American Market Hours: Options and Orders Revision

GBP/USD has risen, sell orders are reported at 1.3050-55, 1.3080, 1.3100, 1.3120, 1.3150, 1.3180 and 1.3200. Bids appeared at 1.3000, 1.2980, 1.2965, 1.2950, 1.2930, 1.2900, 1.2880 and 1.2850.

Euro in EUR/USD slid from 1.1684, bids are registered at 1.1620, 1.1600, 1.1575-80, 1.1550,1.1520-25 and 1.1495-00. Offers are noticed at 1.1665, 1.1680-85, 1.1700, 1.1730, 1.1750, 1.1785 and 1.1800.

Greenback in USD/CHF traded in a tight diapason, offers are marked at 0.9475-80, 0.9500, 0.9520 and 0.9550. Bids occurred at 0.9430, 0.9400, 0.9360 and then at 0.9300-10.

Dollar in USD/JPY has lowered, buy orders are reported at 110.50, 110.30 and 110.00. Offers are noted at 111.00, 111.20, 111.50, 111.85, 112.00, 112.20-25 and 112.50.