EXCHANGE RATES FOR THE WEEK RUNNING 30 th June to 6 th July 2008
 
 
The following buying/ selling Rates are to be cited from 30 June to 06 July 2008
 
 
CURRENCY

CODE

BUYING
SELLING

U S Dollar

USD

64.4033

64.5367

Sterling Pound

GBP

128.0221

128.2644

Euro

EUR

101.3804

101.6089

Australian Dollar

AUD

61.8336

61.9875

Canadian Dollar

CAD

63.7038

63.8588

Danish Kroner

DKK

13.5961

13.6314

Indian Rupee

INR

1.5049

1.5080

100 Japanese Yen

JPY

60.1846

60.3002

Norwegian Kroner

NOK

12.7290

12.7622

Pakistan Rupee

PKR

0.8120

1.4860

S.A. Rand

ZAR

8.1069

8.1350

Swedish Kroner

SEK

10.7669

10.7989

Swiss Francs

CHF

62.8525

63.0023

KSH/Tanzanian Shillings

TZS

18.0672

18.2599

KSH/Ugandan Shillings

UGS

25.0865

25.2937

100 Zambian Kwacha

ZMK

1.9330

2.0890

Zimbabwe Dollar

RWD

-

0.0126

Austrian Schilling

ATS

7.3677

7.3843

Belgian Francs

BFR

2.5132

2.5189

Deutche Mark

DEM

51.8350

51.9519

Dutch Guilder

NLG

46.0045

46.1082

Finnish Mark

FIM

17.0510

17.0894

French Franc

N/A

15.4554

15.4902

100 Italian Lire

ITL

5.2359

5.2477

100 Spanish Peseta

ESP

60.9309

61.0682

A.E. Dirhams

AED

17.5328

17.5715

Singapore Dollar

SGD

47.1785

47.3247

Hong Kong Dollar

HKD

8.2551

8.2730

Chinese Yuan

RMB

9.3854

9.4062

 
 
 
 
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