American Market Hours: Options and Orders Revision

Greenback in USD/CHF kept hitting support under 0.9880 and it has finally recoiled, sell orders are registered at 0.9930, 0.9950, 0.9970 and 0.9985-90. Bids appeared at 0.9875-80, 0.9845, 0.9825-30 and 0.9800.

Euro in EUR/USD pulled back after reaching resistance of 1.1809, offers are reported at 1.1810, 1.1825, 1.1850, 1.1880 and 1.1900. Bids are noted at 1.1765, 1.1750, 1.1720, 1.1700, 1.1675-80 and 1.1650.

GBP/USD declined after lift to 1.3280, sell orders are marked at 1.3280, 1.3300, 1.3320 and 1.3350. Bids occurred at 1.3220, 1.3185-90, 1.3170, 1.3150, 1.3130-35 and 1.3095-00.

Dollar in USD/JPY recommenced after staying over support of 111.88, bids are reported at 111.80-85, 111.65, 111.50, 111.30, 111.00, 110.80 and 110.50. Offers turned up at 112.35, 112.50, 112.65, 112.80, 113.00, 113.20 and 113.50.