Observations: Current Price: Around $28.825. Stop-Loss: $28.7218, just below the support level. Target Price: $29.3478, above a key resistance. Risk-Reward Ratio: 4.21, which indicates a favorable risk-to-reward setup. Volume Profile: A significant level of interest is visible at the price range between $28.80 and $28.90. Signal: Entry Point: Enter a long position...
Instrument: XAU/USD Entry Price: 2591.01 $ Stop Loss (SL): 2580.45 $ Take Profit (TP): 2632.80 $ Risk-to-Reward Ratio: 1:4 Federal Funds Rate: The previous volatility caused by the Federal Reserve's rate decision may have resulted in a market reaction that could continue today. Price moves could be sensitive to news and market sentiment, especially given the...
Signal: Sell Instrument: GBP/AUD (British Pound / Australian Dollar) Timeframe: 4-Hour Chart Entry Price: 2.01168 (current price level) Stop Loss: 2.02085 (above recent high resistance, ~91.7 pips) Take Profit: 1.95160 (target zone, ~600+ pips) Risk-Reward Ratio: 6.64 (high reward relative to risk) Technical Analysis: Resistance Rejection: The price has reached...
Buy: USD/JPY Entry Price: 153.303 Stop Loss (SL): 153.103 Take Profit 1 (TP1): 153.792 Take Profit 2 (TP2): 154.064 Support Level (200 EMA): 153.062 Risk-to-Reward Ratio: 1:2 Buy position with the expectation that the price will continue rising after touching the 200 EMA support level at 153.062. The entry price of 153.303 indicates the current level is slightly...
Intel Corporation (INTC) is one of the world’s leading semiconductor companies, primarily known for its microprocessors, which are critical components for computers and servers. Action: Buy (Expecting Breakout) Entry Price: $20.54 Target Price: $21.96 Stop-Loss Price: $19.84 Risk/Reward Ratio: 1:2 The entry price of $20.54 is near the midpoint of the...
Instrument:XAU/USD Entry Price: $2652.00 Target Price 1: $2684.73 (Target 1) Target Price 2: $2714.13 (Target 2) Stop Loss: $2642.27 Upcoming Key Events: Today: Retail Sales for Gold (Impact on demand, price movement possible) Tomorrow: FOMC Press Conference (Potential for market volatility based on US monetary policy outlook) Trade Rationale: Market Analysis: A...
Action: Buy Instrument: SALIK Entry Price: 4.96 AED Support Zone: 4.88 to 4.75 AED (Strong demand zone) Resistance Zone: 5.60 to 5.88 AED (Key resistance levels) Target Price: 5.60 AED (Immediate target) Stop-Loss: 4.75 AED (Below the support zone) Risk/Reward Ratio: 1:3 Key Points: Demand Zone: The current price area (around 4.96 AED) lies within a strong demand...
Signal: Buy Instrument: Gold CFDs (XAU/USD) Entry Price: $2,669.86 (current level or slightly better after confirmation) Stop Loss: $2,651.20 (below recent support and trendline) Take Profit: $2,791.20 (based on the target zone marked in the chart) Risk-Reward Ratio: Approximately 1:6 Technical Analysis: Trendline Breakout: The price has retraced to test a...
Trade Signal: Instrument: EUR/GBP Timeframe: 4-hour chart Strategy: Potential reversal play based on technical indicators and levels. Entry Point: Enter long near the current support level around 0.8236, as the price seems to be bouncing from a recent low. Stop Loss: Place the stop loss slightly below the recent low, at 0.8215 (visible red line as support break...
Buy Signal: Entry: Around $67.94 (current level) if bullish confirmation is observed, such as a strong candlestick reversal or increased volume near the support zone. Target: $77.36 as the first target and $80.09 as the second target. Stop-Loss: Below the support zone at $64.50 to minimize risk. Risk/Reward Ratio: Risk: ~$3.44 (entry at $67.94, stop-loss at...
Signal: Long (Buy) Entry Point: Around 1.27621 Take-Profit (TP): 1.30989 This level aligns with the marked resistance zone. Stop-Loss (SL): 1.26540 Below the recent support zone to manage risk. Risk-to-Reward Analysis: Risk: Entry (1.27621) - Stop-Loss (1.26540) = 0.01081 (~108 pips) Reward: Take-Profit (1.30989) - Entry (1.27621) = 0.03368 (~337...
Signal: Long (Buy) Entry Point: Around $2,640 Take-Profit (TP): $2,721 This aligns with the resistance zone marked on the chart. Stop-Loss (SL): $2,611 This is below the support zone to minimize risk. Risk-to-Reward Analysis: Risk: Entry ($2,640) - Stop-Loss ($2,611) = $29 Reward: Take-Profit ($2,721) - Entry ($2,640) = $81 Risk-to-Reward Ratio: 1:2.79...
Trade Type: Short Position (Sell) Reason: Price is entering a strong supply zone around 98670 USDT. Supply zones are typically areas where selling pressure can push the price lower. Entry: 98670 USDT This is the price at which the market should be entered for the short position, as it aligns with the supply zone and a potential reversal area. Stop Loss: 100458...
Trade Setup: Long (Buy) Entry Price: 158.661 (current price level) Take-Profit (Target): 164.850 (upper resistance zone with a potential gain of 3.9%) Stop-Loss: 156.112 (below the marked support zone to protect against downside risk) Risk-Reward Ratio (RRR): Approx. 1:2.4 (favorable for a long trade) Position Details: Reason for Entry: Price action suggests...
Trade Setup: Long (Buy) Entry Price: $2,642.68 (current price level) Take-Profit (Target): $2,758.89 (based on the upper resistance zone, offering a 4.4% potential gain) Stop-Loss: $2,600.36 (below the support zone to protect against downside risk) Risk-Reward Ratio (RRR): Approx. 1:2.8 (favorable for a long trade) Price action is showing signs of reversal...
Trade Signal: Trade Type: Long (Buy) Entry Point: Around 0.82770 (current price) Target: 0.83823 (primary target) Stop Loss: 0.82552 (below immediate support) Risk-Reward Ratio: Approximately 1:3 (favorable based on the chart setup). Analysis: Current Price: 0.82770 (as per the chart). Support Levels: Immediate: 0.82552 Next: 0.82300 (not shown but likely a...
Trade Signal: Trade Type: Long (Buy) Entry Point: Around $2,629.070 (current level) Target: $2,756.693 (primary target) Stop Loss: $2,600.362 (below the nearest support) Risk-Reward Ratio: Favorable (approximately 1:3 based on chart) Analysis: Current Price: The price is at $2,628.675 as indicated. Support Level: $2,600.362 appears to be the immediate support...
Signal: Long Position (Buy USD/JPY) Entry Point: Between 149.80 - 150.20, near the current level for optimal entry. Take Profit Levels: Target 1: 152.238 Target 2: 153.496 Target 3: 154.703 Stop Loss: Below 149.30 to account for false breakouts. Analysis of the Chart Price Action: The USD/JPY appears to be in a corrective phase after a significant decline, with...