American Market Hours: Options and Orders Revision

Euro in EUR/USD dropped after the selling interest appeared at 1.1883, sell orders are reported at 1.1880-85, 1.1900, 1.1920, 1.1950, 1.1965, 1.1980, 1.2000-05, 1.2020, 1.2035 and 1.2050. Bids turned up at 1.1815 and 1.1800.

Greenback in USD/CHF lifted after short retreat, offers were at 0.9860, sell orders are marked at 0.9880, 0.9900, 0.9920-25 and 0.9945-50. Bids occurred at 0.9840, 0.9820, 0.9800, 0.9770-75, 0.9750, 0.9730 and 0.9700.

GBP/USD weakened after hitting 1.3431, sell orders are registered at 1.3430, 1.3450, 1.3465, 1.3480 and 1.3500. Buy orders are noted at 1.3375, 1.3350, 1.3320, 1.3300, 1.3270-80 and 1.3250.

Dollar in USD/JPY rose after retreat, offers were at 111.80 and 112.00, sell orders are noted at 112.20, 112.35, 112.50-60, 112.75-80 and 113.00. Bids appeared at 111.60, 111.35-40, 110.95-05, 110.80, 110.65, 110.50, 110.30 and 110.00.