American Market Hours: Options and Orders Revision

Euro in EUR/USD has declined, bids were at 1.1730, buy orders are marked at 1.1700, 1.1680, 1.1650, 1.1630, 1.1600. Offers are reduced to 1.1750-60, 1.1780, 1.1800, 1.1830, 1.1860, 1.1885 and 1.1900.

Greenback in USD/CHF kept rising, offers were noted at 0.9765, sell orders are registered at 0.9780-85, 0.9800, 0.9830 and 0.9850. Bids occurred at 0.9720-30, 0.9700, 0.9680, 0.9660, 0.9630 and 0.9600.

Dollar in USD/JPY has increased, offers were reported at 113.10, sell orders are marked at 113.30, 113.50-60, 113.80 and 114.00. Bids appeared at 112.75-80, 112.50, 112.20, 112.00, 111.80, 111.50, 111.35, 111.20 and 111.00.

GBP/USD stayed under pressure, offers are registered at 1.3430, 1.3450-60, 1.3480-85, 1.3500, 1.3520, 1.3540, 1.3555, 1.3580-85 and 1.3600. Bids are noted at 1.3350-60, 1.3335, 1.3320, 1.3300, 1.3280, 1.3250 and 1.3200-10.