TrustScoreFX πŸ†
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#EURGBP Trade Signal
Timeframe: 30-min
πŸ”₯ Bias: Bullish (Trading Central: RISE)
🎯 Entry: Long above 0.8689 (Pivot / Support)
βœ… Targets:
1️⃣ 0.8731 (R1)
2️⃣ 0.8742 & 0.8754 (extension, R2/R3 zones)
πŸ›‘ Stop Loss / Invalidation: Below 0.8670 (S2 zone)
⬇️ Alt Scenario: Short below 0.8689 β†’ 0.8670 & 0.8658 (S2/S3)
πŸ’¬ Comment: RSI >50 + MACD positive + price above 20/50 MAs β†’ upside prevails as long as 0.8689 holds support. Strong bullish structure with room to run toward 0.8754.

πŸ“Έ Chart: TrustScoreFX | Released: 2026.04.09 12:45
#EURGBP #ForexSignal #BullishBias #TradingCentral #EURGBPSig
#AUDJPY Trade Signal
Timeframe: 30-min
πŸ”₯ Bias: Bullish (Trading Central: RISE)
🎯 Entry: Long above 111.36 (Pivot / Support)
βœ… Targets:
1️⃣ 112.38 (R1)
2️⃣ 112.67–112.95 (extension, R2/R3 zones)
πŸ›‘ Stop Loss / Invalidation: Below 110.88 (S2 zone)
⬇️ Alt Scenario: Short below 111.36 β†’ 110.88 & 110.60 (S2/S3)
πŸ’¬ Comment: RSI >50 + MACD positive + price above 20/50 MAs β†’ upside prevails as long as 111.36 holds support. Strong bullish structure with targets toward 112.95.

πŸ“Έ Chart: TrustScoreFX | Released: 2026.04.09 12:45
#AUDJPY #ForexSignal #BullishBias #TradingCentral #AUDJPYSig
#EURJPY Trade Signal
Timeframe: 30-min
πŸ”₯ Bias: Bullish (Trading Central: RISE)
🎯 Entry: Long above 184.76 (Pivot / Support)
βœ… Targets:
1️⃣ 185.73 (R1)
2️⃣ 186.00–186.26 (extension, R2/R3 zones)
πŸ›‘ Stop Loss / Invalidation: Below 184.31 (S2 zone)
⬇️ Alt Scenario: Short below 184.76 β†’ 184.31 & 184.05 (S2/S3)
πŸ’¬ Comment: RSI >50 + MACD positive + price above 20/50 MAs β†’ upside prevails as long as 184.76 holds support. Strong bullish structure with targets toward 186.26.

πŸ“Έ Chart: TrustScoreFX | Released: 2026.04.09 12:45
#EURJPY #ForexSignal #BullishBias #TradingCentral #EURJPYSig
#XAUUSD Trade Signal
Timeframe: 30-min
πŸ”₯ Bias: Bearish (Trading Central: DECLINE)
🎯 Entry: Short below 4765.00 (Pivot / Resistance)
βœ… Targets:
1️⃣ 4695.00 (S1)
2️⃣ 4660.00 (extension, S2 zone)
πŸ›‘ Stop Loss / Invalidation: Above 4805.00 (R2 zone)
⬆️ Alt Scenario: Long above 4765 β†’ 4805 & 4843 (R2/R3)
πŸ’¬ Comment: As long as 4765 holds resistance, risk of break below 4695 remains high β€” downside prevails with bearish structure intact.

πŸ“Έ Chart: TrustScoreFX | Released: 2026.04.09 13:05
#Gold #XAUUSD #ForexSignal #BearishBias #TradingCentral #XAUUSDSig
#BTCUSD Trade Signal
Timeframe: 30-min
πŸ”₯ Bias: Bearish (Trading Central: DECLINE)
🎯 Entry: Short below 71870 (Pivot / Resistance)
βœ… Targets:
1️⃣ 69400.00 (S1)
2️⃣ 68750.00 & 68100.00 (extension, S2/S3 zones)
πŸ›‘ Stop Loss / Invalidation: Above 72970.00 (R2 zone)
⬆️ Alt Scenario: Long above 71870 β†’ 72970 & 73630 (R2/R3)
πŸ’¬ Comment: RSI <50 + MACD negative + price below 20/50 MAs β†’ downside prevails as long as 71870 holds resistance. Breakout above invalidates bearish bias.

πŸ“Έ Chart: TrustScoreFX | Released: 2026.04.09 13:29
#Bitcoin #BTCUSD #CryptoSignal #BearishBias #TradingCentral #BTCSignal
#ETHUSD Trade Signal
Timeframe: 30-min
πŸ”₯ Bias: Bullish (Trading Central: RISE) β€” *short-term rebound expected*
🎯 Entry: Long above 2139.00 (Pivot / Support) β€” *after bounce from current consolidation*
βœ… Targets:
1️⃣ 2237.00 (R1)
2️⃣ 2265.00 (extension, R2 zone)
πŸ›‘ Stop Loss / Invalidation: Below 2092.00 (S2 zone)
⬇️ Alt Scenario: Short below 2139 β†’ 2092 & 2064 (S2/S3)
πŸ’¬ Comment: RSI <50 but MACD turning up + price near pivot support β†’ mixed config favors short-term rebound to 2265 if 2139 holds. Watch for bullish confirmation.

πŸ“Έ Chart: TrustScoreFX | Released: 2026.04.09 13:31
#Ethereum #ETHUSD #CryptoSignal #BullishBias #TradingCentral #ETHSignal
#XTIUSD Trade Signal
Timeframe: 30-min
πŸ”₯ Bias: Bullish (Trading Central: RISE)
🎯 Entry: Long above 94.10 (Pivot / Support)
βœ… Targets:
1️⃣ 101.30 (R1)
2️⃣ 104.30 (extension, R2 zone)
πŸ›‘ Stop Loss / Invalidation: Below 92.40 (S2 zone)
⬇️ Alt Scenario: Short below 94.10 β†’ 92.40 & 91.00 (S2/S3)
πŸ’¬ Comment: RSI calls for a bounce + price holding pivot support β†’ upside favored if 94.10 holds. Watch for breakout confirmation toward 101.30+.

πŸ“Έ Chart: TrustScoreFX | Released: 2026.04.09 13:08
#CrudeOil #WTI #XTIUSD #ForexSignal #BullishBias #TradingCentral #OilSignal
Oil majors tumble despite headline reports of a rebound, with Shell plunging 4.68% to 3,401.00 and BP sliding 5.82% to 562.70 in a broad sector sell-off. The divergence suggests traders are looking past temporary Strait of Hormuz tensions to focus on deeper demand concerns or profit-taking. Investors should watch for sustained support levels before assuming the correction is over.

#OilAndGas #Shell #BP #EnergyStocks #MarketVolatility #CrudeOil
European airlines surge in a broad relief rally, with Wizz Air jumping 10.95% to 952.50 and Lufthansa climbing 10.27% to 8.12 at the last close. The sector outperforms despite headlines noting a stall in the wider equity rally as crude oil prices rebound. Traders are pricing in resilient travel demand, but rising energy costs remain a key risk to margin expansion.

#Airlines #Lufthansa #WizzAir #IAG #Ryanair #StocksToWatch
European bank stocks diverge sharply year-to-date after Citi upgrades Lloyds and Deutsche Bank, with HSBC leading gains up 19.10% while Deutsche Bank lags down 25.22%. The wide performance gap highlights selective investor preference despite the positive analyst revisions for the latter two. Traders are watching closely to see if the upgrades can reverse the deep underperformance in Deutsche Bank shares.

#Banking #HSBC #DeutscheBank #Lloyds #CitiUpgrade #EuropeanStocks
The S&P 500 staged a volatile V-shaped recovery in yesterday’s session, closing at 6,782.81 after sharp intraday swings tested buyer conviction. The index’s resilience into the close suggests underlying demand remains intact despite macro headwinds and pre-open uncertainty. Traders should monitor early futures action for confirmation of follow-through or false breakout risks.

#SPX #SAndP500 #EquityMarkets #Volatility #BloombergTV #MarketOpen
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European equities open mixed as the STOXX Europe 600 dips 0.08% to 613.01, while the FTSE 100 bucks the trend with a 0.26% gain to 10,636.07. Sector rotation is evident: Healthcare and Utilities lead gains, while Travel/Leisure plunges 1.01%, signaling risk-off sentiment in cyclical names. Traders are parsing macro data and earnings cues before committing to broader directional bets.

#STOXX600 #FTSE100 #CAC40 #EuropeanEquities #SectorRotation #MarketOpen
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BP leads STOXX Europe 50 gainers with a 1.74% rise to 572.50, while SAP drags the index lower, down 1.67% to 147.20 amid tech sector pressure. The divergence highlights defensive rotation into energy and healthcare as growth stocks face headwinds. Traders are watching for earnings catalysts to break the current range-bound momentum.

#STOXX50 #BP #SAP #EuropeanEquities #MarketRotation #BloombergTV
Oil majors rally intraday as BP surges 1.99% to 573.90 and Shell climbs 0.99% to 3,434.50, buoyed by persistent Strait of Hormuz supply concerns. The sector’s broad green print signals renewed risk appetite tied to crude price strength despite global growth worries. Traders are monitoring geopolitical headlines for escalation cues that could extend the momentum.

#OilAndGas #BP #Shell #TotalEnergies #CrudeOil #Geopolitics
European blue-chip stocks slide intraday as LVMH drops 2.47% to 486.55 and Novo Nordisk falls 1.52% to 236.45, dragging the Core 6 index lower. NestlΓ© SA is the sole gainer, up 0.42% to 79.08, highlighting defensive positioning amid broader growth stock weakness. Traders are trimming exposure ahead of key earnings and macro data, with volatility likely to persist near term.

#LVMH #NovoNordisk #ASML #Nestle #EuropeanStocks #IntradayMove
UK homebuyer demand plunges to its lowest since August 2023, as rising borrowing costs crush sales volumes and signal further price declines ahead. The RICS data underscores mounting pressure on the housing market, with fewer transactions expected in coming months. Investors are pricing in prolonged weakness, watching for policy shifts or rate cuts that could stabilize sentiment.

#UKHousing #RICS #RealEstate #InterestRates #PropertyMarket #BloombergTV
UK mortgage rates spike sharply as geopolitical tensions from the Iran war trigger a risk-off rally in gilt yields, pushing 2-year fixed averages above 5.5%. The surge mirrors Truss-era volatility, with lenders repricing risk amid uncertainty over inflation and Bank of England policy. Borrowers face renewed pressure as affordability erodes faster than wage growth can compensate.

#UKMortgages #IranWar #GiltYields #BankOfEngland #HousingMarket #FixedRate
Iranian strikes threaten the Strait of Hormuz, a chokepoint for 20% of global oil trade, sending crude futures higher and triggering risk-off flows across equities. Vessel tracking data shows heightened congestion near Oman and UAE waters as insurers reassess war-risk premiums. Traders are pricing in supply disruption fears, but caution remains until physical flow interruptions materialize.

#StraitOfHormuz #CrudeOil #Geopolitics #OilSupply #BloombergNews #EnergyMarkets
Hormuz crossings collapse to near-zero as AIS-tracked cargo ships halt transit, with only 3 west-to-east and 0 east-to-west vessels recorded in the last 24 hours. The shutdown underscores escalating geopolitical risk, threatening global oil flows and triggering supply chain repricing across energy and shipping markets. Traders are bracing for prolonged disruption unless diplomatic breakthroughs emerge swiftly.

#StraitOfHormuz #OilSupply #Shipping #Geopolitics #EnergyMarkets #BloombergTV