EXCHANGE RATES FOR THE WEEK RUNNING 13
th
to 19
th
February2006
The following buying/ selling Rates are to be cited from 13 to 19 February 2006
CURRENCY
BUYING
SELLING
U S Dollar
71.7622
71.9178
Sterling Pound
124.5353
125.8344
Euro
85.275
85.4807
Australian Dollar
52.9533
53.1041
Canadian Dollar
62.0121
62.1676
Danish Kroner
11.4216
11.4482
Indian Rupee
1.6163
1.6202
100 Japanese Yen
60.7554
60.9014
Norwegian Kroner
10.5478
10.5867
Pakistan Rupee
1.157
1.241
S.A. Rand
11.7332
11.7764
Swedish Kroner
9.079
9.0986
Swiss Francs
54.6058
54.7313
KShs/Tanzanian Shillings
16.5189
16.6313
KShs/Ugandan Shillings
25.2372
25.4591
100 Zambian Kwacha
2.162
2.318
Zimbabwe Dollar
-
0.0015
Austrian Schilling
6.1972
6.2122
Belgian Francs
2.1140
2.1191
Deutsche Mark
43.6005
43.7056
Dutch Guilder
38.6962
38.7895
Finnish Mark
14.3423
14.3769
French Franc
13.0001
13.0315
100 Italian Lire
4.4041
4.4148
100 Spanish Peseta
51.2514
51.3750
A.E. Dirhams
19.5362
19.5807
Copyright © 2006, Kenya Revenue Authority. All Rights Reserved.