Monday, September 19, 2005

Forex forecast for GBP/USD 19 November 2005




Sell at 1.8040 and close position after get profit +40 pips, stop loss at -70 pips

Smart Trade Alerts -STA: 19 SEP 2005... Update: 00:30 GMT - you can view the previous updates - click - session wise

(in all, aim 30-40 pips profit as quick trades or move initial stop of 30 pips to entry and trail to close at recommended levels in position trade

LONG TERM FORECAST: OTHER MAJORS ARE EXPECTED TO SWING BIG AND CORRECT LATER FROM SEPT.2005- WATCH AND DO STRATEGIC SWING AND POSITION TRADES - WAIT T0 BUY AFTER QUICK DROP AND COVER DURING NEXT RISE

SPOT TRADES:

EURO/USD SELL level 1.2667 - 1.2707 BUY level - 1.2213 - 1.2189
GBP/USD SELL level 1.8496 - 1.8567 BUY level - 1.8035 - 1.8054
USD/YEN BUY level 106.19 - 108.34 SELL level - 111.45 - 111.85
USD/CHF BUY level 1.2167 - 1.2234 SELL level - 1.2709 - 1.2743
AUD/USD SELL level 0.7798 - 0.7834 BUY level - 0.7672 - 0.7634
USD/CAD BUY level 1.1733 - 1.1763 SELL level - 1.2237 - 1.2289



POSITION TRADES: - wait for the full rise to do directional position trade of sell near the high for the season in other majors during quick rise and to close during quick fall by next month end and beyond

STARTEGIC TRADE: - you can buy near season low and sell during big rise to form the season high as swing and position trade using trailing stop - RECOMMENDED

OPERATORS INTENTION: operators are expected to swing and firm up other majors after the false move for a week .....
FOrex forecast for USD/CHF 19 November 2005




Smart Trade Alerts -STA: 19 SEP 2005... Update: 00:30 GMT - you can view the previous updates - click - session wise

(in all, aim 30-40 pips profit as quick trades or move initial stop of 30 pips to entry and trail to close at recommended levels in position trade

LONG TERM FORECAST: OTHER MAJORS ARE EXPECTED TO SWING BIG AND CORRECT LATER FROM SEPT.2005- WATCH AND DO STRATEGIC SWING AND POSITION TRADES - WAIT T0 BUY AFTER QUICK DROP AND COVER DURING NEXT RISE

SPOT TRADES:

EURO/USD SELL level 1.2667 - 1.2707 BUY level - 1.2213 - 1.2189
GBP/USD SELL level 1.8496 - 1.8567 BUY level - 1.8035 - 1.8054
USD/YEN BUY level 106.19 - 108.34 SELL level - 111.45 - 111.85
USD/CHF BUY level 1.2167 - 1.2234 SELL level - 1.2709 - 1.2743
AUD/USD SELL level 0.7798 - 0.7834 BUY level - 0.7672 - 0.7634
USD/CAD BUY level 1.1733 - 1.1763 SELL level - 1.2237 - 1.2289



POSITION TRADES: - wait for the full rise to do directional position trade of sell near the high for the season in other majors during quick rise and to close during quick fall by next month end and beyond

STARTEGIC TRADE: - you can buy near season low and sell during big rise to form the season high as swing and position trade using trailing stop - RECOMMENDED

OPERATORS INTENTION: operators are expected to swing and firm up other majors after the false move for a week .....
Forex forecast for USD/CAD 19 November 2005




Smart Trade Alerts -STA: 19 SEP 2005... Update: 00:30 GMT - you can view the previous updates - click - session wise

(in all, aim 30-40 pips profit as quick trades or move initial stop of 30 pips to entry and trail to close at recommended levels in position trade

LONG TERM FORECAST: OTHER MAJORS ARE EXPECTED TO SWING BIG AND CORRECT LATER FROM SEPT.2005- WATCH AND DO STRATEGIC SWING AND POSITION TRADES - WAIT T0 BUY AFTER QUICK DROP AND COVER DURING NEXT RISE

SPOT TRADES:

EURO/USD SELL level 1.2667 - 1.2707 BUY level - 1.2213 - 1.2189
GBP/USD SELL level 1.8496 - 1.8567 BUY level - 1.8035 - 1.8054
USD/YEN BUY level 106.19 - 108.34 SELL level - 111.45 - 111.85
USD/CHF BUY level 1.2167 - 1.2234 SELL level - 1.2709 - 1.2743
AUD/USD SELL level 0.7798 - 0.7834 BUY level - 0.7672 - 0.7634
USD/CAD BUY level 1.1733 - 1.1763 SELL level - 1.2237 - 1.2289



POSITION TRADES: - wait for the full rise to do directional position trade of sell near the high for the season in other majors during quick rise and to close during quick fall by next month end and beyond

STARTEGIC TRADE: - you can buy near season low and sell during big rise to form the season high as swing and position trade using trailing stop - RECOMMENDED

OPERATORS INTENTION: operators are expected to swing and firm up other majors after the false move for a week .....
Forex forecast for AUD/USD 19 November 2005




Smart Trade Alerts -STA: 19 SEP 2005... Update: 00:30 GMT - you can view the previous updates - click - session wise

(in all, aim 30-40 pips profit as quick trades or move initial stop of 30 pips to entry and trail to close at recommended levels in position trade

LONG TERM FORECAST: OTHER MAJORS ARE EXPECTED TO SWING BIG AND CORRECT LATER FROM SEPT.2005- WATCH AND DO STRATEGIC SWING AND POSITION TRADES - WAIT T0 BUY AFTER QUICK DROP AND COVER DURING NEXT RISE

SPOT TRADES:

EURO/USD SELL level 1.2667 - 1.2707 BUY level - 1.2213 - 1.2189
GBP/USD SELL level 1.8496 - 1.8567 BUY level - 1.8035 - 1.8054
USD/YEN BUY level 106.19 - 108.34 SELL level - 111.45 - 111.85
USD/CHF BUY level 1.2167 - 1.2234 SELL level - 1.2709 - 1.2743
AUD/USD SELL level 0.7798 - 0.7834 BUY level - 0.7672 - 0.7634
USD/CAD BUY level 1.1733 - 1.1763 SELL level - 1.2237 - 1.2289



POSITION TRADES: - wait for the full rise to do directional position trade of sell near the high for the season in other majors during quick rise and to close during quick fall by next month end and beyond

STARTEGIC TRADE: - you can buy near season low and sell during big rise to form the season high as swing and position trade using trailing stop - RECOMMENDED

OPERATORS INTENTION: operators are expected to swing and firm up other majors after the false move for a week .....
Forex forecast for USD/JPY 19 November 2005




Smart Trade Alerts -STA: 19 SEP 2005... Update: 00:30 GMT - you can view the previous updates - click - session wise

(in all, aim 30-40 pips profit as quick trades or move initial stop of 30 pips to entry and trail to close at recommended levels in position trade

LONG TERM FORECAST: OTHER MAJORS ARE EXPECTED TO SWING BIG AND CORRECT LATER FROM SEPT.2005- WATCH AND DO STRATEGIC SWING AND POSITION TRADES - WAIT T0 BUY AFTER QUICK DROP AND COVER DURING NEXT RISE

SPOT TRADES:

EURO/USD SELL level 1.2667 - 1.2707 BUY level - 1.2213 - 1.2189
GBP/USD SELL level 1.8496 - 1.8567 BUY level - 1.8035 - 1.8054
USD/YEN BUY level 106.19 - 108.34 SELL level - 111.45 - 111.85
USD/CHF BUY level 1.2167 - 1.2234 SELL level - 1.2709 - 1.2743
AUD/USD SELL level 0.7798 - 0.7834 BUY level - 0.7672 - 0.7634
USD/CAD BUY level 1.1733 - 1.1763 SELL level - 1.2237 - 1.2289



POSITION TRADES: - wait for the full rise to do directional position trade of sell near the high for the season in other majors during quick rise and to close during quick fall by next month end and beyond

STARTEGIC TRADE: - you can buy near season low and sell during big rise to form the season high as swing and position trade using trailing stop - RECOMMENDED

OPERATORS INTENTION: operators are expected to swing and firm up other majors after the false move for a week .....
Forex forecast for EURO/USD 19 November 2005




The 24-hrs forecast based trend chart gives the expected trend for day during the three different sessions -Japanese, European and US.

Intra-day forecast (EURO / USD - 19th Sep)
USD will become strong against other majors. EURO/USD will gradually become weak - Long term downward phase.
Early trading Hrs, EURO/USD will be moderate and volatility expected, will become weak during mid GMT trading Hrs. EURO/USD shows support at 1.2214 closing will be moderate.

spot- trade- clues
Buy EURO/USD during 09:00-10:00 GMT trading Hrs below 1.2214 level and sell EURO/USD during 22:00-23:00 GMT trading Hrs above 1.2278 level

Trade Signal - Trend and Timings
Trend for the day: Swings till 11:30 GMT and upward till day end with intermediary swing of 35-45 Pips
Timing:
Buy/Sell Time level/limit Stop Sell 02:30 PM 22-26 pips above Buy 09:30 PM Buy 09:30 PM 22-26 pips below Sell 15:30 PM Buy 15:30 PM 22-26 pips below Sell 22:30 PM Time - GMT Hrs , PM- Prevailing Market