EURUSD - Trends, Forecasts and Implications (Part 1) - page 905

 
EricGR >>:

ТС интересна.. но масштабы поражают... Погрешность больше будет... а уже на ней можно озолотиться))) Есть картинка? "Смущает тока MACD и EMA они показывают все еще нисходящий тренд по дневным свечам" был ли тогда смысл закрывать твой селл? если уж долгосрочный, то малек поспешил, как я считаю, добил бы еще малек до 1.385~...



I did not close, it was my order at extremums that kicked me out and I did not enter any more, I do not see an entry point and it seems to me that the downtrend is about to end.

What's wrong with my timeframe? Any tips!!!

 


Daytime

 


Sentinel

 
TEHANALYSIS OF THE EUROPEAN CURRENCY MARKETS:
Euro under pressure

LONDON, Jan 29 (ANI). /Dow Jones/. Moving charts for 24 hours:
Spot quotes: EUR/USD USD/JPY GBP/USD USD/CHF
Spot at 05.58 GMT 1.3933 89.84 1.6119 1.0528
Three-day trend Down Down Down Up
Weekly trend Down Down Down Up
200-day scol.cp 1.4343 92.49 1.6208 1.0529
3rd resistance 1.4053 91.18 1.6310 1.0583
2nd resistance 1.4029 90.71 1.6279 1.0553
1st resistance 1.3964 90.56 1.6240 1.0549
Pivot point* 1.3985 90.03 1.6177 1.0519
1st support 1.3912 89.57 1.6093 1.0477
2nd support 1.3872 89.14 1.6080 1.0447
3rd support 1.3832 88.25 1.5975 1.0425

Quotes on the spot: EUR/GBP EUR/JPY EUR/CHF AUD/USD
Spot as of 06.21 GMT 0.8647 125.34 1.4673 0.8913
Three-day trend Down Down Down Down
Weekly trend Down Down Down Down
200-day slope 0.8859 132.56 1.5079 0.8599
3rd resistance 0.8794 127.08 1.4772 0.9045
2nd resistance 0.8745 126.65 1.4739 0.9008
1st resistance 0.8688 125.65 1.4706 0.8943
Pivot point* 0.8643 125.93 1.4710 0.9177
1st support 0.8603 124.81 1.4667 0.8877
2nd support 0.8570 124.38 1.4645 0.8811
3rd support 0.8525 123.86 1.4577 0.8737
 

Published 09:43 29.01.2010

Hello!

The pressure on the Euro continues. It fell in price some more during yesterday's session and continues to decline this morning to a low of 1.3910.

The Dow Jones index also fell yesterday to near 10000 (10012). This is the fact which gave support to the dollar. Crude oil stabilized at 73.70$/bbl and gold also rallied, now trading at 1080-1090$/oz.

Riskier currencies also declined in the second half of the day.

Standard & Poor's Ratings Services said that the UK banking system is no longer considered one of the most stable and low-risk instruments. Also yesterday there were rumours on the market that Portugal's credit rating could also be downgraded.

Preliminary hearings on Ben Bernanke's candidacy for a second term as US Federal Reserve Chairman ended with his support in the Senate.

We have a big newsflow today and tomorrow is the end of the economic forum in Davos. Next week should be a quietly predictable one. It will not be long now.

On the EUR/USD the current low is 1.3910. The fall is being held back by the 100 simple average. Trade is being conducted along the level of 1.3950. The level of 1.40 has been updated as a level of buyers. It is highly probable that it will attract the pair to itself. In case of consolidation above 1.40, the primary target will be the level of 1.42. Recall that earlier, the players built numerous strategies based on the rise of the pair. At the moment, they are not cancelled, and the main target in case of growth remains the level of 1.45. In case of a further decline, which might be caused by increased volatility, the pair will be supported at 1.3850.

AUDUSD: The low is 0.8885. The pair is trading in the range of 0.89 to 0.8950. For today, players are not counting on a decline well below 0.89. Moreover, the construction of the option level at 0.9150 indicates upside risks.

The USDJPY is trading in a range between 89.29 and 90.09, which is characterized by insignificant upside risks. To overcome the long-term downside risks, the pair will need not only to return above 90.09, but also to consolidate above the 90.91-91.74 range. Interestingly, the levels of 95.24 and 100 were actualized amid low activity of the players in the US session. Players may not rule out intervention by the Bank of Japan.

Have a good day!

MFX FIBO Group analyst Mikael Nersesov

 

Try 2 Bollinger 20 (1-trend1, 2-trend2) with ema-50 and a standard zigzag. The bottom window bears strength next window buffalo strength next window %R-Williams-36. All this for one day - I think it will be more informative.

What we see is that the trend between 1 and 2-bolinger and touches and goes to the wall 1, so it is a long time. But I see a complete zigzag-correction is coming or is coming. %R with levels at-30 and-70 says about continuation (does not go out of-70) of the trend, the power indicators show an acceleration of this trend.If there will be a correction, the correction levels will be the Bollinger Bands - look a little bit at the history you will understand.When you can't or are bored with sitting in front of the computer, you review the data once a day and make bets on the end of the day, from 23 to 24 o'clock. Entries by Zigzag can be re-drawn and you wait for the internal Bollinger to cross (preferably 2 or 3 candles).Entries as you can see rare but profits are decent. I put 2 orders1- in the middle 2 on the outer boundary. at closing 1, 2 in without loss. if it goes along the wall for a long time pereplace once a day. stops for 5-10 points before the boundary of the outer wall

 

This is the picture I have painted so far

 
Excuse me 1.33 please read 1.933. This is the level from which it can be corrected. Where-OlegTs is written.
 
fasklo >>:

Попробуй 2 болинжера 20 (1-отклонение1,2-отклонение2) на них эма-50 и стандартный зигзаг.В низу окно силу медведей следующее окно силу буйволов следующее окно %R-вильямс-36.Все это на один день -думаю будет более информативнее.

Что мы видим-тренд между 1и2 болинжером и касается и идет по стенке 1-значит это надолго.Но вижу построился полностью зигзаг-корекция скоро будет или назревает.%R с уровнями на- 30и-70 говорит опродолжении(не выходит из -70) тенденции,индикаторы мощности говорят оразгоне этой тенденции.Если будет корекция то уровнями корекции будут полосы болинжера -посмотри немного по истории сам поймешь.Сужение полос болин. говорит о прекращении тенденции -расширене полос о продолжении тенденции.Когда невозможно или надоедает сидеть за компом делаеш обзор раз в сутки и ставки делаешь по законченому дню т.е.примерно с23 по 24.Входы по зигзагу.Он может перерисоваться поэтому ждешь пересечения свечкой внутренего болинжера(лучше всего 2или3 свеча) .Входы как видишь редки но и прибыль прилична Я ставлю2 ордера1-середина 2-на внешнюю границу .при закрытии 1, 2в без убыток.Если идет по стенке долго переставляю раз в день.Стопы за 5-10 пунктов до границ внешнего боля


Can I talk to you about your TS in more detail? I like the system based on bolingers, channels and envelopes, but formally I understand where entry, exit and stop are, but in fact I cannot figure out how to enter or exit and where to put a stop, I always get a stop triggered, then I enter the market on the end of a trend, I also cannot decide about the time interval. So I have to analyse by the envelope and channels, enter and exit the stop by extremums of the triple screen, in general, the profit is almost stable, but very small and often false orders are triggered and I get thrown out of the market earlier.
 
fasklo >>:
Прошу прощения 1.33 прошу читать 1.933.У меня выходит это уровень от которого может быть коректировка


Niroba, is that you?
Reason: