This week, the Euro rose by approximately 0.5%, the Swiss Franc accumulated a gain of around 1.4%, and the New Zealand Dollar rose by 1%.
On Friday's New York closing, the euro fell by 0.11% against the US dollar to 1.1621, up 0.47% for the week. The British pound fell by 0.19% against the US dollar to 1.3166, roughly unchanged for the week. The US dollar rose by 0.13% against the Swiss Franc to 0.7940, down 1.39% for the week, continuing to oscillate smoothly downwards from 0.8073 to 0.7878. Among commodity currency pairs for the week, the Australian dollar rose by 0.70% against the US dollar, the New Zealand dollar rose by 1.04% against the US dollar, and the US dollar fell by 0.16% against the Canadian dollar. The Swedish Krona rose by 0.77% against the US dollar, the Norwegian Krona rose by 0.63% against the US dollar, and the Danish Krona rose by 0.48% against the US dollar. The Polish Zloty rose by 0.85% against the US dollar, and the Hungarian Forint rose by 0.55% against the US dollar.
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