Market Hours in Europe: Orders and Options Review

The GBP/USD pair has recoiled after falling to 1.1364. Offers are 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 at 1.3350-60, 1.3335, 1.3320, 1.3300, 1.3280, 1.3250 and 1.3200-10.

Euro in EUR/USD has decreased. Bids are at 1.1750, buy orders are at 1.1730, 1.1700, 1.1680, 1.1650, 1.1630, 1.1600. Offers have declined to 1.1780, 1.1800, 1.1830, 1.1860, 1.1885 and 1.1900. Today’s running out option: 1.1650, 1.1800, 1.1805, 1.1850, 1.1900 and 1.1905.

The dollar in USD/JPY has increased. Offers are at 112.50-55, 112.80-85 and 113.00, sell orders are at 113.30, 113.50-60, 113.80 and 114.00. Bids are at 112.50, 112.20, 112.00, 111.80, 111.50, 111.35, 111.20 and 111.00.

Dollar in USD/CHF has strengthened. Offers are at 0.9760, sell orders are at 0.9765, 0.9780-85, 0.9800, 0.9830 and 0.9850. Bids are at 0.9720, 0.9700, 0.9680, 0.9660, 0.9630 and 0.9600.