FXBoomerang

Pivot Points

Technical Analysis

Forex Market Daily Technical Analysis of CRUDE OIL (WTI)

Daily Pivot Point of CRUDE OIL (WTI) Chart in 30M Time Frame is: 63.05 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 63.05 with first target at 60.20 and second target at 60.95 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: 3325.00 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 3325.00 with first target at 3255.00 and second target at 3271.00 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: — and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under — with first target at 1.3770 and second target at 1.3800 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: 0.6475 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 0.6475 with first target at 0.6390 and second target at 0.6410 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: — and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under — with first target at 0.8250 and second target at 0.8285 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: — and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under — with first target at 144.10 and second target at 144.45 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: 1.3510 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 1.3510 with first target at 1.3390 and second target at 1.3420 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: 1.1385 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 1.1385 with first target at 1.1290 and second target at 1.1310 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: 1.3835 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.3835 with first target at 1.3800 and second target at 1.3780 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: 0.6455 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 0.6455 with first target at 0.6405 and second target at 0.6390 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: 144.50 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 144.50 with first target at 143.40 and second target at 143.00 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: 0.8250 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 0.8250 with first target at 0.8185 and second target at 0.8160 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: 1.3510 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.3510 with first target at 1.3445 and second target at 1.3415 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: 1.1320 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 1.1320 with first target at 1.1389 and second target at 1.1418 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: 0.6455 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 0.6455 with first target at 0.6405 and second target at 0.6390 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: 1.3835 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.3835 with first target at 1.3800 and second target at 1.3780 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: 0.8250 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 0.8250 with first target at 0.8185 and second target at 0.8160 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: 1.3510 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 1.3510 with first target at 1.3445 and second target at 1.3415 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: 144.50 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 144.50 with first target at 143.40 and second target at 143.00 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: 1.1320 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 1.1320 with first target at 1.1389 and second target at 1.1418 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: 3325.00 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 3325.00 with first target at 3287.00 and second target at 3265.00 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: 60.26 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 60.26 with first target at 61.80 and second target at 62.40 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: 162.75 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 162.75 with first target at 164.04 and second target at 164.37 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: 0.8431 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 0.8431 with first target at 0.8382 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: 193.47 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 193.47 with first target at 194.99 and second target at 195.39 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: 0.5982 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 0.5982 with first target at 0.5920 and second target at 0.5903 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: 61.30 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 61.30 with first target at 60.00 and second target at 59.55 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: 3325.00 and Preferred situation is Bearish. Our Preferred Senario is Short Positions (Sell) under 3325.00 with first target at 3287.00 and second target at 3265.00 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: 1.3810 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 1.3810 with first target at 1.3860 and second target at 1.3890 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: 0.8265 and Preferred situation is Bullish. Our Preferred Senario is Long Positions (Buy) above 0.8265 with first target at 0.8360 and second target at 0.8395 in extension as take profits.

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