American Market Hours: Options and Orders Revision

Euro in EUR/USD has weakened after the increase to 1.1677, offers are registered at 1.1680, 1.1700, 1.1730, 1.1750, 1.1785 and 1.1800. Bids occurred at 1.1620, 1.1600, 1.1575-80, 1.1550,1.1520-25 and 1.1495-00.

Greenback in USD/CHF has stayed under pressure, bids were noted at 0.9480, buy orders are reported at 0.9460, 0.9425-30 and 0.9400-10. Offers are viewed at 0.9520-25, 0.9555-60, 0.9580, 0.9600, 0.9625-30, 0.9660, 0.9680 and 0.9700.

GBP/USD faced resistance at 1.3020 and has pulled back, sell orders are marked at 1.3020, 1.3050-55, 1.3080, 1.3100, 1.3120, 1.3150, 1.3180 and 1.3200. Bids appeared at 1.2965, 1.2950, 1.2930, 1.2900, 1.2880 and 1.2850.

Dollar in USD/JPY has declined after staging a fresh selling interest over 112.00, sell orders are registered at 111.80, 112.05-10, 112.25, 112.40-50, 112.65-70, 112.85-90, 113.10-15 and 113.40-50. Bids are noted at 111.25, 111.00, 110.75-85 and 110.50.