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The US dollar index rose to 99.219, with significant changes in major currency exchange rates.
At the end of the New York forex market, 1 euro exchanged for 1.1628 USD, below the previous trading day's 1.1631 USD; 1 British pound exchanged for 1.3469 USD, above the previous trading day's 1.3458 USD; 1 USD exchanged for 159.91 Japanese Yen, above the previous trading day's 159.76 Yen; 1 USD exchanged for 0.7873 Swiss Francs, above the previous trading day's 0.7864 CHF; 1 USD exchanged for 1.3832 Canadian Dollars, below the previous trading day's 1.3842 CAD; 1 USD exchanged for 9.3155 Swedish Krona, above the previous trading day's 9.3059 SEK.
(Source: ChainCatcher)