The dollar index rose on the 14th.
On the last day of trading in the foreign exchange market, the US dollar index measuring the US dollar against six major currencies rose by 0.03% to close at 101.037. At the end of the New York foreign exchange market, 1 euro exchanged for 1.1178 US dollars, lower than the previous trading day's 1.1185 US dollars; 1 British pound exchanged for 1.3264 US dollars, lower than the previous trading day's 1.3300 US dollars. 1 US dollar exchanged for 146.72 Japanese yen, lower than the previous trading day's 147.50 Japanese yen; 1 US dollar exchanged for 0.8426 Swiss francs, higher than the previous trading day's 0.8406 Swiss francs; 1 US dollar exchanged for 1.3976 Canadian dollars, higher than the previous trading day's 1.3940 Canadian dollars; 1 US dollar exchanged for 9.7572 Swedish krona, higher than the previous trading day's 9.7283 Swedish krona.
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