American Market Hours: Options and Orders Revision

The GBP/USD pair has decreased. Bids are at 1.3020, buy orders are at 1.3000, 1.2980, 1.2950, 1.2930 and 1.2900. Offers are at 1.3060, 1.3080, 1.3100, 1.3120, 1.3150, 1.3180 and 1.3200.

Euro in EUR/USD has recoiled. Sell orders are at 1.0815, 1.0830, 1.0850, 1.0880 and 1.0900-05. Bids are at 1.1775-80, 1.0765, 1.1750, 1.1720-30 and 1.1700.

The dollar in USD/JPY has recovered. Offers are at 110.95-05, 111.25-35, 111.50, 111.80 and 112.00. Bids are at 110.55-60, 110.30, 110.00-10, 109.80, 109.50, 109.00-10, 108.85, 108.50 and 108.00.

Dollar in USD/CHF traded in a narrow range. Offers are at 0.9750-60, 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.