EXCHANGE RATES FOR THE WEEK RUNNING 30th Jan to 5th2006
 
 
The following buying/ selling Rates are to be cited from 30th January to 05 February 2006
 
 
CURRENCY
BUYING
SELLING
U S Dollar
71.6800
71.8733
Sterling Pound
127.5200
127.8933
Euro
87.4654
87.7329
Australian Dollar
53.8890
54.0559
Canadian Dollar
62.2852
62.4796
Danish Kroner
11.7182
11.7555
Indian Rupee
1.6214
1.6262
100 Japanese Yen
61.5848
61.7532
Norwegian Kroner
10.8144
10.8422
Pakistan Rupee
1.2226
1.2264
S.A. Rand
11.6311
11.7392
Swedish Kroner
9.4422
9.4753
Swiss Francs
56.4395
56.5972
KShs/Tanzanian Shillings
16.3572
16.4969
KShs/Ugandan Shillings
24.9049
25.3906
100 Zambian Kwacha
1.7130
1.8300
Zimbabwe Dollar
-
0.0028
Austrian Schilling
6.3564
6.3758
Belgian Francs
2.1683
2.1749
Deutsche Mark
44.7204
44.8572
Dutch Guilder
39.6901
39.8115
Finnish Mark
14.71063
14.7557
French Franc
13.3341
13.3748
100 Italian Lire
4.5173
4.5311
100 Spanish Peseta
52.5678
52.7286
A.E. Dirhams
19.5143
19.5691

 

 
 
 
 
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