FXBoomerang

Pivot Points

Technical Analysis

Forex Market Daily Technical Analysis of EUR/JPY

Daily Pivot Point of EUR/JPY Chart in 30M Time Frame is: 164.89 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 164.89 with first target at 163.60 and second target at 163.23 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: 198.15 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 198.15 with first target at 196.13 and second target at 195.58 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: 71.70 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 71.70 with first target at 70.70 and second target at 70.20 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: 2700.00 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 2700.00 with first target at 2668.00 and second target at 2657.00 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 Bullish. Our Preferred Senario is Long Positions (Buy) above 0.8300 with first target at 0.8342 and second target at 0.8355 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: 0.6030 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 0.6030 with first target at 0.5975 and second target at 0.5959 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of USD/CAD

Daily Pivot Point of USD/CAD Chart in 30M Time Frame is: 1.3900 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.3900 with first target at 1.3860 and second target at 1.3835 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of AUD/USD

Daily Pivot Point of AUD/USD Chart in 30M Time Frame is: 0.6630 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 0.6630 with first target at 0.6700 and second target at 0.6730 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: 0.8740 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 0.8740 with first target at 0.8695 and second target at 0.8670 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of USD/JPY

Daily Pivot Point of USD/JPY Chart in 30M Time Frame is: 152.90 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 152.90 with first target at 152.00 and second target at 151.40 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: 1.2940 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 1.2940 with first target at 1.3015 and second target at 1.3045 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: 1.0760 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 1.0760 with first target at 1.0825 and second target at 1.0855 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of USD/CAD

Daily Pivot Point of USD/CAD Chart in 30M Time Frame is: 1.3900 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.3900 with first target at 1.3860 and second target at 1.3835 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of AUD/USD

Daily Pivot Point of AUD/USD Chart in 30M Time Frame is: 0.6630 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 0.6630 with first target at 0.6700 and second target at 0.6730 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: 0.8755 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 0.8755 with first target at 0.8695 and second target at 0.8670 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of USD/JPY

Daily Pivot Point of USD/JPY Chart in 30M Time Frame is: 153.50 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 153.50 with first target at 152.00 and second target at 151.40 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: 1.2940 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 1.2940 with first target at 1.3015 and second target at 1.3045 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: 1.0760 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 1.0760 with first target at 1.0825 and second target at 1.0855 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: 71.45 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 71.45 with first target at 72.50 and second target at 72.90 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: 2682.00 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 2682.00 with first target at 2710.00 and second target at 2728.00 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: 71.85 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 71.85 with first target at 70.85 and second target at 70.40 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: 2678.00 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 2678.00 with first target at 2643.00 and second target at 2635.00 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: 166.20 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 166.20 with first target at 164.72 and second target at 164.34 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: 1.0710 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 1.0710 with first target at 1.0795 and second target at 1.0840 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: 0.8307 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 0.8307 with first target at 0.8355 and second target at 0.8368 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: 199.69 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 199.69 with first target at 197.59 and second target at 197.04 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: 0.5969 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 0.5969 with first target at 0.6029 and second target at 0.6045 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of USD/CAD

Daily Pivot Point of USD/CAD Chart in 30M Time Frame is: 1.3920 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.3920 with first target at 1.3845 and second target at 1.3820 in extension as take profits.

Technical Analysis

Forex Market Daily Technical Analysis of AUD/USD

Daily Pivot Point of AUD/USD Chart in 30M Time Frame is: 0.6595 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 0.6595 with first target at 0.6640 and second target at 0.6670 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: 0.8735 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 0.8735 with first target at 0.8775 and second target at 0.8795 in extension as take profits.

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