FXBoomerang

Forex Market Daily Technical Analysis of USD/CHF

Daily Pivot Point of USD/CHF Chart in 30M Time Frame is: 0.8890 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 0.8890 with first target at 0.8850 and second target at 0.8830 in extension as take profits.
forex-technical-analisys-pivot-points-chart-USDCHF-2024-11-15-7f488.gif

Forex Daily Pivot Points and Market Situation:

Daily Pivot Point of USD/CHF Sybmol in 30M Time Frame Chart is: 0.8890 and Preferred situation is Bearish.

Forex Daily Support and Resistance Lines:

Technical analysis of USD/CHF: Resistance Lines of Day in 30M Time Frame:

  • Resistance Level 3: 0.8940
  • Resistance Level 2: 0.8915
  • Resistance Level 1: 0.8890

Technical analysis of USD/CHF: Support Lines of Day in 30M Time Frame:

  • Support Level 1: 0.8850
  • Support Level 2: 0.8830
  • Support Level 3: 0.8810

Forex Trading Signals:

Our Preferred Senario is Short Positions (Sell) under 0.8890 with first target at 0.8850 and second target at 0.8830 in extension as take profits.

If the market moves in the opposite direction, Alternative Senario is Long Positions (Buy) above 0.8890 with first target at 0.8915 and second target at 0.8940 in extension as take profits

Support and Resistance Levels and Pivot Points in Chart of USD/CHF

More
articles

Technical Analysis

Forex Market Daily Technical Analysis of CRUDE OIL (WTI)

Daily Pivot Point of CRUDE OIL (WTI) Chart in 30M Time Frame is: 67.85 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 67.85 with first target at 67.00 and second target at 66.60 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of EUR/JPY

Daily Pivot Point of EUR/JPY Chart in 30M Time Frame is: 158.48 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 158.48 with first target at 157.20 and second target at 156.85 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of EUR/GBP

Daily Pivot Point of EUR/GBP Chart in 30M Time Frame is: 0.8300 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 0.8300 with first target at 0.8258 and second target at 0.8246 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of GBP/JPY

Daily Pivot Point of GBP/JPY Chart in 30M Time Frame is: 191.37 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 191.37 with first target at 189.73 and second target at 189.27 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of NZD/USD

Daily Pivot Point of NZD/USD Chart in 30M Time Frame is: 0.5827 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 0.5827 with first target at 0.5776 and second target at 0.5762 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: 2629.00 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 2629.00 with first target at 2650.00 and second target at 2657.00 in extension as take profits.

looking for Something?

search Here

Generic selectors
Exact matches only
Search in title
Search in content
Post Type Selectors

This website uses cookies for analytics, Ads and to ensure you get the best experience on our website.

All Contents Provided for Learning and Analysis. Make Sure You Have Fully Read and Understand our Privacy Policy and Statements