American Market Hours: Options and Orders Revision

GBP/USD hit resistance of 1.3153 and pulled back, sell orders are marked at 1.3155-65, 1.3180, 1.3195-00, 1.3220, 1.3250, 1.3280 and 1.3300. Bids appeared at 1.3080-85, 1.3050-60, 1.3025-35, 1.3000, 1.2980-85, 1.2965 and 1.2950.

Euro in EUR/USD increased to 1.1644, but another consolidation is expected, offers are registered at 1.1645-50, 1.1670, 1.1690-00, 1.1720 and 1.1750. Bids occurred at 1.1580, 1.1550, 1.1530, 1.1500, 1.1485 and 1.1450.

Greenback in USD/CHF declined to 0.9944 but then recovered, offers are reported at 1.0020-30, 1.0050, 1.0080 and 1.0100. Bids are noted at 0.9945, 0.9930 and 0.9905-15.

Dollar in USD/JPY recommenced after the drop to 113.24, sell orders are registered at 113.70, 113.90-00, 114.20, 114.35, 114.50-60, 114.75-80, 115.00, 115.20 and 115.50. Buy orders turned up at 113.20-25, 113.00, 112.80-85, 112.50 and 112.00.