EXCHANGE RATES FOR THE WEEK RUNNING From to 30 th October to 5 th November 2006
 
 
The following buying/ selling Rates are to be cited from 30 October to 6 November 2006
 
 
CURRENCY

CODE

BUYING
SELLING
U S Dollar

USD

71.9156

72.0378

Sterling Pound

GBP

136.0069

136.2611

Euro

EUR

91.3094

91.4844

Australian Dollar

AUD

54.9579

55.0657

Canadian Dollar

CAD

64.0089

64.1384

Danish Kroner

DKK

12.2464

12.2737

Indian Rupee

INR

1.5898

1.5928

100 Japanese Yen

JPY

60.7287

60.8613

Norwegian Kroner

NOK

11.0073

11.0373

Pakistan Rupee

PKR

1.146

1.229

S.A. Rand

ZAR

9.6054

9.6252

Swedish Kroner

SEK

9.8950

9.9230

Swiss Francs

CHF

57.3601

57.6593

KShs/Tanzanian Shillings

TZS

17.6435

17.8126

KShs/Ugandan Shillings

UGS

25.3207

25.5160

100 Zambian Kwacha

ZMK

1.834

1.966

Zimbabwe Dollar

RWD

-

0.5956

Austrian Schilling

ATS

6.6358

6.6485

Belgian Francs

BFR

2.2636

2.2679

Deutsche Mark

DEM

46.6858

46.7753

Dutch Guilder

NLG

41.4344

41.5139

Finnish Mark

FIM

15.3572

15.3866

French Franc

N/A

13.9201

13.9468

100 Italian Lire

ITL

4.7158

                 4.7248

100 Spanish Peseta

ESP

54.8781

54.9833

A.E. Dirhams

AED

19.5790

19.6139

Singapore Dollar

SGD

45.9202

46.0246

Hong Kong Dollar

HKD

9.2393

9.2557

 

 
 
 
 
Copyright © 2006, Kenya Revenue Authority. All Rights Reserved.