8 апреля 2002, 16:07

Технический анализ J.P Morgan Securities Ltd. 8 апреля Forex EuroClub

EURUSD
LONG TERM – BEARISH, MEDIUM TERM – BEARISH, SHORT TERM – NEUTRAL
SUPPORT – .8725 (Fib support) .8700 (trend line) .8640
RESISTANCE - .8825 (62% Fib) .8870/80 (high/key resistance) .8955 (prev high)
TRADE STRATEGY – Buy at .8730 risking .8700 targeting .8800

USDCHF
LONG TERM – BULLISH, MEDIUM TERM - BULL RANGE, SHORT TERM – RANGE
SUPPORT – 1.6595 (50% Fib) 1.6520 (prev low) 1.6485 (Key support) 1.6450 (50% Fib)
RESISTANCE – 1.6730 (62% Fib) 1.6860 (prev high) 1.6910 (interim high)
TRADE STRATEGY – Neutral

USDJPY
LONG TERM – NEUTRAL, MEDIUM TERM – NEUTRAL, SHORT TERM – CLOSE TO A BASE
SUPPORT – 131.90 (Fib supp) 131.60 (Thur low) 131.25/130.90 (4th wave low)
RESISTANCE –133.55 (interim high) 132.90/133.10 (trend line/interim high) 133.85 (prev high)
TRADE STRATEGY – Buy at 131.10 risking 130.75 targeting 132.60

GBPUSD
LONG TERM - BEARISH, MEDIUM TERM –RANGE, SHORT TERM – BULLISH… JUST
SUPPORT – 1.4305 (trend line) 1.4285/70 (congestion high/overlap) 1.4215 (prev low) 1.4090 (low)
RESISTANCE – 1.4380 (channel high) 1.4430 (high) 1.4520 (prev high) 1.4565 (prev high)
TRADE STRATEGY – Re-buy at 1.4310 risking 1.4270 targeting 1.4380/1.4450

EURGBP
LONG TERM – BULLISH, MEDIUM TERM - RANGE, SHORT TERM – RANGE
SUPPORT - .6100 (interim low) .6085 (strong support)
RESISTANCE – .6150/60 (congestion high) .6110/.6225 (prev high) .6280
TRADE STRATEGY – Short at .6135 risking .6155 targeting .6100/.6085

EURJPY
LONG/MEDIUM TERM – BULLISH, SHORT TERM – CORRECTS
SUPPORT – 115.35/25 (prev low/Fib) 114.50 (50% Fib) 113.75 (62% Fib)
RESISTANCE – 116.00 (pivot) 116.60 (congestion low) 117.10 (interim high) 117.70/90 (prev high)
TRADE STRATEGY – Buy at 115.30 risking 114.90 targeting 116.50.

EURCHF
LONG TERM - BEARISH, MEDIUM TERM – BEARISH, SHORT TERM – CAUTION
SUPPORT – 1.4610 (overlap) 1.4580 (Tue low) 1.4525 (low)
RESISTANCE – 1.4680 (prev high) 1.4735 (prev low)
TRADE STRATEGY – Neutral

AUDUSD
LONG TERM - BEARISH, MEDIUM TERM – BEAR RANGE, SHORT TERM – CORRECTS
SUPPORT – .5265/55 (pivot/Fib Proj) .5220 (interim low) .5190 (interim low)
RESISTANCE – .5305 (interim high) .5335 (pivot) .5350 (interim high) .5393 (prev high)
TRADE STRATEGY – Buy at .5265 risking .5245 targeting .5310.

USDCAD
LONG TERM – BULLISH, MEDIUM TERM – BULLISH ,SHORT TERM – RANGE
SUPPORT – 1.5870 (50% Fib) 1.5810 (Fib proj) 1.5800 (76% Fib) 1.5740
RESISTANCE – 1.5960/1.5980 (Fib resist) 1.6020 (double top) 1.6050 (channel high)
TRADE STRATEGY – Neutral.