The US dollar index fell on the 14th.
On that day, the U.S. dollar index, which measures the dollar against six major currencies, fell by 0.3%, closing at 99.667 in the foreign exchange market. By the end of the New York trading session, 1 euro was exchanged for 1.1566 U.S. dollars, up from 1.1529 dollars the previous trading day; 1 pound was exchanged for 1.3533 U.S. dollars, higher than the previous day's 1.3485 dollars. 1 U.S. dollar was exchanged for 159.38 Japanese yen, down from 159.51 yen the previous trading day; 1 U.S. dollar was exchanged for 0.8131 Swiss francs, lower than the previous day's 0.8139 Swiss francs; 1 U.S. dollar was exchanged for 1.3877 Canadian dollars, down from 1.3936 Canadian dollars the day before; and 1 U.S. dollar was exchanged for 9.5246 Swedish kronor, lower than the previous day's 9.5684 kronor.
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