American Market Hours: Options and Orders Revision

GBP/USD increased, sell orders are registered at 1.3280, 1.3300, 1.3320, 1.3350, 1.3380 and 1.3400. Bids occurred at 1.3200-10, 1.3180, 1.3150, 1.3130-35 and 1.3095-00.

Euro in EUR/USD recoiled, offers are marked at 1.1780, 1.1800-05, 1.1820-25, 1.1850, 1.1880 and 1.1900. Bids are noted at 1.1730-35, 1.1700-05, 1.1675-80, 1.1650, 1.1630 and 1.1600.

Greenback in USD/CHF declined, bids were at 0.9875-80, buy orders are reported at 0.9845-50, 0.9825-30 and 0.9800. Offers appeared at 0.9900, 0.9920-25, 0.9945-50, 0.9970 and 0.9985-90. Bids turned up at 0.9875-80, 0.9845.

Dollar in USD/JPY slid, offers are marked at 112.20, 112.35, 112.50-60, 112.75-80, 113.00, 113.20 and 113.50. Bids are reported at 111.65, 111.50, 111.30, 111.00, 110.80 and 110.50.