American Market Hours: Options and Orders Revision

Euro in EUR/USD has recoiled, offers are reported at 1.1685, 1.1700, 1.1720 and 1.1750. Bids occurred at 1.1630-35, 1.1600-05, 1.1580, 1.1550, 1.1530 and 1.1500.

Greenback in USD/CHF dropped against the Franc, bids were at 0.9975-80 and 0.9960, buy orders are marked at 0.9950, 0.9930 and 0.9905-15. Offers appeared at 1.0000-05, 1.0040-50, 1.0080 and 1.0100.

GBP/USD slipped, there was almost no bids on the downside, some demand is noted at 1.3070, 1.3050 and 1.3025-30. Offers turned up at 1.3140-50, 1.3175-80, 1.3195-00, 1.3220, 1.3250 and 1.3280.

Dollar in USD/JPY kept facing resistance over 114.20, sell orders reported at 114.25-35, 114.50, 114.80 and 115.00. Buy orders are noted at 113.50, 113.30, 113.00, 112.85, 112.50 and 112.00.