American Market Hours: Options and Orders Revision

The GBP/USD pair has decreased. Bids are at 1.3135, 1.3120, 1.3100 and 1.3080, buy orders are at 1.3050-60, 1.3020 and 1.3000. Offers have declined to 1.3110, 1.3150, 1.3165, 1.3180, 1.3200, 1.3220-25, 1.3250-55 and 1.3270-80. Euro in EUR/USD has weakened. Bids are at 1.1865 and 1.1850, buy orders are at 1.1820-25, 1.1800, 1.1780, 1.1750, 1.1720 and 1.1700. Offers are at 1.1870, 1.1890-00, 1.1915-20, 1.1950, 1.1980 and 1.2000.

The dollar in USD/JPY has increased. Offers are at 110.30 and 110.50-55, sell orders are at 110.80-85, 111.00, 111.25-35, 111.50, 111.80 and 112.00. Bids have increased to 110.30, 110.00-10, 109.80, 109.50, 109.00-10, 108.85, 108.50 and 108.00.

Dollar in USD/CHF has strengthened. Offers are at 0.9700 and 0.9730, sell orders are at 0.9760, 0.9780 and 0.9800. Bids are at 0.9700, 0.9575-80, 0.9650-60, 0.9635, 0.9620, 0.9600 and 0.9550.