EXCHANGE RATES FOR THE WEEK RUNNING 2nd To 8th Jan 2006
 
 
The following buying/ selling Rates are to be cited from 2nd to 8th January 2006
 
 
CURRENCY
BUYING
SELLING
U S Dollar
72.2667
72.4667
Sterling Pound
124.7931
125.1744
Euro
85.7788
86.0431
Australian Dollar
53.0293
53.2123
Canadian Dollar
62.1132
62.3097
Danish Kroner
11.4981
11.5317
Indian Rupee
1.6066
1.6113
100 Japanese Yen
61.5828
61.7708
Norwegian Kroner
10.6822
10.7167
Pakistan Rupee
1.213
1.296
S.A. Rand
11.3362
11.4327
Swedish Kroner
9.1078
9.1367
Swiss Francs
55.1024
55.2641
KShs/Tanzanian Shillings
16.0350
16.2039
KShs/Ugandan Shillings
24.9356
24.2260
100 Zambian Kwacha
1.820
1.945
Zimbabwe Dollar
-
0.0024
Austrian Schilling
6.2338
6.2530
Belgian Francs
2.1265
2.1330
Deutsche Mark
43.8581
43.9932
Dutch Guilder
38.9248
39.0447
Finnish Mark
14.4270
14.4715
French Franc
13.0769
13.1172
100 Italian Lire
4.4302
4.4438
100 Spanish Peseta
51.5541
51.7130
A.E. Dirhams
19.6740
19.8080

 

 
 
 
 
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