This Sunday, the Japanese yen increased by 2.1%, while the Euro, Pound, and Swiss Franc all increased by at least 1.8%.
This week, the US dollar continued to fluctuate and fall against the Japanese yen, with a cumulative decline of 2.15%. On Friday, the New York closing price was 142.57 yen. The euro fell by 0.37% against the yen, and the pound fell by 0.28%. The euro continued to rise against the US dollar, with a cumulative increase of 1.81%, reaching 1.1365. The pound also continued to rise against the US dollar, with a cumulative increase of 1.91%, reaching 1.3536. The US dollar continued to decline against the Swiss franc, with a cumulative decline of 1.96%, reaching 0.8212. Among commodity currencies, the Australian dollar rose by 1.41% against the US dollar, showing a W-shaped trend overall. The New Zealand dollar rose by 1.77% against the US dollar, and the US dollar fell by 1.70% against the Canadian dollar. The Swedish krona rose by 2.53% against the US dollar, the Norwegian krona rose by 2.70%, the Danish krone rose by 1.87%, and the Polish zloty rose by 2.04% against the US dollar.
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