko janam dete hain, jisme investors US dollar ya Canadian dollar jese mehfooz assets ki taraf rujoo karte hain, jo ke USD/CAD exchange rate ko mutasir karta hai.
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                  Jabke abhi tak market dheere chal rahi hai, lekin in tamam factors ke ekatha hone ka matlab hai ke volatility barh sakti hai. Traders aur investors ko agle economic releases, central bank ke faislay, aur global developments par nazar rakhni chahiye, jo USD/CAD pair mein ek bara movement laa sakti hain.
                     
                  • #1629 Collapse

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ID:	13178829 **USD/CAD Market Analysis**
                    Good Morning to all visitors!

                    Jumay ke din, USD/CAD ka market kamiyabi se 1.3761 zone tak pohanch gaya. Aur, US ke news events buyers ki kuch khaas madad nahi kar sake. Is haftay, kafi news data buyers ki madad kar sakti hai, aur ek aur ahem data release is haftay Philly Fed Manufacturing Index hai, jo ke manufacturing sector ki sehat ka ek ilaqai andaza hai. Yeh index Philadelphia Federal Reserve district mein manufacturers ke survey par mabni hota hai aur sector ke mojooda halaat aur mustaqbil ke tajziyat ka jaiza deta hai. Agar Philly Fed Manufacturing Index ki reading umeed se zyada aati hai, toh yeh manufacturing sector ke barhne ka ishara deti hai, jo aam tor par US dollar par musbat asar daalti hai, kyun ke yeh mazboot economy ka pata deti hai. Iske bar’aks, agar reading kamzor aati hai, toh yeh economic slowdown ka khauf barha sakti hai, jo currency ki value ko manfi tor par mutasir kar sakti hai. Philly Fed Index ko aksar ek leading indicator ke tor par dekha jata hai, kyun ke manufacturing consumer demand aur global trade ke halaat mein tabdilion ka jaldi asar leta hai.

                    USD/CAD mein trading ke maqasid ke liye, mein ek sell position ko pasand karta hoon jisme mera short target 1.3732 hai. Is haftay ke calendar mein Building Permits report bhi shamil hai, jo housing market ki taqat ka andaza de gi. Building permits ek forward-looking indicator hain, kyun ke yeh nayi residential construction projects ke mansoobon ki tadaad dikhati hain jo jald shuru kiye jate hain. Building permits m


                    ein izafa aam tor par economic growth ke hawalay se optimism ka ishara hota hai, kyun ke zyada construction ka matlab housing ki taqatwar demand hai, jo ke economic activity ka ahem hissa hai. Doosri taraf, agar permits kam hote hain, toh yeh housing sector mein kamzori ka pata de sakte hain, jo overall economic growth ko neeche la sakti hai. Kyun ke housing US economy ka ahem hissa hai, ek strong building permits report US dollar ko barhawa de sakti hai, kyun ke yeh mustaqbil mein economic growth ke hawalay se positive jazbat ko mazid mazboot karegi.

                    Umeed hai ke aaj USD/CAD ka market sellers ki pehli nuqsan ko poora karne mein madadgar sabit hoga.
                    Stay Blessed and Keep Calm!
                       
                    • #1630 Collapse

                      **USD/CAD Analysis**
                      **D1 Period Chart**

                      Aaj, Peer ke din, hum D1 period ke chart ko dekhenge - yani USD/CAD currency pair ka daily chart. Is daily chart mein dekha jaye toh trend bilkul badal gaya hai, ab jo current growth wave hai usne pichli wave ka maximum update kar diya hai, aur ab trend neeche ki taraf nahi raha, balke ab ek growth phase chal raha hai. Lekin yeh shak bhi hai ke yeh growth zyada barh nahi payegi. Pichlay September ka maximum update ho gaya hai aur 1.3783 ka mirror level zone tak pohoch gaya hai, jahan aap dekh sakte hain ke price uske aas paas ruk gayi hai. Ab yeh ek potential sales zone ban gaya hai, aur choti time periods par aap sales ke formations dekh sakte hain. Misal ke taur par, ek ghantay ke chart par yeh mirror level dekhain, jahan support resistance mein tabdeel ho sakta hai. Yahan khareedna bekaar hai, kyun ke qareebi future mein ek neeche ki taraf rollback ki umeed hai, aur mujhe lagta hai ke price 1.3609 ke support level area tak jaa sakti hai, jo ke closing prices par banaya gaya hai. Is level ke breakthrough ke baad ab tak obvious return nahi hua hai taake isko upar se test kiya ja sake.

                      Jab tak sale ka formation nahi banta, jaldbazi mein sale karne ki zarurat nahi hai. Neeche se dekha jaye toh ek rising wedge growth figure aur MACD indicator par bullish divergence hai. Yeh signals bilkul theek kaam kar rahe hain. Ab MACD indicator apni zero line cross kar chuka hai aur ab apni signal line se upar intensively barh raha hai. CCI indicator bhi upper

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ID:	13178831 overheating zone mein chala gaya hai. Aur choti time periods mein ab bearish divergences bhi aa chuki hain. Mukhtasir taur par, ab sale ke liye tayari ki ja sakti hai. Shayad jald choti time period jaise ke four-hour chart par sale ka formation ban jaye. Mere khayal mein yeh ek corrective descent lagega, kyun ke price bohot tezi se upar gayi hai jaise ke jet thrust par, aur bilkul bhi rollbacks nahi diye. Mere mutabiq, spring ab kaafi compress ho chuki hai ke ab usay seedha hona chahiye.
                         
                      • #1631 Collapse

                        CAD ka market kamiyabi se 1.3761 zone tak pohanch gaya. Aur, US ke news events buyers ki kuch khaas madad nahi kar sake. Is haftay, kafi news data buyers ki madad kar sakti hai, aur ek aur ahem data release is haftay Philly Fed Manufacturing Index hai, jo ke manufacturing sector ki sehat ka ek ilaqai andaza hai. Yeh index Philadelphia Federal Reserve district mein manufacturers ke survey par mabni hota hai aur sector ke mojooda halaat aur mustaqbil ke tajziyat ka jaiza deta hai. Agar Philly Fed Manufacturing Index ki reading umeed se zyada aati hai, toh yeh manufacturing sector ke barhne ka ishara deti hai, jo aam tor par US dollar par musbat asar daalti hai, kyun ke yeh mazboot economy ka pata deti hai. Iske bar’aks, agar reading kamzor aati hai, toh yeh economic slowdown ka khauf barha sakti hai, jo currency ki value ko manfi tor par mutasir kar sakti hai. Philly Fed Index ko aksar ek leading indicator ke tor par dekha jata hai, kyun ke manufacturing consumer demand aur global trade ke halaat mein tabdilion ka jaldi asar leta hai.
                        USD/CAD mein trading ke maqasid ke liye, mein ek sell position ko pasand karta hoon jisme mera short target 1.3732 hai. Is haftay ke calendar mein Building Permits report bhi shamil hai, jo housing market ki taqat ka andaza de gi. Building permits ek forward-looking indicator hain, kyun ke yeh nayi residential construction projects ke mansoobon ki tadaad dikhati hain jo jald shuru kiye jate hain. Building permits m


                        ein izafa aam tor par economic growth ke hawalay se optimism ka ishara hota hai, kyun ke zyada construction ka matlab housing ki taqatwar demand hai, jo ke economic activity ka ahem hissa hai. Doosri taraf, agar permits kam hote hain, toh yeh housing sector mein kamzori ka pata de sakte hain, jo overall economic growth ko neeche la sakti hai. Kyun ke housing US economy ka ahem hissa hai, ek strong building permits report US dollar ko barhawa de sakti hai, kyun ke yeh mustaqbil mein economic growth ke hawalay se positive jazbat ko mazid mazboot karegi.

                        Umeed hai ke aaj USD/CAD ka market sellers ki pehli nuqsan ko poora karne mein madadgar sabit hoga.
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                        • #1632 Collapse

                          Retail Sales mein stronger-than-expected recovery ki wajah se tha. Is recovery ne US mein mandi ke khadshon ko kam kiya. Akhri update ke mutabiq, pair 1.3578 ke qareeb hover kar raha hai, aur traders ane wale economic data ka intezar karte huye ehtiyaat barat rahe hain. Pair ko halka sa boost mila jab global markets ne ek risk-on mood adopt kiya, jo ke US ke positive retail sales data se tha. Ye data recession ke khadshon ko kam karte huye CAD ke liye thodi rahat le kar aaya. Lekin, pair ek narrow range mein raha, aur one-tenth of a percent ke qareeb shift karta raha. Is ke bawajood, CAD USD ki kamzori ka poora faida uthane mein nakam raha, kyun ke yeh ab bhi important resistance levels ke neeche hai.

                          **Technical Analysis**:
                          Moving averages selling ko recommend karte hain, aur technical indicators bhi selling ko support karte hain. Overall guidance yeh hai ke sell positions ko prioritize karna chahiye. Technical analysis ke mutabiq, is ka matlab hai ke pair mein ek bearish movement ke imkaanat hain. Aaye ab un significant news par nazar daalte hain jo ke pair ki movement ko affect kar sakti hain. Friday ko US kuch important updates release karega, lekin unka forecast neutral hai. Canada ke pas koi zyada important news nahi hai, siwaye Business Activity Indicator data ke jo Friday ko 1659 par release hoga, aur is ka forecast hopeful hai. In factors ke madde nazar, agle hafte mein bearish movement ke imkaanat hain, aur yeh meri rough trading plan ka buniyad


                             
                          • #1633 Collapse

                            Yeh price ke downward movement ki possibility ko darshata hai, khas taur par jab trend bearish condition mein hai. Misal ke taur par, agar bearish trend ke beech mein upward correction phase hai, to price SBR 1.3794 area ko test kar sakti hai. Jab tak breakout nahi hota, price apni downward rally continue kar sakti hai. 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. 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

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                            • #1634 Collapse

                              USD/CAD Price Action Summary Hamari mojooda tawajjo USD/CAD currency pair ke price action ka jaiza lenay par hai. H4 chart par USD/CAD pair ne ek naya upward channel bana liya hai. Jumay ke din ek bearish engulfing pattern ubhar kar aaya tha; Aakhri do candles ne isey ab tak invalidate nahi kiya. Is liye main soch raha hoon ke pair ko 1.3685 tak aur mumkin hai ke 1.3645 tak sell karoon. Ek factor jo buying ke haq mein hai, wo 37th figure ke ird gird stability aur dono Ichimoku Cloud ki boundaries ke ooper trade karna hai. 1.3782 ka level mazboot hai, jo mazeed growth ki potenshal ko darshata hai. Magar, is resistance zone se do sell signals milne ki wajah se, main umeed karta hoon ke ek pullback hoga jo 1.3645 tak le jayega. Yeh Ichimoku Cloud ke upper boundary ka test hoga, jo mumkin hai ke ek rebound ka sabab banay, aur upward momentum 38 aur 39 figures tak jari rahe. Agar 1.3645 ka test hota hai, main 1.3531 par selling kar raha hoon. H4 time frame par RVI indicator abhi tak ek wazeh direction nahi de raha, yeh flat hai, magar strong buying zone ki taraf jhuka hua hai.
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                              Pichlay haftay, Canadian dollar ne Monday ko hourly chart par ek bullish note ke sath shuruaat ki. Price ne 1.36278 resistance ko break kiya, magar isey barqarar rakhne mein nakam raha. Is ke baad, support level ko bhi mukhtasir tor par breach kiya gaya, magar yeh ek false breakout tha. Tuesday tak ek buy signal saamne aaya, jo 1.36952 resistance ko target kar raha tha, aur yeh signal kamiyab raha. Wednesday ko price ne phir se 1.36952 ko break kiya aur us ke ooper settle ho gaya, jo ke 1.37660 resist



                                 
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                              • #1635 Collapse

                                USD/CAD pair ke liye ek ahm support level sabit hua hai. Har baar, yeh ek mazboot buniyad ke taur par kaam kiya hai, jo pair ko upar ki taraf push karta hai aur substantial bullish rallies ka sabab banta hai. Traders ne dekha hai ke jab bhi price is area ke kareeb aati hai, toh strong rebound hone ki sambhavna zyada hoti hai. Yeh support zone pair ko upar le jane mein madadgar raha hai, jaisa ke pichli dafa isne notable gains trigger kiye.
                                Sab se aakhri bounce is key support zone se pair ko lagbhag 1.3945 tak le gaya, jo sirf kuch haftay pehle dekha gaya. Yeh tez izafa is support area ki taqat ko darust karta hai jo significant upward movements ko shuru karta hai. Yeh ek critical zone hai jise market participants kaafi nazar rakhte hain, kyunki yeh aksar long positions ke liye behtareen entry points faraham karta hai.

                                Ab jab pair phir se is critical level ke kareeb aa raha hai, toh traders ko dhyan se agle rebound ki sambhavna ka andaza lagana chahiye. Is support zone ki historical taqat ke madde nazar, agar price is area ke kareeb ghat ti hai, toh yeh ek aur buying opportunity faraham kar sakta hai. Khaaskar, agar pair 1.3600 support level tak pahuncha, toh traders isse market mein enter karne ka valuable mauqa samajh sakte hain, yeh umeed rakhte hue ke ek aur bounce hoga jo pair ko upar le ja sakta hai.

                                Lekin, jabke yeh support zone pichle waqt mein reliable raha hai, traders ko faislay karne se pehle broader market context ko bhi dekhna chahiye. Oil prices, U.S. aur Canadian economic data, aur US dollar ke liye general market sentiment jaise factors USD/CAD pair ke movement par asar daal sakte hain. 1.3600 zone se strong rebound ka depend karna favorable market conditions par hoga jo is support level ke mazboot hone ke historical trend ke sath milta ho.

                                Agar 1.3600 level ke neeche koi break hota hai, toh yeh market sentiment mein badlav ka signal de sakta hai, jo further downside risks ka sabab ban sakta hai. Isliye, jab yeh support zone ek potentially lucrative buying opportunity faraham karta hai, traders ko cautious rehna chahiye aur apni strategies ko adjust karne ke liye tayar rehna chahiye agar price action kamzori ya level ka breakdown dikhata hai.


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