-+ 0.00%
-+ 0.00%
-+ 0.00%

(Friday) At the end of the New York session, the euro rose 0.04% against the US dollar to 1.1742. This week's cumulative increase was 0.86%. It continued to rise since the Federal Reserve announced interest rate cuts on December 10 and December 11. This week, GBP/USD increased by 0.31% to 1.3370. USD/CHF fell 1.10% to 0.7959. Among commodity currency pairs, the Australian dollar rose 0.18% against the US dollar, the New Zealand dollar rose 0.47% against the US dollar, and the US dollar fell 0.36% against the Canadian dollar. The Swedish krona rose 1.39% against the US dollar, the Norwegian krone fell 0.24% against the US dollar, and the Danish krone rose 0.84% against the US dollar. The Polish zloty rose by 0.94% against the US dollar, and the Hungarian forint fell 0.23% against the US dollar.

智通財經·12/12/2025 20:57:00
語音播報
(Friday) At the end of the New York session, the euro rose 0.04% against the US dollar to 1.1742. This week's cumulative increase was 0.86%. It continued to rise since the Federal Reserve announced interest rate cuts on December 10 and December 11. This week, GBP/USD increased by 0.31% to 1.3370. USD/CHF fell 1.10% to 0.7959. Among commodity currency pairs, the Australian dollar rose 0.18% against the US dollar, the New Zealand dollar rose 0.47% against the US dollar, and the US dollar fell 0.36% against the Canadian dollar. The Swedish krona rose 1.39% against the US dollar, the Norwegian krone fell 0.24% against the US dollar, and the Danish krone rose 0.84% against the US dollar. The Polish zloty rose by 0.94% against the US dollar, and the Hungarian forint fell 0.23% against the US dollar.