American Market Hours: Options and Orders Revision

The GBP/USD pair has declined. Offers are at 1.2960, 1.2980, 1.3000, 1.3020-30, 1.3050, 1.3065, 1.3080, 1.3100 and 1.3150. Bids are at 1.2900, 1.2880, 1.2850 and 1.2800-10.

Euro in EUR/USD has remained under pressure. Offers are at 1.1380, 1.1400, 1.1420, 1.1435, 1.1450, 1.1480-85, 1.1500, 1.1520 and 1.1550. Bids are at 1.1330, 1.1300, 1.1280 and 1.1250.

The dollar in USD/JPY has recoiled. Sell orders are at 113.40-50, 113.80 and 114.00. Bids are at 112.70-75, 112.50-60, 112.35, 112.20, 112.00, 111.80-85 and 111.50.

Dollar in USD/CHF is steady. Sell orders are at 0.9660, 0.9685, 0.9700, 0.9735-40 and 0.9755-65. Bids are at 0.9620, 0.9600, 0.9580-85, 0,9550-60, 0.9520-30 and 0.9500.