Fxforecaster.com

Best Forex Forecast Service

Javascript in Progress... Click Here if you do not redirect in 5 seconds. You may not have a javascript enabled browser!


FxTrend - Forecast May 24, 2006

FxTrend - Forecast May 24, 2006

FxTrend Forecast is a Free Realtime Forex Forecast!!enjoy our 80 % accurate Forecast! so "Take advantage of everything you can !"

Name:
Location: California, United States

Fxforecaster is a Popular Forex Forecasting site in Forex market! We are serving our members since 2006... email your suggestions at fxforecaster@yahoo.com

Wednesday, May 24, 2006

Intraday Forex Forecast May 24, 2006

Forecast Time: 4:15AM EST (US-NY Time)
Next Update: Real time now
* Forecast is based on intraday trend, Put stoploss atleast 30pips away to prevent from loss.
* Press F5 key or browser Refresh button to Refresh before entering in trade. with clear green signal..
* You can sell and buy again on different dips between short term uptrend.

* Analysis and forecast is based on news, market analysis, charts, past data analysis.
* Suggestions are greatly welcome please send your comments
by email fxforecaster@yahoo.com
* If you like our site please advertise this site to other forums and also tell your friends and colleagues.
*Our Target is 100-200 Pips Daily
*Performance Last week 1200+ Pips - This week 1650+
* blog can be accessed through www.fxforecaster.com and messenger notification also started.

======================================
Latest Forex Market Update
UK Data at 4:30AM EST and JPY cpi data at 7:30 AM EST and USD Data of GDP and Unemployment will be at 8:30 AM EST news will come on May 25/2006 NY Time. These news will move the market .... so trade accordingly...
____________________________________
Urgent News Trades:
____________________________________

Short Term Trades:

EUR/USD : Short term buy again arround 1.2698 then Sell arround 1.2810....must use stoploss at 1.2750...

Next Forecast: Buy again arround 1.2790 then Sell at 1.2730
Trend: short term down

Status: Target Achieved

My action: will Buy again at 1.2698 will Sell at 1.2810 Time: --AM

=====================================

USD/JPY: Short term buy arround 110.50 then sell arround 111.30
Next Forecast: buy again at 110.55 then sell arround 111.30

Trend: short term up
Status: Target Achieved

My action: will Buy again arround 110.50 Sell at 111.30 with stoploss at 111.05 Time: --
=====================================

GBP/USD: Buy arround 1.8605 with selling targets arround 1.8790... must use stoploss at 1.8750.

Next Forecast: buy again arround 1.8655 with selling target arround 1.8780
Trend: short term down

Status: Target Achieved

My action: will Buy again at 1.8605 Sell at 1.8750

Time: --AM

=====================================

USD/CHF : Buy arround 1.2015 then selling targets at 1.2205

Next Forecast: buy again arround 1.2020 then selling target arround 1.2110
Trend: short term up

Status: Target Achieved

My action: will Buy again at 1.2010 Sell at 1.2198 then look for 1.2170 Time: --

stoploss at 1.2030

====================================

GBP/JPY : Buy again arround 208.20 with Selling targets at 209.80

Next Forecast: depends on trend so trade on different dips

Trend: short term up
Status: Target Achieved
My action: Buy arround 208.20 Sell at 210.60 Time: --
===================================


EUR/GBP: Buy arround 0.6752 Sell arround 0.6850

Next Forecast: depends on trend
Trend: short term up
Status: Target Achieved

My action: Bought again at 0.6762 Sold at 0.6778 Time: 4:12AM
=====================================


Long Term Trades:

* go long with CAD/JPY as it will move with Oil Prices
* go long with AUD/JPY as it will move with Gold Prices.

Best of Luck and Have a Nice trade !!!

Tuesday, May 23, 2006

Intraday Forex Forecast May 23, 2006

Forecast Time: 2:00AM EST (US-NY Time)
Next Update: Real time now
* Forecast is based on intraday trend, Put stoploss atleast 30pips away to prevent from loss.
* Press F5 key or browser Refresh button to Refresh before entering in trade. with clear green signal..
* You can sell and buy again on different dips between short term uptrend.

* Analysis and forecast is based on news, market analysis, charts, past data analysis.
* Suggestions are greatly welcome please send your comments
by email fxforecaster@yahoo.com
* If you like our site please advertise this site to other forums and also tell your friends and colleagues.
*Our Target is 100-200 Pips Daily
*Performance Last week 1200+ Pips - This week 1650+
* blog can be accessed through www.fxforecaster.com and messenger notification also started.

Forex Updates [May23, 2006]..USD Fed's Bernanke will be speaking on May 23/2006 at 10:00 AM EST NY Time. This speech is highly likely to move the market...Watch for interest rate announcements. at 10:00 EST.....so trade accordingly... and this data news is important and could change market direction... trade accordingly...
======================================
Latest Forex Market Update
USD Fed's Bernanke will be speaking on May 23/2006 at 10:00 AM EST NY Time. This speech is highly likely to move the market...Watch for interest rate announcements. at 10:00 EST.....so trade accordingly...
____________________________________
Urgent News Trades:
____________________________________

Short Term Trades:

EUR/USD : Short term buy again arround 1.2705 then Sell arround 1.2810....must use stoploss at 1.2750...

Next Forecast: Buy again arround 1.2790 then Sell at 1.2730
Trend: short term down then up

Status: Target Achieved

My action: will Buy again at 1.2705 will Sell at 1.2810 Time: --AM

=====================================

USD/JPY: Short term buy arround 110.50 then sell arround 111.30
Next Forecast: buy again at 110.55 then sell arround 111.30

Trend: short term down
Status: Target Achieved

My action: will Buy again arround 110.50 Sell at 111.30 with stoploss at 111.05 Time: --
=====================================

GBP/USD: Buy arround 1.8655 with selling targets arround 1.8790... must use stoploss at 1.8750.

Next Forecast: buy again arround 1.8655 with selling target arround 1.8780
Trend: short term up

Status: Target Achieved

My action: will Buy again at 1.8605 Sell at 1.8750

Time: --AM

=====================================

USD/CHF : Buy arround 1.2015 then selling targets at 1.2105

Next Forecast: buy again arround 1.2020 then selling target arround 1.2110
Trend: short term down

Status:
Target Achieved

My action: will Buy again at 1.2010 Sell at 1.2098 then look for 1.2170 Time: --

stoploss at 1.2030

====================================

GBP/JPY : Buy again arround 208.20 with Selling targets at 209.80

Next Forecast: depends on trend so trade on different dips

Trend: short term up
Status: Target Achieved
My action: Buy arround 208.20 Sell at 209.80 Time: --
===================================


EUR/GBP: Buy arround 0.6752 Sell arround 0.6850

Next Forecast: depends on trend
Trend: short term up
Status: Target Achieved

My action: Bought again at 0.6762 Sold at 0.6778 Time: 4:12AM
=====================================


Long Term Trades:

* go long with CAD/JPY as it will move with Oil Prices
* go long with AUD/JPY as it will move with Gold Prices.

Best of Luck and Have a Nice trade !!!

Monday, May 22, 2006

Intraday Forex Forecast May 22, 2006

Forecast Time: 11:30PMEST (US-NY Time)
Next Update: 1:50AM EST
* Forecast is based on intraday trend, Put stoploss atleast 30pips away to prevent from loss.
* Press F5 key or browser Refresh button to Refresh before entering in trade. with clear green signal..
* You can sell and buy again on different dips between short term uptrend.

* Analysis and forecast is based on news, market analysis, charts, past data analysis.
* Suggestions are greatly welcome please send your comments
by email fxforecaster@yahoo.com
* If you like our site please advertise this site to other forums and also tell your friends and colleagues.
*Our Target is 100-200 Pips Daily
*Performance Last week 1200+ Pips - This week 1650+
* blog can be accessed through www.fxforecaster.com and messenger notification also started today.
Forex Updates [May23, 2006]..USD Fed's Bernanke will be speaking on May 23/2006 at 10:00 AM EST NY Time. This speech is highly likely to move the market...Watch for interest rate announcements. at 10:00 EST.....so trade accordingly... and this data news is important and could change market direction... trade accordingly...
======================================
Latest Forex Market Update
USD Fed's Bernanke will be speaking on May 23/2006 at 10:00 AM EST NY Time. This speech is highly likely to move the market...Watch for interest rate announcements. at 10:00 EST.....so trade accordingly...
____________________________________
Urgent News Trades:
____________________________________

Short Term Trades:

EUR/USD : Short term buy again arround 1.2698 then Sell arround 1.2730....must use stoploss at 1.2710... can go towards 1.2790 if you are not cautious then stay little.

Next Move: Buy again arround 1.2790 then Sell at 1.2730
Current rate: 1.2773 Trend: short term down then down

Status: Target Achieved

My action: will Buy again at 1.2695 will Sell at 1.2730 Time: --AM

=====================================

USD/JPY: Short term buy arround 111.20 then sell arround 112.20
Next Move: buy again at 110.55 then sell arround 111.90

Current Rate: 111.34 Trend: short term up
Status: Target in Range

My action: Bought again at 111.05 will Sell at 111.45 with stoploss at 111.20 Time: 1:15AM
=====================================

GBP/USD: Buy arround 1.8605 with selling targets arround 1.8820... must use stoploss at 1.8750.

Next Move: buy again arround 1.8665 with selling target arround 1.8780
Current rate: 1.8775 Trend: short term down

Status: Target Achieved

My action: will Buy again at 1.8605 Sell at 1.8750

Time: --AM

=====================================

USD/CHF : Buy arround 1.2110 then selling targets at 1.2175

Next Move: buy again arround 1.2090 then selling target arround 1.2110
Current rate: 1.2160 Trend: short term up

Status:
Target in Range

My action: Bought at 1.2016 will Sell at 1.2075 then look for 1.2170 Time: 2:10 AM stoploss at 1.2030

====================================

GBP/JPY : Buy again arround 208.20 with Selling targets at 209.80

Next Move: depends on trend so trade on different dips

Current rate: 209.79 Trend: short term up
Status: Target Achieved
My action: Buy arround 208.20 Sell at 209.80 Time: --
===================================


EUR/GBP: Buy arround 0.6752 Sell arround 0.6850

Next Move: depends on trend
Current rate: 0.6795 Trend: short term up
Status: Target Achieved

My action: Bought again at 0.6762 Sold at 0.6778 Time: 4:12AM
=====================================


Long Term Trades:

* go long with CAD/JPY as it will move with Oil Prices
* go long with AUD/JPY as it will move with Gold Prices.

Best of Luck and Have a Nice trade !!!

Sunday, May 21, 2006

Intraday Forex Forecast May 21, 2006

Forecast Time: 4:01AM EST (US-NY Time)
Next Update: 2:50 AM.
* Forecast is based on intraday trend, Put stoploss atleast 30pips away to prevent from loss.
* Press F5 key or browser Refresh button to Refresh before entering in trade. with clear green signal..
* You can sell and buy again on different dips between short term uptrend.

* Analysis and forecast is based on news, market analysis, charts, past data analysis.
* Suggestions are greatly welcome please send your comments
by email fxforecaster@yahoo.com
* If you like our site please advertise this site to other forums and also tell your friends and colleagues.
*Our Target is 100-200 Pips Daily
*Performance Last week 1200+ Pips - This week 1650+
* blog can be accessed through www.fxforecaster.com
Forex Updates [May21, 2006]..The Cad Retail sale Data come at 8:30EST 19th May 2006.. be ready that will change the USD/CAD... and this data news is important and could change market direction... trade accordingly...
======================================
Latest Forex Market Update

EUR/USD is still in pressure due to strong dollar policy of friday..... enter in trade after clear signals.. good range bound for scalpers...
____________________________________
Urgent News Trades:
____________________________________

Short Term Trades:

EUR/USD : Short term buy again arround 1.2700 then Sell arround 1.2820....must use stoploss at 1.2748... can go towards 1.2870 if you are not cautious then stay little.

Next Move: Buy again arround 1.2765 then Sell between 1.2870
Current rate: 1.2773 Trend: short term down then up

Status: Target in Range

My action: short term Bought again at 1.2701 will Sell at 1.2748 with stoploss at 1.2740 Time: 2:50AM

=====================================

USD/JPY: Short term buy arround 111.90then sell arround 112.10
Next Move: buy again at 110.05 then sell arround 111.50

Current Rate: 111.94 Trend: short term down
Status: Target Achieved

My action: Bought again at 111.92 Sold at 112.04 Time: 9:20PM
=====================================

GBP/USD: Buy arround 1.8650 with selling targets arround 1.8820... must use stoploss at 1.8750.

Next Move: buy again arround 1.8765 with selling target arround 1.8780
Current rate: 1.8775 Trend: short term up

Status: Target in Range

My action: short term Bought again at 1.8646 Sell at 1.8736 with stoploss at 1.8700

Time: 2:56AM =====================================

USD/CHF : Buy arround 1.2140 then selling targets at 1.2275

Next Move: buy again arround 1.2090 then selling target arround 1.2110
Current rate: 1.2160 Trend: short term down

Status:
Target Achieved

My action: will Buy again at 1.2140 Sell at 1.2290 Time: --====================================

GBP/JPY : Buy again arround 208.20 with Selling targets at 209.80

Next Move: depends on trend so trade on different dips

Current rate: 209.79 Trend: short term up
Status: Target Achieved
My action: Buy arround 208.20 Sell at 209.80 Time: --
===================================


EUR/GBP: Buy arround 0.6752 Sell arround 0.6850

Next Move: depends on trend
Current rate: 0.6795 Trend: short term up
Status: Target Achieved

My action: Bought again at 0.6762 Sold at 0.6778 Time: 4:12AM
=====================================


Long Term Trades:

* go long with CAD/JPY as it will move with Oil Prices
* go long with AUD/JPY as it will move with Gold Prices.

Best of Luck and Have a Nice trade !!!

Updates ! May 21, 2006

Updates !
Hello again guys !

We recieve many suggestions in email daily...
one of our user "Warrior Uknown" suggested that we should send email or messenger message to inform everyone that we are going to do the website update in 5 minutes.

we decided that from upcoming monday we will start yahoo messenger to notify you guys that forecast on website is going to be updated after 5 minutes...
so please send me your yahoo email address so i will add you in yahoo messenger.

Suggestions are still welcome!

Regards
Sunny

Friday, May 19, 2006

Thanks to all

Thanks for your appericiation all guys who sent emails suggestions and appericiations...
Special thanks to Michael Biggs, Lawrence, K.N. Syed, jwjrcline, warriorwithin17, Safeace, morgan, Clarisse Planta, Henrik Frandsen, sasan, M.Mahoney, James, Gerhard, Graham Dutton, Richard Caldwell, Darlington Okereke, Mehdi Esmaeili, Fatmah, Coolguy, Saif Ahmed, Railsh00ter, scalper2000 and all others who dont email me but use my site...

Hope you guys will keep this site alive!
Regards from Sunny

Intraday Forex Forecast May 19, 2006

Forecast Time: 11:31 AM EST (US-NY Time)
Next Update: 4:50 PM.
* Forecast is based on 24 hours trend, Put stoploss on your own (atleast 30pips) to prevent from loss.
* Next Move means next Forecast or next 18 hours after current forecast.
* Page Refresh rate set to 4 minutes.. Press F5 key or browser Refresh button to Refresh.
* You can sell and buy again on different dips in between short term uptrend.

* Wait for the right time and Refresh broswer before entering in trade.
* Analysis and forecast is based on market analysis, charts, past data analysis.
* Suggestions and comments are greatly welcomed please send your comments or
contact us by email fxforecaster@yahoo.com
* If you like our site please advertise this site to other forums and also tell your friends and colleagues.
*Our Target is 100-200 Pips Daily
*Performance Last week 1200+ Pips - This week 1650+

Forex Updates [May19, 2006]..The Cad Retail sale Data come at 8:30EST 19th May 2006.. be ready that will change the USD/CAD... and this data news is important and could change market direction... trade accordingly...
======================================
Latest Forex Market Update

The Cad Retail sale Data arrived Retail Sales 1.5% 32.1 billion 19th May 2006.. that changed the USD/CAD and market little bit.... trade accordingly....
____________________________________
Urgent News Trades:
____________________________________

Short Term Trades:

EUR/USD : Short term buy arround 1.2682 then Sell arround 1.2790....must use stoploss at 1.2749...

Next Move: Buy again arround 1.2678 then Sell between 1.2870
Current rate: 1.2753 Trend: short term down

Status: Target Achieved
My action:
Bought again at 1.2700 Sold at 1.2755
Time: 11:59AM =====================================

USD/JPY: Short term buy arround 110.10 then sell arround 111.05
Next Move: buy again at 110.05 then sell arround 111.50

Current Rate: 110.95 Trend: short term up
Status: Target Achieved

My action: will Buy again at 110.10 Sell at 111.06 Time: --
=====================================

GBP/USD: Short term Buy arround 1.8670 with selling targets arround 1.8870... must use stoploss at 1.8739.

Next Move: buy again arround 1.8765 with selling target arround 1.8830
Current rate: 1.8740 Trend: short term down

Status: Target in Range

My action: Bought again at 1.8702 Sold at 1.8756 Time: 11:56AM =====================================

USD/CHF : Buy arround 1.2020 then selling targets at 1.2175

Next Move: buy again arround 1.2090 then selling target arround 1.2110
Current rate: 1.2190 Trend: short term up

Status:
Target Achieved

My action: will Buy again at 1.2022 Sell at 1.2190 Time: 3:30AM ====================================

GBP/JPY : Buy again arround 208.20 with Selling targets at 209.80

Next Move: depends on trend so trade on different dips Current rate: 209.67 Trend: short term up
Status: Target Achieved
My action: Buy arround 208.20 Sell at 209.80 Time: --
===================================


EUR/GBP: Buy arround 0.6752 Sell arround 0.6850

Next Move: depends on trend
Current rate: 0.6795 Trend: short term up
Status: Target Achieved

My action: Bought again at 0.6762 Sold at 0.6778 Time: 4:12AM
=====================================


Long Term Trades:

* go long with CAD/JPY as it will move with Oil Prices
* go long with AUD/JPY as it will move with Gold Prices.

Best of Luck and Have a Nice trade !!!