The US Dollar Index rose on the 14th.
The US dollar index rose on the 14th. The US dollar index, which measures the dollar against six major currencies, rose by 0.43% on that day, closing at 98.256 in the forex market. At the end of the New York forex market, 1 euro exchanged for 1.1642 US dollars, lower than the previous trading day's 1.1700 US dollars; 1 British pound exchanged for 1.3533 US dollars, lower than the previous trading day's 1.3567 US dollars. 1 US dollar exchanged for 147.88 Japanese yen, higher than the previous trading day's 147.44 Japanese yen; 1 US dollar exchanged for 0.8085 Swiss francs, higher than the previous trading day's 0.8056 Swiss francs; 1 US dollar exchanged for 1.3814 Canadian dollars, higher than the previous trading day's 1.3771 Canadian dollars; 1 US dollar exchanged for 9.5888 Swedish krona, higher than the previous trading day's 9.5529 Swedish krona.
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