By Richard Pace — Jan 13 - 01:56 AM
• FX option strikes expire at 10-am New York/15.00 GMT - Monday January 13
• EUR/USD: 1.0200 (3.9BLN), 1.0250 (2.5BLN), 1.0300-10 (7.5BLN)
• 1.0325 (525M), 1.0375 (3.4BLN)
• GBP/USD: 1.2375 (1.2BLN)
• AUD/USD: 0.6150 (250M)
• USD/CAD: 1.4410 (540M)
• USD/JPY: 157.00 (260M), 157.50 (203M), 158.00 (930M)
• EUR/JPY: 159.50 (300M), 161.70 (366M)
• FX options wrap - Poised for more USD gains and volatility risk (Richard Pace is a Reuters market analyst. The views expressed are his own)
Source:
London Stock Exchange Group | Thomson Reuters