EURCHF is trading above the previous breakout zone near 0.9396–0.9400, confirming a shift toward bullish structure. Price action shows a clean breakout from consolidation, aiming for the 0.9485–0.9546 resistance zones next, supported by strong momentum.
Support Zone: 0.9385–0.9400 (previous resistance turned support)
Immediate Resistance: 0.9485 (61.8% Fib level)
Target Zones:
TP1: 0.9485 (61.8% Fib retracement)
TP2: 0.9545 (78.6% Fib retracement)
Risk Level: Stop-loss below 0.9380 for protection.
✅ Bullish Factors:
Bullish break above mid-range structure and retesting successfully
Clean bullish market structure and higher lows developing
50% Fibonacci retracement break supports further upside momentum
Weak CHF fundamentals due to global risk appetite and cautious SNB stance
🧠 Fundamental Insights:
ECB Outlook:
ECB is heading toward a "complex June meeting" with Klaas Knot warning that while short-term tariffs may suppress inflation, long-term risks are two-sided.
Despite likely rate cuts, the ECB remains cautious due to trade war uncertainty and global pressures.
Eurozone Risks:
Upcoming GDP and CPI reports expected to show sluggish growth and cooling inflation, which could limit upside for EUR in medium term.
CHF Fundamentals:
Market sentiment favors risk assets, weakening the traditional safe-haven CHF.
No aggressive SNB tightening expected soon.
Recent Headlines:
US Treasury Sec Bessent highlights European concerns about Euro strength.
Weaker CHF amid global calm and stable financial markets.
📌 Trading Plan:
Bias: Bullish while holding above 0.9400
Entry: On dips near 0.9415–0.9420
Target 1: 0.9485
Target 2: 0.9545
Stop-loss: Below 0.9380
⚠️ Watch:
If EUR zone GDP or CPI disappoints heavily this week, expect sharp pullback risk.
A drop back below 0.9380 would invalidate the bullish breakout scenario.
Support Zone: 0.9385–0.9400 (previous resistance turned support)
Immediate Resistance: 0.9485 (61.8% Fib level)
Target Zones:
TP1: 0.9485 (61.8% Fib retracement)
TP2: 0.9545 (78.6% Fib retracement)
Risk Level: Stop-loss below 0.9380 for protection.
✅ Bullish Factors:
Bullish break above mid-range structure and retesting successfully
Clean bullish market structure and higher lows developing
50% Fibonacci retracement break supports further upside momentum
Weak CHF fundamentals due to global risk appetite and cautious SNB stance
🧠 Fundamental Insights:
ECB Outlook:
ECB is heading toward a "complex June meeting" with Klaas Knot warning that while short-term tariffs may suppress inflation, long-term risks are two-sided.
Despite likely rate cuts, the ECB remains cautious due to trade war uncertainty and global pressures.
Eurozone Risks:
Upcoming GDP and CPI reports expected to show sluggish growth and cooling inflation, which could limit upside for EUR in medium term.
CHF Fundamentals:
Market sentiment favors risk assets, weakening the traditional safe-haven CHF.
No aggressive SNB tightening expected soon.
Recent Headlines:
US Treasury Sec Bessent highlights European concerns about Euro strength.
Weaker CHF amid global calm and stable financial markets.
📌 Trading Plan:
Bias: Bullish while holding above 0.9400
Entry: On dips near 0.9415–0.9420
Target 1: 0.9485
Target 2: 0.9545
Stop-loss: Below 0.9380
⚠️ Watch:
If EUR zone GDP or CPI disappoints heavily this week, expect sharp pullback risk.
A drop back below 0.9380 would invalidate the bullish breakout scenario.
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🥇95% Accurate Signals
♻️1-2 Daily Signals
✔️Free Daily Profitable Signals
⤵️‼️Join us on Telegram‼️⤵️
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Penerbitan berkaitan
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Maklumat dan penerbitan adalah tidak dimaksudkan untuk menjadi, dan tidak membentuk, nasihat untuk kewangan, pelaburan, perdagangan dan jenis-jenis lain atau cadangan yang dibekalkan atau disahkan oleh TradingView. Baca dengan lebih lanjut di Terma Penggunaan.