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Welcome.

If you’ve looked into trading Forex online and feel it may be a potential opportunity to make money, you may be wondering about the best way to learn how to get started in Forex Analysis and trading.


It’s important to have an understanding of the Forex market and methods for Forex trading so that you can more effectively manage your risk, make winning trades, and set yourself up for success in your new path.

Fx
Boomerang

Our Daily Analysis Magazine

Technical Analysis

Forex Market Daily Technical Analysis of CRUDE OIL (WTI)

Daily Pivot Point of CRUDE OIL (WTI) Chart in 30M Time Frame is: 97.00 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 97.00 with first target at 100.80 and second target at 102.40 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of GOLD (XAU)

Daily Pivot Point of GOLD (XAU) Chart in 30M Time Frame is: 4660 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 4660 with first target at 4600 and second target at 4580 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of CRUDE OIL (WTI)

Daily Pivot Point of CRUDE OIL (WTI) Chart in 30M Time Frame is: 97.00 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 97.00 with first target at 100.80 and second target at 102.40 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of GOLD (XAU)

Daily Pivot Point of GOLD (XAU) Chart in 30M Time Frame is: 4660 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 4660 with first target at 4600 and second target at 4580 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of GBP/USD

Daily Pivot Point of GBP/USD Chart in 30M Time Frame is: 1.3535 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.3535 with first target at 1.3480 and second target at 1.3455 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of GBP/USD

Daily Pivot Point of GBP/USD Chart in 30M Time Frame is: 1.3535 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.3535 with first target at 1.3480 and second target at 1.3455 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of USD/CHF

Daily Pivot Point of USD/CHF Chart in 30M Time Frame is: 0.7870 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 0.7870 with first target at 0.7910 and second target at 0.7920 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of GBP/USD

Daily Pivot Point of GBP/USD Chart in 30M Time Frame is: 1.3535 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.3535 with first target at 1.3480 and second target at 1.3455 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of EUR/USD

Daily Pivot Point of EUR/USD Chart in 30M Time Frame is: 1.1720 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.1720 with first target at 1.1685 and second target at 1.1670 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of USD/CHF

Daily Pivot Point of USD/CHF Chart in 30M Time Frame is: 0.7870 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 0.7870 with first target at 0.7910 and second target at 0.7920 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of GBP/USD

Daily Pivot Point of GBP/USD Chart in 30M Time Frame is: 1.3535 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.3535 with first target at 1.3480 and second target at 1.3455 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of EUR/USD

Daily Pivot Point of EUR/USD Chart in 30M Time Frame is: 1.1720 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.1720 with first target at 1.1685 and second target at 1.1670 in extension as take profits.

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