Heavy resistance gathers at the 160 mark, with the forex market holding its breath for direction.
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⑴ Foreign exchange options expiring during the New York session on Tuesday show that multiple currency pairs have significant contract accumulations at key price levels. Notably, USD/JPY has $950 million in options expiring at both the 160.00 and 161.25 levels, making these among the most concentrated risk zones of the day. ⑵ EUR/USD sees nearly $800 million of options expiring at the 1.1500 level, and over $500 million contracts awaiting settlement at 1.1450. Combined with $750 million in options for AUD/USD at the 0.7000 strike price, these substantial option levels could trigger either market self-defense actions or accelerated moves following a breakout. ⑶ The options market has also observed a rise in protective dollar demand, as traders are inclined to hedge short-term USD volatility in advance amid market concerns stoked by Trump’s tariff remarks. This defensive sentiment is evident in the massive options accumulation near the ¥160 level. ⑷ From a positioning psychology perspective, large option expiry levels often act as short-term magnets, causing volatility to converge as rates approach these thresholds; yet, an unexpected breakout may activate stop-loss orders and counter-hedging flows, amplifying the market move. The market is currently in a calm window before the storm.
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