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- نرخ بهره2.4
- نرخ تورم (ماهانه)0
- انتظارات تورمی3.5
- خرده فروشی (ماهانه)0.2
- نرخ رشد تولید ناخالص داخلی (GDP)0
- شاخص مدیران خرید تولید (MPMI)51.4
- شاخص مدیران خرید بخش خدمات (SPMI)49.4
- نرخ بیکاری6.2
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- 3.75نرخ بهره
- 0.5نرخ تورم (ماهانه)
- 3.7انتظارات تورمی
- 0.9خرده فروشی (ماهانه)
- 2.1نرخ رشد تولید ناخالص داخلی (GDP)
- 53.9شاخص مدیران خرید تولید (MPMI)
- 51.2شاخص مدیران خرید بخش خدمات (SPMI)
- 4.2نرخ بیکاری
ترید روزانه
فرصت معاملاتی کوتاه مدت یا اسکالپ
میتوانید به دنیال موقعیت های فروش باشید
سوئینگ ترید
فرصت معاملاتی بلند مدت
میتوانید در نواحی مقاومت های اصلی به فکر فروش باشید.
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بایاس فاندامنتال نزولی است
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پیش بینی نزولی
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روند تکنیکال نزولی
مقاومت های داینامیک در R3 (1.14496) و R4 (1.14701) میتوانید به فکر فروش باشید
The Euro (EUR) is the official currency of the Eurozone, consisting of 19 of the 27 European Union (EU) member countries. It is the second most traded currency in the world and serves as a symbol of European economic integration. The Euro was introduced in 1999, and its value is influenced by the economic stability of the Eurozone. Key points include its central role in global trade and finance, with the European Central Bank (ECB) being responsible for its monetary policy. The Euro often shows strong correlations with the USD and commodity prices due to the economic dynamics of Europe and the global trade market. The Euro’s price is driven by factors such as GDP growth, inflation rates, political stability within the EU, and interest rates set by the ECB. In times of geopolitical instability, the Euro may weaken, while a stable economic outlook in the Eurozone can lead to strengthening.
The US Dollar (USD) is the most widely traded currency in the world and the primary reserve currency. It is the official currency of the United States and is often seen as the global standard for trade and investment. The USD’s price is influenced by the monetary policy of the Federal Reserve, inflation levels, and interest rates. Its dominance in global trade makes it highly correlated with other major currencies, especially the Euro and Japanese Yen. Key impact parameters for the USD include US economic growth (GDP), job market conditions, consumer spending, and the Fed’s policy decisions. As a safe-haven currency, the USD often rises during periods of global risk aversion. Its price is also sensitive to geopolitical events, such as US government policy changes and international conflicts.
EURUSD Analysis
Introduction
The EUR/USD is the most traded currency pair in the world. It represents the relationship between the Euro and the US Dollar. The price of this pair is heavily influenced by interest rate decisions from the European Central Bank (ECB) and the Federal Reserve (Fed), as well as economic indicators such as GDP, unemployment, and inflation in the Eurozone and the US. Key correlations include its inverse relationship with commodity prices, especially crude oil, and its sensitivity to global risk sentiment. The EUR/USD often acts as a benchmark for other currency pairs.
Fundamentals and Interest Rates
The European Central Bank policy is Dovish with the (ECB) current Interest rate 2.4%. Latest change was Jun 11, 2026 (25bp)%.
On that side the Federal Reserve policy is Dovish and (FED) has set its interest rate to 3.75% by latest change, Dec 10, 2025 (-25bp).
(FED) Higher interest rates generally lead to higher returns on investments denominated in USD. This tends to attract foreign capital into USD assets.
Based on the economic and macro fundamental data, The Fundamental Bias of EUR is Moderate Bullish and for the USD is Strong Bullish.
Ziwox considering Weak Bearish bias for this asset and we expect prices to decline in the long-term.
mid-term Fundamental Score for EUR is 13. and Fundamental Score for USD is 15. So, base on the Fundamental Score, we predict mid-term downside price movement.
Market Overview & Performance
In the current trading session, "Sydney & Tokyo", Market risk sentiment is Mix. The New Zealand Dollar and Gold recorded the strongest performance, while the United States Dollar and Australian dollar are weakest so far.
Currencies performance vs US dollar "USD"
Gold "XAU", recorded a 0.08% increase against us dollar.
Euro "EUR", performance has been 0.03% up so far
Pond "GBP", performance has been 0.03% up as of now
Australian dollar "AUD", has risen by 0.01%
New Zealand dollar "NZD", has risen by 0.3%
Japanese YEN "JPY", experienced 0.02% rise
Swiss franc "CHF", experienced 0.03% rise so far
Canadian dollar "CAD", has gained 0.04%
Market Sentiment and Positioning
EUR COT (Commitments of Traders):
Institutions Net Position on >Euro is -16227 included 223430 long, 239657 short and -17326 position changed from last week.
So they mainly have a bearish view on this asset and sold EUR for lower prices in long-term.
Last week -17326 repositioning Indicates more sell positions and price pressure in short-term.
USD COT (Commitments of Traders):
Institutions Net Position on >U.S. Dollar Index is 13269 included 31921 long, 18652 short and 253 position changed from last week.
So they mainly have a bullish view on this asset and bought USD for higher prices in long-term.
Last week 253 repositioning Indicates that they are optimistic about higher prices in mid-term.
Retail Traders:
Crowd traders or Retail traders are bullish on the EURUSD with 74% 26% ratio. 0 long pos and 0 short position.
We generally adopt a contrarian approach towards crowd sentiment and we give probability EURUSD prices may decrease.
Technical Levels and Support/Resistance
The EURUSD pair is approaching a critical technical support level near 1.13531.
Technical trend is Sell, So If the pair continues to weaken, this support could become a significant area to watch for potential reversal or consolidation.
On the upside, there is key resistance near 1.14701. Technically, If the pair continues to the upside, this resistance level could become a significant area to watch for sell entery potential.
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پیشبینیها، سیگنالها و فرصتهای تجاری ما برای کمک به شما در اطلاعرسانی ارائه میشوند، اما ما مسئولیت هیچ گونه ضرر احتمالی را نمیپذیریم..
علاوه بر این، ما در این بخش از وب سایت مشاوره مالی یا سرمایه گذاری ارائه نمی دهیم.
قبل از ورود به بازارهای مالی و فارکس، مهم است که اهداف سرمایه گذاری، سطح تجربه و تحمل ریسک خود را به دقت در نظر بگیرید.
ما میخواهیم تأکید کنیم که نمیتوانیم در قبال هرگونه ضرر یا خسارت، که ممکن است در نتیجه استفاده از این اطلاعات یا اتکا به آنها ایجاد شود، مسئول شناخته شویم. تصمیمات شما در نهایت متعلق به خودتان است، و ما شما را تشویق می کنیم که با احتیاط و آگاهی به معامله بپردازید.