These levels are aligned with previous rejection zones.
157.8650 (Sell Stoploss Zones)
Support:
147.7718 (Strong pivot level from historical lows).
144.8898 and 144.1802 (Mid pivot and buy orders zone).
Pivot Zones:
153.4900 (Sell limit identified)
149.7555 (Mid Pivot TP 2 target).
Trend:
The pair is in a downtrend as highlighted on the chart, with key resistance zones being tested.
Pivot Highs and Lows:
Pivot highs are aligning with bearish divergences, as seen in areas of DT (Double Top) confirmations.
Pivot lows signal potential reversals near support levels, supported by UT (Upward Trend) signals.
Volume and Risk Metrics:
Volume around Resistance 158 shows diminishing upward momentum, increasing the likelihood of rejection.
Risk Index: 0.01853 indicates manageable risk levels for short trades.
Reward Index: -0.01521 signifies opportunities for improved reward setups on lower timeframes.
PROBABILITY ASSESSMENT Bearish Scenario:
Rejection from the 153-158 range offers significant downside probability toward 147.77 and 144.18.
Bullish Recovery:
A confirmed breakout above 158.04 with strong volume could invalidate the bearish outlook, targeting 160.00.
FUNDAMENTAL ANALYSIS Macroeconomic Context:
The Bank of Japan (BoJ) has maintained ultra-loose monetary policies, which contrasts with the U.S. Federal Reserve's higher interest rate stance. This divergence favors dollar strength.
However, seasonal tendencies show that December often has corrective movements due to year-end profit-taking and reduced trading liquidity.
Economic Data:
Upcoming U.S. GDP and BoJ Monetary Policy Minutes could catalyze volatility.
Watch for geopolitical developments impacting the Yen as a safe-haven currency.
Market Sentiment:
Investor sentiment is cautious.
With the chart showing multiple sell zones and exhaustion signals
Traders may wait for confirmation before heavy entries.
UPDATED PIVOT HIGH
βThis revised Pivot High presents a +76 pip difference from the original analysis
β Verify if this revised Pivot High or the Previous Pivot High works with your trading strategy
β Limit Position Size Risk to 0.25% up to 2% of your Net Asset Value
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