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View yearly options →Today’s Live Forex News — EUR/USD, GBP/USD, USD/CHF & USD/JPY starting 17th Nov 2025
Intraday major FX outlook by FXPremiere.com — Forex, Gold, Indices & Crypto Signals since 2010.
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Multilingual Summary — Today’s Major Forex Pairs
EN: EUR/USD and GBP/USD remain range-bound around their pivots while USD/CHF and USD/JPY reflect the market’s appetite for USD and yields. London defines the first big move; New York decides if that move extends or fades back into the range.
EN-SG: Euro and Cable are behaving like range instruments; USD/CHF and USD/JPY lean with the USD tone and yields. London range is the key reference for NY.
简体中文 (ZH-CN): 今日欧元/美元与英镑/美元在中枢附近区间震荡,而美元/瑞郎与美元/日元更多反映市场对美元和收益率的偏好。伦敦盘通常给出第一个较大方向,美盘再决定该走势是延续还是回到区间内。
繁體中文 (ZH-TW): 今日 EUR/USD 與 GBP/USD 多在樞紐附近區間整理,USD/CHF 與 USD/JPY 則更直接反映美元與殖利率的走勢。倫敦盤通常給出第一波較明顯方向,紐約盤再決定該走勢是延續還是回到震盪區間。
FR: Aujourd’hui, EUR/USD et GBP/USD restent dans des ranges autour de leurs pivots tandis que USD/CHF et USD/JPY reflètent l’appétit pour le dollar et les rendements. Londres imprime souvent le premier mouvement important, New York décide s’il se prolonge ou s’il est corrigé.
DE: EUR/USD und GBP/USD handeln heute überwiegend in Ranges um ihre Pivot-Zonen, während USD/CHF und USD/JPY stärker auf USD-Stimmung und Renditen reagieren. Die London-Session setzt häufig den ersten Impuls, die US-Session entscheidet über Fortsetzung oder Rücklauf.
ES: Hoy EUR/USD y GBP/USD se mantienen en rangos alrededor de sus pivotes, mientras USD/CHF y USD/JPY reflejan más directamente el tono del dólar y los rendimientos. Londres marca el primer movimiento importante y Nueva York define si se extiende o se revierte.
JA: 本日の EUR/USD と GBP/USD はピボット付近のレンジ内で推移しており、USD/CHF と USD/JPY はよりダイレクトにドルと金利への需要を反映しています。ロンドン時間で最初の大きな動きが出て、NY時間でその継続かレンジ回帰かが決まります。
KO: 오늘 EUR/USD와 GBP/USD는 피벗 부근 박스권에 머물고, USD/CHF와 USD/JPY는 달러 선호도와 금리 흐름을 더 직접적으로 반영합니다. 런던 세션이 첫 큰 방향을 만들고, 뉴욕 세션이 그 흐름을 이어갈지 되돌릴지 결정합니다.
ID: Hari ini EUR/USD dan GBP/USD bergerak dalam range di sekitar level pivot, sementara USD/CHF dan USD/JPY lebih mencerminkan minat pasar terhadap USD dan imbal hasil. Sesi London biasanya memberi pergerakan besar pertama, dan sesi New York menentukan apakah tren itu berlanjut atau kembali ke range.
MS: Hari ini EUR/USD dan GBP/USD kekal dalam julat sekitar paras pivot, manakala USD/CHF dan USD/JPY lebih jelas mencerminkan selera pasaran terhadap USD dan hasil bon. Sesi London lazimnya memberi pergerakan pertama yang besar, dan sesi New York menentukan sama ada ia bersambung atau berbalik semula.
Intraday Overview — EUR/USD, GBP/USD, USD/CHF & USD/JPY
The Dollar Index holds near short-term support, keeping a modest USD-positive tone while EUR/USD and GBP/USD
trade inside clearly defined intraday ranges. USD/CHF and USD/JPY track yield moves and broader risk sentiment,
offering a cleaner view of USD strength or weakness. For now, price action across majors behaves more like range
rotation around key pivots rather than a one-direction trend day.
EUR/USD — Today’s Key Levels
- Resistance: Recent range high / supply band.
- Pivot: Mid-range value area used by London and NY.
- Support: Asia low and prior demand shelf.
Bias: Neutral-to-soft while below Resistance and struggling to hold above Pivot. A strong close above R
would be needed to flip intraday bias bullish.
GBP/USD — Today’s Key Levels
- Resistance: Recent rejection zone near prior swing highs.
- Pivot: London equilibrium / VWAP band.
- Support: Prior low cluster creating a short-term floor.
Bias: Slightly bearish while Cable remains under Pivot; rallies into Resistance are vulnerable if risk sentiment
softens or UK data disappoints.
USD/CHF — Today’s Key Levels
- Resistance: Local high band where sellers recently stepped in.
- Pivot: Intraday balance / VWAP zone.
- Support: Prior base around recent lows.
Bias: USD-supportive while price holds above Pivot; dips into Support can attract fresh buyers if global risk tone
stays stable or improves.
USD/JPY — Today’s Key Levels
- Resistance: Upper intervention-risk band near recent peaks.
- Pivot: Mid-range area reflecting current rate-differential pricing.
- Support: Psychological round-number zone and prior demand.
Bias: Still bullish while higher-lows form above Support and rate differentials stay wide; sudden sharp drops
can signal intervention risk or a shift in bond-market tone.
Session Timeline — Major FX (GMT)
| Time | Session Phase | Typical FX Behaviour |
|---|---|---|
| 07:00–10:00 | London Session | Stronger volatility as Europe opens; sweeps of Asia highs/lows and first tests of intraday Support/Resistance. |
| 13:00–17:00 | New York Session | U.S. data and NY cash equities drive USD moves; pairs either break out of London ranges or revert back inside. |
| 17:00–21:00 | Late US Session | Liquidity thins; choppier conditions, profit-taking and mean reversion toward daily value areas are common. |
Today’s Major FX Playbook
- 1. London Range Break & Hold
Clean move beyond London high/low with volume and a retest that holds → continuation trades in the direction
of the break, especially when supported by data and yield moves. - 2. Failed Break & Reversion
Wick through range edges that closes back inside → fade back toward Pivot or mid-range rather than chase momentum. - 3. Data-Driven Spike
- How to Start Trading Forex: A Beginner’s Guide(Opens in a new browser tab)
Large candle on macro release; if there is no follow-through after several 15-min bars, expect partial mean reversion. - 4. Balanced / Range Day
No sustained break of R or S; focus on clearly defined extremes, avoid over-trading the noisy middle.
Risk Notes for Forex Traders
- Use a fixed percentage risk per trade (for example 0.5–1%) and avoid lot-size “revenge” after wins or losses.
- Be cautious entering immediately before or after high-impact news; let the first spike settle.
- Once TP1 is hit, consider locking partial profit or adjusting stops to protect against reversals.
- Watch correlation: multiple positions in the same USD direction can multiply risk quickly.
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