American Market Hours: Options and Orders Revision

GBP/USD has increased, offers were at 1.2835, 1.2855-65, 1.2880 and 1.2900, sell orders are marked at 1.2950, 1.2975-80 and 1.3000. Bids are lifted to 1.2900, 1.2860-70, 1.2835-40, 1.2800, 1.2780-85, 1.2760, 1.2730 and 1.2700-10.

Greenback in USD/CHF has shortly jumped, offers are registered at 0.9650-60, 0.9675, 0,.9690-00, 0.9735-40, 0.9755-65, 0.9780 and 0.9800-10. Bids occurred at 0.9580, 0.9550 and then at 0.9500-10.


Dollar in USD/JPY traded in a tight diapason, offers are reported at 112.45-50, 112.80, 113.00, 113.50, 113.80 and 114.00. Bids are noted at 111.75-80, 111.50, 111.35, 111.20, 111.00, 110.80 and 110.50.

Euro in EUR/USD has pulled back after it hit the resistance at 1.1389, bids were at 1.1350, 1.1320 and 1.1300, buy orders are marked at 1.1280, 1.1250, 1.1230 and 1.1200. Offers appeared at 1.1380-90, 1.1400, 1.1420, 1.1435, 1.1450, 1.1480 and 11500.