نیوزی لینڈ ڈالر اور امریکی ڈالر کی شرح تبادلہ

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نیوزی لینڈ ڈالر اور امریکی ڈالر کی شرح تبادلہ

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  • #7456 Collapse

    Market conditions ka assessment - NZD/USD. Fibonacci grid mere favorite tools mein se aik hai. Yeh dikhata hai ke market kitna door ja sakta hai, kahan wapas aayega, aur kis level par movement jaari reh sakti hai. Har koi Fibonacci tool ka istimaal apne tareeke se karta hai. Fibonacci installation ko illustrate karte hue, bina market distortion ke, kabhi kabhi yeh samajhna mushkil hota hai ke isay sahi tarah se kaise install karna hai. Main isay guzre hue trading day's candle par install karta hoon, uski close ke mutabiq. High ko Fibonacci level 100-(0.62331) ke barabar rakhta hoon, aur low ko 0-(0.61296) ke barabar. Aisi construction hamesha 100% consistent hoti hai, jo market patterns ko track karne mein madad deti hai, jin par market entry ideas base hote hain. Jaise pichle din, market 100- (0.62331) aur 50- (0.61814) Fibonacci levels ke darmiyan tha. Bullish interest mojood hai. Buyers ki preference Fibonacci level 123.6-(0.62575), 138.2-(0.62726) determine karti hai ke main apna profit kahaan loonga. Entry point 50-(0.61814) level se buy karne ka hai, aur movement ke dauran aap 61.8-(0.61936), 76.4-(0.62087) se enter kar sakte hain.

    Asal mein, New Zealand ke pair mein ab tak kuch khaas nahi badla, kyun ke upward movement jaari hai, aur mazeed growth ka room mojood hai. Magar jaldi opening ke baad, hum update karne nahi gaye, balki wapas aane ki koshish kar rahe hain, halan ke hum ab tak 62nd ke upar hain. Aur phir bhi, dollar zyada initiative nahi dikha raha, magar yeh important hai ke hum kis tarah se zyada trade karte hain. Jaise ke pehle kaha tha, main yeh nahi kehta ke Powell ke tamaam statements ne market ko pehle se hit kar diya hai, aur isliye humein kam az kam aik rollback milega. Yeh situation mushkil hai kyun ke mere paas koi immediate goals nahi hain. Lekin main ab bhi north ki taraf dekh raha hoon, aur agar hum phir se 0.6160 ke neeche break karte hain, to main wahan acceptable stop ke sath buy karna allow karta hoon.
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    • #7457 Collapse


      NZDUSD TECHNICAL ANALYSIS:
      NZDUSD H4 time frame par, iska value various factors se influence hota hai, jaise economic data dono countries se, commodity prices (especially dairy products, jo New Zealand ka major export hai), aur overall global market sentiment.

      Currently, pair 0.6024 mark par trade kar raha hai, jo traders ke liye recent sessions mein interesting level hai. H4 time frame ko analyze karne par, yeh evident ho jata hai ki NZDUSD downward trend mein hai. Yeh bearish momentum lower highs aur lower lows ki series se dekha ja sakta hai chart par, jo sellers ko favor karne wala market hai.

      Current price movement se pata chalta hai ki bears control mein hain, price ko down kar rahe hain market various economic aur technical factors ko react karne ke liye.

      Given current trend, traders ke liye several potential selling opportunities hain. Firstly, any retracement ya pullback resistance levels ki taraf se ideal entry point ho sakta hai sellers ke liye trend ko join karne ke liye. Agar price 0.6050-0.6070 area mein retrace karta hai, jahan previous support levels ab resistance mein convert ho gaye hain, yeh strategic point ho sakta hai short positions enter karne ke liye.

      Traders bhi candlestick patterns se confirmation dhoond sakte hain, jaise bearish engulfing candles ya shooting stars, jo downward trend ko continue karne ka signal de sakte hain brief rally ke baad.

      Outlook bearish dikha raha hai, lekin trading ko well-defined risk management strategy ke saath approach karna zaroori hai. Forex market inherently volatile hai, aur even most well-formed trends sharp reversals experience kar sakte hain. Stop-loss orders ko set karna crucial hai capital ko protect karne ke liye

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      • #7458 Collapse

        NZD/USD Analysis: Current Price Movements ka Projection

        Aaj, main TMA (Triangular Moving Average) channel indicator ka use karke NZD/USD pair ki current price movement ko forecast karne ki koshish karunga, jo moving averages ki analysis par based hai. Present mein, channel downward directed hai, jo indicate karta hai ki sellers buyers se zyada power hold kar rahe hain. Occasional upward retracements ke bawajood, main believe karta hoon ki bears abhi strong hain aur bulls ko control relinquish karne ki hurry mein nahi hain.

        Channel Direction aur Market Sentiment

        TMA indicator currently downward-sloping channel dikha raha hai, jo suggest karta hai ki market sentiment predominantly bearish hai. Sellers upper hand hold kar rahe hain, aur unki dominance likely hai continue unless significant bullish momentum emerges. Even though upward corrections hain, yeh movements temporary aur overall downward trend ko reverse karne ke liye strong enough nahi hain.

        Zigzag Indicator: Short Positions ke liye Clear Signal

        Zigzag indicator, jo overall trend direction identify karne mein madad karta hai, bhi downward pointing hai. Yeh idea ko further reinforces ki short positions current time mein most appropriate strategy hain. Zigzag line ki direction indicate karti hai ki current market conditions selling ke liye buying se zyada favorable hain. Therefore, short positions opening ongoing bearish trend ke saath align karta hai, counter-trend trades ke risk ko reduce karta hai.


        Click image for larger version

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        Laguerre aur RSI Indicators: Bearish Outlook ko Support Karta Hai

        TMA channel se potential false signals ko filter out karne ke liye, main additional indicators jaise Laguerre aur RSI (Relative Strength Index) ka use karta hoon. Dono indicators current sell zone mein hain, jo TMA channel se provide ki gayi bearish outlook ko confirm karta hai. Laguerre indicator, jo price fluctuations ko smooth out karne aur clearer signals provide karne ke liye known hai, show karta hai ki selling pressure strong hai. Similarly, RSI indicator, jo price movements ki speed aur change ko measures karta hai, bhi indicate karta hai ki momentum sellers ke side hai.

        Fibonacci Levels ko Targeting

        Targets set karne ke liye, main 23.6% Fibonacci retracement level par open short positions ko close karne ka plan karta hoon, jo price point 0.59182 par located hai. Fibonacci retracement levels often potential reversal points ko identify karne ke liye use ki jati hain, aur 23.6% level key areas mein se ek hai jahan current trend mein temporary pause ya reversal ho sakti hai. Isko exit point set karke, main bearish movement ka portion capture karne ka aim karta hoon, potential reversal mein phansne ke risk ko avoid karte hue
           
        • #7459 Collapse

          Concurrent Asian session mein Friday ko, New Zealand Dollar (NZD) kamzor hua, kuch key factors ke asar mein. Decline ko largely New Zealand ke two-year inflation expectations ki fall ne drive kiya, jo 2.3% par aa gaya, Reserve Bank of New Zealand (RBNZ) par high-interest rates ko maintain karne ke liye reduced pressure ko signal karta hai. Yeh dovish outlook ne investor sentiment ko NZD ke prati dampen kiya.

          Concurrently, U.S. Dollar (USD) ne solid economic data ke support se strengthen kiya, jo Federal Reserve ke prolonged higher interest rates ke expectations ko badhaya. Yeh USD ko investors ke liye attractive bana diya, NZD ko further weaken kar diya.

          Additionaly, market participants China ke Consumer Price Index (CPI) aur Producer Price Index (PPI) data ko closely monitor kar rahe hain. Recent reports ne dikha ki China ki inflation subdued hai, CPI just 0.3% annually rise hui, sluggish domestic demand ko indicate karti hai. Yeh weak inflation data China se NZD par downward pressure badhata hai, New Zealand ke significant trade exposure ko Chinese market mein dekhte hue.

          NZD ki decline ko domestic factors jaise lower inflation expectations aur stronger USD ke asar mein attribute kiya ja sakta hai. Moreover, subdued inflation figures China se global economic growth ke concerns ko exacerbate karti hain, particularly commodity exports se tied currencies jaise NZD ko impact karti hain. Market yeh developments ko continue watch karega, especially central bank policies mein shifts, jo currency movements ko coming weeks mein influence kar sakte hain.

          Currency pair 0.5866 par support finding ke baad aur 0.5907 level ko breaking ke baad bullish potential dikha raha hai, jo successfully retested hua hai. Lower time frames par, pair higher highs form karne ki koshish kar raha hai, 0.6038 target ki taraf impulsive move ko suggest karta hai. Current slow market conditions mein, unusual movements ho sakte hain, liquidity seek ki ja rahi hai, is liye slightly wider stop loss advisable hai premature exits ko avoid karne ke liye. Additionally, US Dollar Index recovery attempt kar raha hai, is liye conservative lot size ka use karne aur standard trading strategies ko adhere karne ka prudent hai risk ko effectively manage karne ke liye

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          منسلک شدہ فائلیں
             
          • #7460 Collapse

            NZD/USD Analysis: Current Price Movements ka Projection

            Aaj, main TMA (Triangular Moving Average) channel indicator ka use karke NZD/USD pair ki current price movement ko forecast karne ki koshish karunga, jo moving averages ki analysis par based hai. Present mein, channel downward directed hai, jo indicate karta hai ki sellers buyers se zyada power hold kar rahe hain. Occasional upward retracements ke bawajood, main believe karta hoon ki bears abhi strong hain aur bulls ko control relinquish karne ki hurry mein nahi hain.

            Channel Direction aur Market Sentiment

            TMA indicator currently downward-sloping channel dikha raha hai, jo suggest karta hai ki market sentiment predominantly bearish hai. Sellers upper hand hold kar rahe hain, aur unki dominance likely hai continue unless significant bullish momentum emerges. Even though upward corrections hain, yeh movements temporary aur overall downward trend ko reverse karne ke liye strong enough nahi hain.

            Zigzag Indicator: Short Positions ke liye Clear Signal

            Zigzag indicator, jo overall trend direction identify karne mein madad karta hai, bhi downward pointing hai. Yeh idea ko further reinforces ki short positions current time mein most appropriate strategy hain. Zigzag line ki direction indicate karti hai ki current market conditions selling ke liye buying se zyada favorable hain. Therefore, short positions opening ongoing bearish trend ke saath align karta hai, counter-trend trades ke risk ko reduce karta hai.

            Laguerre aur RSI Indicators: Bearish Outlook ko Support Karta Hai


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            TMA channel se potential false signals ko filter out karne ke liye, main additional indicators jaise Laguerre aur RSI (Relative Strength Index) ka use karta hoon. Dono indicators current sell zone mein hain, jo TMA channel se provide ki gayi bearish outlook ko confirm karta hai. Laguerre indicator, jo price fluctuations ko smooth out karne aur clearer signals provide karne ke liye known hai, show karta hai ki selling pressure strong hai. Similarly, RSI indicator, jo price movements ki speed aur change ko measures karta hai, bhi indicate karta hai ki momentum sellers ke side hai.

            Fibonacci Levels ko Targeting

            Targets set karne ke liye, main 23.6% Fibonacci retracement level par open short positions ko close karne ka plan karta hoon, jo price point 0.59182 par located hai. Fibonacci retracement levels often potential reversal points ko identify karne ke liye use ki jati hain, aur 23.6% level key areas mein se ek hai jahan current trend mein temporary pause ya reversal ho sakti hai. Isko exit point set karke, main bearish movement ka portion capture karne ka aim karta hoon, potential reversal mein phansne ke risk ko avoid karte hue
               
            • #7461 Collapse

              price 0.60696 hai. Pechle din ka extreme use kiya ja sakta hai. Is structure se, range 100-0.60939 aur 50-0.60624 hai. Current price 0.60696 bullish corridor ke north ko point kar raha hai. Market growth ke information se, main 50-0.60624, 61.8-0.60698, 76.4-0.60790 ke entrance point ko dekh raha hoon. In levels se rebounds aur breakthroughs pe kaam kiya ja sakta hai. Main 123.6-0.61088 ya 138.2-0.61180 ke senior profit se bahut satisfied hoon, jo mujhe khush karta hai. Sab kuch planned ke mutabiq nahi ho sakta, aur bear team interest dikhayegi, jo market scope ko 50-0-0.60624 bana degi. Aise losers ke baare mein pareshan hone ki zaroorat nahi, flexible rahkar sales pe shift karna chahiye. Fibonacci grid mukhtalif tareeqon se construct kiya ja sakta hai. Jitna steep tilt angle hoga, utne hi active sellers hain. Bears price ko target 0.60098 tak le jaane ki koshish kar rahe hain. Ek baar target reach ho gaya, to wahan se ek pullback 0.60303 tak hoga jahan se sellers enter karenge. Yeh zaroori hai ke channel ke lower edge par sell na kiya jaye. Channel ka principle simple hai - hum lower edge se buy karte hain aur upper edge se sell karte hain. Abhi, buying interesting nahi lagti kyunki channel southwards trend kar raha hai aur buying asset ki movement ke against hogi. Continuous movements around the 0.60303 level sellers ki presence show karte hain, jo decline ke liye achi chance indicate karte hain. D1 chart, jo mera main chart hai, ek bearish channel dikhata hai. D1 chart par bears ki strength mein koi shak nahi hai. Isliye, jaise ke upar mention kiya, main selling par focus karunga. Abhi, sales enter karna better hoga upper border of the channel at 0.60785 se. Decline channel 0.60153 tak execute hoga. Ek criterion growth ke liye upper edge of the D1 channel at 0.60303 par hoga, ek breakout, market ko strong sellers ke saath hold karte hue, niche bounce karte hue aur bullish activity ke signals provide karte hue. Growth 0.60785 par fade hogi aur phir downward movement retire hogi, jo downside par powerful player ko dikhayegi jisse selling opportunities ke liye dekha jaye. Isliye, buyers ko lag sakta hai ke unki opportunities somewhat restricted hain is prevailing seller-oriented environment mein. Yeh scenario highlight karta hai cautious approach adopt karne ki importance ko, carefully entry points aur risk management strategies ko assess karte hue. Fundamental analysis aur authoritative sources, including updates from the US government, pertinent news data influx provide karte hain jo NZD/USD market ke trajectory ko shape karte hain. Yeh insights essential context provide karte hain, investor sentiment ko influence karte hain, aur strategic decisions ko guide karte hain evolving market conditions ke response mein. Broader economic landscape bhi market ke complexity ko contribute karta hai. Factors raise interest rate differentials between New Zealand and the United States, geopolitical developments, and global economic indicators contribute to nuanced fluctuations observed in NZD/USD trading.

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              • #7462 Collapse

                Concurrent Asian session mein ko, New Zealand Dollar (NZD) kamzor hua, kuch key factors ke asar mein. Decline ko largely New Zealand ke two-year inflation expectations ki fall ne drive kiya, jo 2.3% par aa gaya, Reserve Bank of New Zealand (RBNZ) par high-interest rates ko maintain karne ke liye reduced pressure ko signal karta hai. Yeh dovish outlook ne investor sentiment ko NZD ke prati dampen kiya.

                Concurrently, U.S. Dollar (USD) ne solid economic data ke support se strengthen kiya, jo Federal Reserve ke prolonged higher interest rates ke expectations ko badhaya. Yeh USD ko investors ke liye attractive bana diya, NZD ko further weaken kar diya.

                Additionaly, market participants China ke Consumer Price Index (CPI) aur Producer Price Index (PPI) data ko closely monitor kar rahe hain. Recent reports ne dikha ki China ki inflation subdued hai, CPI just 0.3% annually rise hui, sluggish domestic demand ko indicate karti hai. Yeh weak inflation data China se NZD par downward pressure badhata hai, New Zealand ke significant trade exposure ko Chinese market mein dekhte hue.


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                NZD ki decline ko domestic factors jaise lower inflation expectations aur stronger USD ke asar mein attribute kiya ja sakta hai. Moreover, subdued inflation figures China se global economic growth ke concerns ko exacerbate karti hain, particularly commodity exports se tied currencies jaise NZD ko impact karti hain. Market yeh developments ko continue watch karega, especially central bank policies mein shifts, jo currency movements ko coming weeks mein influence kar sakte hain.

                Currency pair 0.5866 par support finding ke baad aur 0.5907 level ko breaking ke baad bullish potential dikha raha hai, jo successfully retested hua hai. Lower time frames par, pair higher highs form karne ki koshish kar raha hai, 0.6038 target ki taraf impulsive move ko suggest karta hai. Current slow market conditions mein, unusual movements ho sakte hain, liquidity seek ki ja rahi hai, is liye slightly wider stop loss advisable hai premature exits ko avoid karne ke liye. Additionally, US Dollar Index recovery attempt kar raha hai, is liye conservative lot size ka use karne aur standard trading strategies ko adhere karne ka prudent hai risk ko effectively manage karne ke liye
                   
                • #7463 Collapse

                  aik hai. Yeh dikhata hai ke market kitna door ja sakta hai, kahan wapas aayega, aur kis level par movement jaari reh sakti hai. Har koi Fibonacci tool ka istimaal apne tareeke se karta hai. Fibonacci installation ko illustrate karte hue, bina market distortion ke, kabhi kabhi yeh samajhna mushkil hota hai ke isay sahi tarah se kaise install karna hai. Main isay guzre hue trading day's candle par install karta hoon, uski close ke mutabiq. High ko Fibonacci level 100-(0.62331) ke barabar rakhta hoon, aur low ko 0-(0.61296) ke barabar. Aisi construction hamesha 100% consistent hoti hai, jo market patterns ko track karne mein madad deti hai, jin par market entry ideas base hote hain. Jaise pichle din, market 100- (0.62331) aur 50- (0.61814) Fibonacci levels ke darmiyan tha. Bullish interest mojood hai. Buyers ki preference Fibonacci level 123.6-(0.62575), 13

                  8.2-(0.62726) determine karti hai ke main apna profit kahaan loonga. Entry point 50-(0.61814) level se buy karne ka hai, aur movement ke dauran aap 61.8-(0.61936), 76.4-(0.62087) se enter kar sakte hain.
                  Asal mein, New Zealand ke pair mein ab tak kuch khaas nahi badla, kyun ke upward movement jaari hai, aur mazeed growth ka room mojood hai. Magar jaldi opening ke baad, hum update karne nahi gaye, balki wapas aane ki koshish kar rahe hain, halan ke hum ab tak 62nd ke upar hain. Aur phir bhi, dollar zyada initiative nahi dikha raha, magar yeh important hai ke hum kis tarah se zyada trade karte hain. Jaise ke pehle kaha tha,




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ID:	13105539 main yeh nahi kehta ke Powell ke tamaam statements ne market ko pehle se hit kar diya hai, aur isliye humein kam az kam aik rollback milega. Yeh situation mushkil hai kyun ke mere paas koi immediate goals nahi hain. Lekin main ab bhi north ki taraf dekh raha hoon, aur agar hum phir se 0.6160 ke neeche break karte hain, to main wahan acceptable stop ke sath
                     
                  • #7464 Collapse

                    -0.60939 aur 50-0.60624 hai. Current price 0.60696 bullish corridor ke north ko point kar raha hai. Market growth ke information se, main 50-0.60624, 61.8-0.60698, 76.4-0.60790 ke entrance point ko dekh raha hoon. In levels se rebounds aur breakthroughs pe kaam kiya ja sakta hai. Main 123.6-0.61088 ya 138.2-0.61180 ke senior profit se bahut satisfied hoon, jo mujhe khush karta hai. Sab kuch planned ke mutabiq nahi ho sakta, aur bear team interest dikhayegi, jo market scope ko 50-0-0.60624 bana degi. Aise losers ke baare mein pareshan hone ki zaroorat nahi, flexible rahkar sales pe shift karna chahiye. Fibonacci grid mukhtalif tareeqon se construct kiya ja sakta hai. Jitna steep tilt angle hoga, utne hi active sellers hain. Bears price ko target 0.60098 tak le jaane ki koshish kar rahe hain. Ek baar target reach ho gaya, to wahan se ek pullback 0.60303 tak hoga jahan se sellers enter karenge. Yeh zaroori hai ke channel ke lower edge par sell na kiya jaye. Channel ka principle simple hai - hum lower edge se buy karte hain aur upper edge se sell karte hain. Abhi, buying interesting nahi lagti kyunki channel southwards trend kar raha hai aur


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ID:	13105547

                    buying asset ki movement ke against hogi. Continuous movements around the 0.60303 level sellers ki presence show karte hain, jo decline ke liye achi chance indicate karte hain. D1 chart, jo mera main chart hai, ek bearish channel dikhata hai. D1 chart par bears ki strength mein koi shak nahi hai. Isliye, jaise ke upar mention kiya, main selling par focus karunga. Abhi, sales enter karna better hoga upper border of the channel at 0.60785 se. Decline channel 0.60153 tak execute hoga. Ek criterion growth ke liye upper edge of the D1 channel at 0.60303 par hoga, ek breakout, market ko strong sellers ke saath hold karte hue, niche bounce karte hue aur bullish activity ke signals provide karte hue. Growth 0.60785 par fade hogi aur phir downward movement retire hogi, jo downside par powerful player ko dikhayegi jisse selling opportunities ke liye dekha jaye. Isliye, buyers ko lag sakta hai ke unki opportunities somewhat restricted hain is prevailing seller-oriented environment mein. Yeh scenario highlight karta hai cautious approach adopt karne ki importance ko, carefully entry points aur risk management strategies ko assess karte hue. Fundamental analysis aur authoritative sources, including updates from the US government, pertinent news data influx provide karte hain jo NZD/USD market ke trajectory ko shape karte hain. Yeh insights essential context provide karte hain, investor sentiment ko influence karte hain, aur strategic decisions ko guide karte hain evolving market conditions ke response mein. Broader economic landscape bhi market ke complexity ko contribute karta hai. Factors raise interest rate differentials between New Zealand and the United States, geopolitical developments, and global economic indicators contribute to nuanced fluctuations observed in
                       
                    • #7465 Collapse


                      price 0.60696 hai. Pechle din ka extreme use kiya ja sakta hai. Is structure se, range 100-0.60939 aur 50-0.60624 hai. Current price 0.60696 bullish corridor ke north ko point kar raha hai. Market growth ke information se, main 50-0.60624, 61.8-0.60698, 76.4-0.60790 ke entrance point ko dekh raha hoon. In levels se rebounds aur breakthroughs pe kaam kiya ja sakta hai. Main 123.6-0.61088 ya 138.2-0.61180 ke senior profit se bahut satisfied hoon, jo mujhe khush karta hai. Sab kuch planned ke mutabiq nahi ho sakta, aur bear team interest dikhayegi, jo market scope ko 50-0-0.60624 bana degi. Aise losers ke baare mein pareshan hone ki zaroorat nahi, flexible rahkar sales pe shift karna chahiye. Fibonacci grid mukhtalif tareeqon se construct kiya ja sakta hai. Jitna steep tilt angle hoga, utne hi active sellers hain. Bears price ko target 0.60098 tak le jaane ki koshish kar rahe hain. Ek baar target reach ho gaya, to wahan se ek pullback 0.60303 tak hoga jahan se sellers enter karenge. Yeh zaroori hai ke channel ke lower edge par sell na kiya jaye. Channel ka principle simple hai - hum lower edge se buy karte hain aur upper edge se sell karte hain. Abhi, buying interesting nahi lagti kyunki channel southwards trend kar raha hai aur buying asset ki movement ke against hogi. Continuous movements around the 0.60303 level sellers ki presence show karte hain, jo decline ke liye achi chance indicate karte hain. D1 chart, jo mera main chart hai, ek bearish channel dikhata hai. D1 chart par bears ki strength mein koi shak nahi hai. Isliye, jaise ke upar mention kiya, main selling par focus karunga. Abhi, sales enter karna better hoga upper border of the channel at 0.60785 se. Decline channel 0.60153 tak execute hoga. Ek criterion growth ke liye upper edge of the D1 channel at 0.60303 par hoga, ek breakout, market ko strong sellers ke saath hold karte hue, niche bounce karte hue aur bullish activity ke signals provide karte hue. Growth 0.60785 par fade hogi aur phir downward movement retire hogi, jo downside par powerful player ko dikhayegi jisse selling opportunities ke liye dekha jaye. Isliye, buyers ko lag sakta hai ke unki opportunities somewhat restricted hain is prevailing seller-oriented environment mein. Yeh scenario highlight karta hai cautious approach adopt karne ki importance ko, carefully entry points aur risk management strategies ko assess karte hue. Fundamental analysis aur authoritative sources, including updates from the US government, pertinent news data influx provide karte hain jo NZD/USD market ke trajectory ko shape karte hain. Yeh insights essential context provide karte hain, investor sentiment ko influence karte hain, aur strategic decisions ko guide karte hain evolving market conditions ke response mein. Broader economic landscape bhi market ke complexity ko contribute karta hai. Factors raise interest rate differentials between New Zealand and the United States, geopolitical developments, and global economic indicators contribute to nuanced fluctuations observed in NZD/USD trading

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                      • #7466 Collapse

                        kiya. Price jo Wednesday ke daily open 0.6143 se shift hui thi, 0.6158 se neeche gir gayi. Sellers ne dominate karne ki koshish ki aur price ne 0.6144 area ko successfully penetrate kar diya aur neeche chali gayi. Resistance tab dikhayi di jab price EMA 36 H1 ke area ko touch kiya jo 0.6127 se 0.6132 ke numbers ke aas-paas cross kar raha tha. Kai baar price ne is area ko penetrate karne ki koshish ki, lekin EMA 36 H1 abhi bhi short-term dynamic support ki tarah kaam kar raha tha. Aakhir mein, price ek confirmed rejection ke baad upar ki taraf ghoom gayi. Upar jane ki koshish mein, price sirf 0.6172 ko touch kar paayi aur market Wednesday ke trading par 0.6149 pe close hui.
                        EMA 200 H1 abhi bhi price movement ke neeche hai aur EMA 12 aur EMA 36 H1 upar hai, jinhon ne bullish current ke H1 trend mein koi significant changes nahi dikhaye hain. Lekin, current buyer’s push lagta hai ke kam ho raha hai, lekin EMA 36 H1 abhi bhi ek rukawat hai. Filhal price dekhne mein aise lagti hai ke woh daily open Thursday 0.6149 ke aas-paas support aur resistance ke beech upar neeche ho rahi hai, jo ke 0.6130 aur 0.6169 ke beech hai, aur EMA 12 aur EMA 36 H1 thoda narrow ho raha hai. Agar dono choti EMAs cross karti hain, to ek nayi direction of movement realize ho sakti hai.
                        Kal, sellers ki distraction nazar aane lagi thi, jahan price ne Asian session mein negative move kiya. Price jo Wednesday ke daily open 0.6143 se shift hui thi, 0.6158 se neeche gir gayi. Sellers ne dominate karne ki koshish ki aur price ne 0.6144 area ko successfully penetrate kar diya aur neeche chali gayi. Resistance tab dikhayi di jab price EMA 36 H1 ke area ko touch kiya jo 0.6127 se 0.6132 ke numbers ke aas-paas cross kar raha tha. Kai baar price ne is area ko penetrate karne ki koshish ki, lekin EMA 36 H1 abhi bhi short-term dynamic support ki tarah kaam kar raha tha. Aakhir mein, price ek confirmed rejection ke baad upar ki taraf ghoom gayi. Upar jane ki koshish mein, price sirf 0.6172 ko touch kar paayi aur market Wednesday ke trading par 0.6149 pe close hui.

                        EMA 200 H1 abhi bhi price movement ke neeche hai aur EMA 12 aur EMA 36 H1 upar hai, jinhon ne bullish current ke H1 trend mein koi significant changes nahi dikhaye hain. Lekin, current buyer’s push lagta hai ke kam ho raha hai, lekin EMA 36 H1 abhi bhi ek rukawat hai. Filhal price dekhne mein aise lagti hai ke woh daily open Thursday 0.6149 ke aas-paas support aur resistance ke beech upar neeche ho rahi hai, jo ke 0.6130 aur 0.6169 ke beech hai, aur EMA 12 aur EMA 36 H1 thoda narrow ho raha hai. Agar dono choti EMAs cross karti hain, to ek nayi direction of movement realize ho sakti hai.

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                        • #7467 Collapse

                          NZDUSD ka H4 time frame mein price mukhtalif asraat se mutasir hota hai, jese dono mulkon ka economic data, commodity prices (khaaskar doodh ki masnuaat jo New Zealand ka bara export hai), aur global market sentiment. Iss waqt, yeh pair 0.6024 ke qareeb trade kar raha hai, jo ke recent sessions mein traders ke liye ahem level raha hai. Agar H4 time frame ka tajziya kiya jaye, to yeh wazeh hota hai ke NZDUSD downward trend mein hai. Yeh bearish momentum, chart par lower highs aur lower lows ki series ke zariye dekha ja sakta hai, jo ke ek classic indication hai ke market sellers ki taraf ja raha hai. Current price movement yeh suggest karta hai ke bears control mein hain, jo price ko neeche dhakel rahe hain, jese ke market mukhtalif economic aur technical factors par react kar raha hai. Mojooda trend ke madde nazar, traders ke liye kuch potential selling opportunities ho sakti hain. Pehli baat, agar price retrace ya pullback karta hai resistance levels ki taraf, to yeh sellers ke liye ideal entry point ho sakta hai jo trend ke saath chalna chahte hain. Misal ke taur par, agar price 0.6050-0.6070 area tak retrace kare—jahaan pehle support levels ab resistance ban chuke hain—yeh ek strategic point ho sakta hai short positions enter karne ke liye. Traders confirmation ke liye candlestick patterns, jese ke bearish engulfing candles ya shooting stars dekh

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                          sakte hain, jo ke brief rally ke baad downward trend ke continuation ka signal de sakte hain. Halaat bearish lag rahe hain, lekin trading karte waqt ek acha risk management strategy zaroori hai. Forex market apni fitrat mein volatile hai, aur well-formed trends bhi kabhi kabhi sharp reversals dekh sakte hain. Stop-loss orders lagana ahem hai taake apni capital protect ki ja sake. Misal ke taur par, recent swing high ke thoda upar stop-loss lagana potential losses ko limit karne mein madadgar ho sakta hai agar market apki position ke against move kare. Traders ko key economic events ka bhi khayal rakhna chahiye jo NZDUSD pair ko impact kar sakte hain. Interest rate decisions, employment data, ya commodity prices mein tabdeeli ke mutaliq news achanak currency pair mein movements la sakte hain, jo ke current technical setup ko invalidate kar sakti hain. Informed rehna aur trading strategy ko accordingly adjust karne ke liye tayyar rehna successful trading ke liye zaroori hai. NZDUSD currency pair H4 time frame mein abhi ek strong case present karta hai sellers ke liye. Ongoing downward trend, technical indicators aur price action se confirm hota hai, jo yeh suggest karta hai ke traders ke liye kai opportunities hain further declines se faida uthane ki. Agar traders retracement levels, volume, aur key technical signals ka ache se tajziya karein, to woh is bearish trend ka faida uthane ke liye strategically apni position bana sakte hain. Lekin, hamesha ki tarah, risk ko effectively manage karna aur market dynamics par asraat rakhne walay developments par nazar rakhna zaroori hai. Sahi approach ke saath,
                             
                          • #7468 Collapse

                            NZD/USD currency pair ne is haftay ke aghaz ke dinon mein aik aham bearish movement dikhai. Price ne downward trend experience kiya aur is haftay ka sabse kam point tak pohanch gaya, jo ke taqreeban 0.58915 tha. Is decline ke baad aik significant bearish pullback hua, jis se price mazeed 150 pips tak neeche gir kar taqreeban 0.58956 tak pohanch gayi. Yeh price action yeh zor se indicate karta hai ke sellers ne aik legitimate bearish trend establish kar liya hai, khaaskar jab unho ne pehle ke support level 0.58798 ko break kiya. Maujooda market conditions aur haal hi ki price action ko dekhte huye, agle haftay mein selling opportunities par focus karna munasib hoga. Sale ke entry points ko optimize karne ke liye, yeh mashwara diya jata hai ke thodi si corrective movement ka intezar kiya jaye, taake traders mazeed favorable price levels par positions secure kar sakein.




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                            Maine NZD/USD market situation ko MA100 indicator aur resistance trend line ke sath map kiya hai, jo ke dono bearish trend situation ke against defenses hain. Filhal, kuch signs hain ke sellers market mein aa rahe hain aur NZD/USD price ko neeche push kar rahe hain. Yeh aik acha sell entry signal hoga agar sellers mazid taqat ke sath aa kar NZD/USD price ko MA100 indicator ke neeche le aayein.

                            Jab NZD/USD price MA100 indicator ke neeche move karna shuru kare gi, to yeh validation hoga ke NZD/USD market phir se bearish trend situation mein chal rahi hai. Yeh situation sell entry signal ke liye bohat munasib hai, kyunke yeh mazeed consistent seller strength ko trigger karne ka potential rakhti hai, jiska maqsad aik lambay arsay tak bearish trend situation ko qaim rakhna hoga




                               
                            • #7469 Collapse

                              price 0.60696 hai. Pechle din ka extreme use kiya ja sakta hai. Is structure se, range 100-0.60939 aur 50-0.60624 hai. Current price 0.60696 bullish corridor ke north ko point kar raha hai. Market growth ke information se, main 50-0.60624, 61.8-0.60698, 76.4-0.60790 ke entrance point ko dekh raha hoon. In levels se rebounds aur breakthroughs pe kaam kiya ja sakta hai. Main 123.6-0.61088 ya 138.2-0.61180 ke senior profit se bahut satisfied hoon, jo mujhe khush karta hai. Sab kuch planned ke mutabiq nahi ho sakta, aur bear team interest dikhayegi, jo market scope ko 50-0-0.60624 bana degi. Aise losers ke baare mein pareshan hone ki zaroorat nahi, flexible rahkar sales pe shift karna chahiye. Fibonacci grid mukhtalif tareeqon se construct kiya ja sakta hai. Jitna steep tilt angle hoga, utne hi active sellers hain. Bears price ko target 0.60098 tak le jaane ki koshish kar rahe hain. Ek baar target reach ho gaya, to wahan se ek pullback 0.60303 tak hoga jahan se sellers enter karenge. Yeh zaroori hai ke channel ke lower edge par sell na kiya jaye. Channel ka principle simple hai - hum lower edge se buy karte hain aur upper edge se sell karte hain. Abhi, buying interesting nahi lagti kyunki channel southwards trend kar raha hai aur buying asset ki movement ke against hogi. Continuous movements around the 0.60303 level sellers ki presence show karte hain, jo decline ke liye achi chance indicate karte hain. D1 chart, jo mera main chart hai, ek bearish channel dikhata hai. D1 chart par bears ki strength mein koi shak nahi hai. Isliye, jaise ke upar mention kiya, main selling par focus karunga. Abhi, sales enter karna better hoga upper border of the channel at 0.60785 se. Decline channel 0.60153 tak execute hoga. Ek criterion growth ke liye upper edge of the D1 channel at 0.60303 par hoga, ek breakout, market ko strong sellers ke saath hold karte hue, niche bounce karte hue aur bullish activity ke signals provide karte hue. Growth 0.60785 par fade hogi aur phir downward movement retire hogi, jo downside par powerful player ko dikhayegi jisse selling opportunities ke liye dekha jaye. Isliye, buyers ko lag sakta hai ke unki opportunities somewhat restricted hain is prevailing seller-oriented environment mein. Yeh scenario highlight karta hai cautious approach adopt karne ki importance ko, carefully entry points aur risk management strategies ko assess karte hue. Fundamental analysis aur authoritative sources, including updates from the US government, pertinent news data influx provide karte hain jo NZD/USD market ke trajectory ko shape karte hain. Yeh insights essential context provide karte hain, investor sentiment ko influence karte hain, aur strategic decisions ko guide karte hain evolving market conditions ke response mein. Broader economic landscape bhi market ke complexity ko contribute karta hai. Factors raise interest rate differentials between New Zealand and the United States, geopolitical developments, and global economic indicators contribute to nuanced fluctuations observed in NZD/USD trading.

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                              • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                              • #7470 Collapse

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ID:	13105597 Concurrent Asian session mein Friday ko, New Zealand Dollar (NZD) kamzor hua, kuch key factors ke asar mein. Decline ko largely New Zealand ke two-year inflation expectations ki fall ne drive kiya, jo 2.3% par aa gaya, Reserve Bank of New Zealand (RBNZ) par high-interest rates ko maintain karne ke liye reduced pressure ko signal karta hai. Yeh dovish outlook ne investor sentiment ko NZD ke prati dampen kiya.

                                Concurrently, U.S. Dollar (USD) ne solid economic data ke support se strengthen kiya, jo Federal Reserve ke prolonged higher interest rates ke expectations ko badhaya. Yeh USD ko investors ke liye attractive bana diya, NZD ko further weaken kar diya.

                                Additionaly, market participants China ke Consumer Price Index (CPI) aur Producer Price Index (PPI) data ko closely monitor kar rahe hain. Recent reports ne dikha ki China ki inflation subdued hai, CPI just 0.3% annually rise hui, sluggish domestic demand ko indicate karti hai. Yeh weak inflation data China se NZD par downward pressure badhata hai, New Zealand ke significant trade exposure ko Chinese market mein dekhte hue.

                                NZD ki decline ko domestic factors jaise lower inflation expectations aur stronger USD ke asar mein attribute kiya ja sakta hai. Moreover, subdued inflation figures China se global economic growth ke concerns ko exacerbate karti hain, particularly commodity exports se tied currencies jaise NZD ko impact karti hain. Market yeh developments ko continue watch karega, especially central bank policies mein shifts, jo currency movements ko coming weeks mein influence kar sakte hain.

                                Currency pair 0.5866 par support finding ke baad aur 0.5907 level ko breaking ke baad bullish potential dikha raha hai, jo successfully retested hua hai. Lower time frames par, pair higher highs form karne ki koshish kar raha hai, 0.6038 target ki taraf impulsive move ko suggest karta hai. Current slow market conditions mein, unusual movements ho sakte hain, liquidity seek ki ja rahi hai, is liye slightly wider stop loss advisable hai premature exits ko avoid karne ke liye. Additionally, US Dollar Index recovery attempt kar raha hai, is liye conservative lot size ka use karne aur standard trading strategies ko adhere karne ka prudent hai risk ko effectively


                                   

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