فریب کلاهبرداران را نخورید! تلمتریو این کانالها را شناسایی و برچسبگذاری میکند 👉 برای مشاهده برچسب، اشتراک تهیه کنید 👈
Iron
🇺🇸 Major USA News • Crypto • Finance • Tech • Global Markets Fast, unbiased reporting on critical world events since (2022)
نمایش بیشتر📈 تحلیل کانال تلگرام Iron
کانال Iron (@ironmajornews) در بخش زبانی انگلیسی بازیگری فعال است. در حال حاضر جامعه شامل 115 090 مشترک است و جایگاه 2 230 را در دسته ایراتیک و رتبه 266 را در منطقه أثيوبيا دارد.
📊 شاخصهای مخاطب و پویایی
از زمان ایجاد در невідомо، پروژه رشد سریعی داشته و 115 090 مشترک جذب کرده است.
بر اساس آخرین دادهها در تاریخ 25 اوت, 2026، کانال فعالیت پایداری دارد. در ۳۰ روز گذشته تغییر اعضا برابر -3 863 و در ۲۴ ساعت گذشته برابر -127 بوده و همچنان دسترسی گستردهای حفظ شده است.
- وضعیت تأیید: تأیید نشده
- نرخ تعامل (ER): میانگین تعامل مخاطب 0.34% است و در ۲۴ ساعت نخست پس از انتشار، محتوا معمولاً N/A% واکنش نسبت به کل مشترکان کسب میکند.
- دسترسی پستها: هر پست به طور میانگین 0 بازدید دریافت میکند. در اولین روز معمولاً 0 بازدید جمعآوری میشود.
- واکنشها و تعامل: مخاطبان بهطور فعال حمایت میکنند؛ میانگین واکنش به هر پست 0 است.
- علایق موضوعی: محتوا بر موضوعات کلیدی مانند chart, eurgbp, sell, setup تمرکز دارد.
📝 توضیح و سیاست محتوایی
نویسنده این فضا را محل بیان دیدگاههای شخصی توصیف میکند:
“🇺🇸 Major USA News • Crypto • Finance • Tech • Global Markets
Fast, unbiased reporting on critical world events since (2022)”
به لطف بهروزرسانیهای پرتکرار (آخرین داده در تاریخ 26 اوت, 2026)، کانال همواره بهروز و دارای دسترسی بالاست. تحلیلها نشان میدهد مخاطبان بهطور فعال با محتوا تعامل دارند و آن را به نقطه اثرگذاری مهم در دسته ایراتیک تبدیل کردهاند.
در حال بارگیری داده...
| تاریخ | رشد مشترکین | اشارات | کانالها | |
| 26 اوت | 0 | |||
| 25 اوت | 0 | |||
| 24 اوت | 0 | |||
| 23 اوت | 0 | |||
| 22 اوت | 0 | |||
| 21 اوت | 0 | |||
| 20 اوت | 0 | |||
| 19 اوت | 0 | |||
| 18 اوت | 0 | |||
| 17 اوت | 0 | |||
| 16 اوت | 0 | |||
| 15 اوت | 0 | |||
| 14 اوت | 0 | |||
| 13 اوت | 0 | |||
| 12 اوت | 0 | |||
| 11 اوت | 0 | |||
| 10 اوت | 0 | |||
| 09 اوت | 0 | |||
| 08 اوت | 0 | |||
| 07 اوت | 0 | |||
| 06 اوت | 0 | |||
| 05 اوت | 0 | |||
| 04 اوت | 0 | |||
| 03 اوت | 0 | |||
| 02 اوت | 0 | |||
| 01 اوت | 0 |
| 2 | The recent bearish correction has stalled out, printing consecutive green candles on the local timeframe and indicating buyers are stepping back into the demand zone.
Trade Parameters:
Entry Zone: Around 4,075.400
Stop Loss (SL): 4,029.281 (Protecting below the recent swing low / structure)
Target / Take Profit: Aiming for 4,260.000+
Risk Profile:
Risk/Reward Ratio (R&R): 4.16 (Excellent math—risking 1 unit to potentially gain over 4 units)
Stop Distance: ~1.16% | 741 |
| 3 | Guys I am wait for buy i will post here | 529 |
| 4 | 📉 Trade Setup Details:
Asset: XAU/USD (Gold)
Position: Short (Sell) 🔴
Current Entry Level: ~4,028.39
Stop Loss (SL): 4,042.95 (Risking 15.06 pips / 0.37%)
Take Profit (TP): 3,973.10 (Targeting 54.79 pips / 1.36%)
⚡ Risk Management:
Risk/Reward Ratio: 1 : 3.64
The price is testing immediate resistance zones after a recent bearish breakdown. If the stop level holds, we have a clear runway down to the 3,973 liquidity pool. Manage your risk accordingly! | 543 |
| 5 | This going to be my last trade for the day | 487 |
| 6 | I will look for re entry for the day | 469 |
| 7 | Stop loss hit us 🤦🏽♂️ | 443 |
| 8 | Buy gold now looks good to me | 477 |
| 9 | XAUUSD │ BUY
📍 Entry
4074.00
Targets
①4076.00
② 4079.00
③4084.00
Stop Loss
4066.00
⚠️ Manage Your Risk | 538 |
| 10 | 🟡 XAUUSD │ UPDATE
📌 Trade Management
🔴 Safe Mode
Close now and secure profits.
🔴 Aggressive Mode
Hold the trade and move Stop Loss to Entry (Breakeven).
🔼 Current Profit
+140 PIPS ✅
⚠️ Manage Your Risk | 1 |
| 11 | Sl got Hit see you next entry | 589 |
| 12 | This my entry for gold good luck | 608 |
| 13 | That’s my entry | 515 |
| 14 | ┌──────────────────────────┐
🔴 AUDUSD │ SELL
└──────────────────────────┘
📍 Entry
0.6944
🎯 Targets
① 0.6924
② 0.6894
③ 0.6844
🛑 Stop Loss
0.7024
━━━━━━━━━━━━━━━━━━━━━━
⚠️ Manage Your Risk | 407 |
| 15 | Advanced Predictive Forecasting (Next 72 Hours)
The Quarter-End Equity Horizon (High Probability): As institutional fund managers close out Q2 portfolio rebalancing through the end of the week, expect short-term, choppy pricing to continue. The S&P 500 has formed a temporary structural floor at 7,400. If geopolitical negotiations in Qatar show concrete progress, look for a significant relief rally in the tech sector by Friday afternoon.
Remittance Rate Target (Highly Confirmed): Because the Fed's newly hawkish dot plot has anchored the US Dollar Index, the USD/ETB commercial exchange rate will remain securely bound between 159.00 and 161.00 ETB over the coming days. This offers an ideal, stable window to execute large global wire transfers.
US Fixed-Income and Mortgages (Highly Confirmed): Yields on the 30-year fixed home mortgage will hold tight between 6.45% and 6.55%. Borrowing indices will show zero downward movement until fresh US employment figures and labor market metrics release next month. | 621 |
| 16 | Advanced Predictive Forecasting (Next 72 Hours)
The Post-Fed Equity Outlook (High Probability): Expect short-term choppy trading to continue through the next few sessions as institutional algorithms adjust to a higher-for-longer interest rate environment. The S&P 500 has established a strong structural floor at 7,400, and corporate cash flows will likely spark a tech-led recovery early next week.
Remittance Rate Anchor (Highly Confirmed): Because the Fed signaled potential future rate hikes, the global US Dollar Index (DXY) will remain elevated. The USD/ETB commercial exchange rate will remain securely anchored between 160.00 and 161.50 ETB over the coming days, keeping the optimal window wide open for high-value diaspora transfers.
US Housing and Mortgages (Highly Confirmed): The 30-year fixed mortgage index will stay locked between 6.55% and 6.65%. Do not expect any downward relief on US property loans until the next round of inflation numbers drop next month | 460 |
| 17 | US equity benchmarks are exhibiting high-volume consolidation on this Friday morning as institutional asset managers execute quarterly derivatives rebalancing. Broader market sentiment remains highly sensitive to the Federal Reserve's newly shifted interest rate outlook, overshadowed by ongoing diplomatic efforts to lock in the final signatures on the 14-point international peace memorandum.
S&P 500 Index: Closed down -1.2% during the broad macro sell-off, but has mounted a +0.85% early structural rebound today to stabilize around the 7,483 level.
Dow Jones Industrial Average: Receded from its brief 52,000 all-time record attempt, correcting downward to trade around 51,550 during early morning trading.
Nasdaq Composite: Leading the Friday morning recovery curve with a +1.6% advance, heavily supported by institutional block buying in large tech names and a +4.2% surge in hardware infrastructure chip designers.
Sources: Bloomberg Terminal, Reuters Finance, CNBC Live Market Board (June 19, 2026). | 461 |
| 18 | US equity benchmarks are exhibiting high-volume consolidation on this Friday morning as institutional asset managers execute quarterly derivatives rebalancing. Broader market sentiment remains highly sensitive to the Federal Reserve's newly shifted interest rate outlook, overshadowed by ongoing diplomatic efforts to lock in the final signatures on the 14-point international peace memorandum.
S&P 500 Index: Closed down -1.2% during the broad macro sell-off, but has mounted a +0.85% early structural rebound today to stabilize around the 7,483 level.
Dow Jones Industrial Average: Receded from its brief 52,000 all-time record attempt, correcting downward to trade around 51,550 during early morning trading.
Nasdaq Composite: Leading the Friday morning recovery curve with a +1.6% advance, heavily supported by institutional block buying in large tech names and a +4.2% surge in hardware infrastructure chip designers.
Sources: Bloomberg Terminal, Reuters Finance, CNBC Live Market Board (June 19, 2026). | 1 |
| 19 | The Post-Fed Equity Trajectory (High Probability): Following the conclusion of yesterday's monetary policy update, algorithmic trading systems will continue a choppy "sell-the-news" rebalancing pattern. Because the new Fed dots indicate that 9 out of 19 officials are leaning toward another interest rate hike by the end of 2026, the S&P 500 will face immediate structural resistance at the 7,500 level. However, the tech-heavy Nasdaq will decouple and climb higher by Friday afternoon, | 372 |
| 20 | Federal Reserve Interest Rate Decision [1]
The Federal Open Market Committee (FOMC) concludes its highly anticipated policy meeting at 2:00 PM EDT today. This marks a defining milestone as it is the first interest rate decision presided over by the newly appointed Fed Chair, Kevin Warsh. [1, 2, 3]
Expected Rate Hold: Wall Street and futures markets price a 97% to 99% probability that the Fed will leave the benchmark interest rate unchanged at a range of 3.50% to 3.75%, where it has remained since December 2025. [1, 2]
Impact on Savings & Debt: Because inflation remains sticky, immediate interest rate cuts are off the table. Borrowing costs for mortgages, auto loans, and credit cards will stay elevated. However, savers can continue to lock in excellent, low-risk returns above 4% in High-Yield Savings Accounts (HYSAs) and Certificates of Deposit (CDs). [1, 2]
Sources: USA Today, Reuters Business, Kraken Economics (June 17, 2026). | 356 |
این محتوا برای کاربران بالای ۱۸ سال در دسترس است
با ورود به سرویس، تأیید میکنید که ۱۸ سال یا بیشتر سن دارید.
