Deniz polisinden Adalar çevresinde 'deniz taksi' denetimi

Major currencies displayed mixed performance in the foreign exchange markets on the final trading day of the week.

The euro/U.S. dollar pair rose 0.03% to 1.1441, while the pound/U.S. dollar pair gained 0.09% to 1.3466.

The U.S. dollar/Turkish lira exchange rate increased 0.09% to 47.1737, while the U.S. dollar/Japanese yen pair slipped 0.02% to 162.35.

The U.S. dollar/Swiss franc pair fell 0.01% to 0.8072, while the U.S. dollar/Canadian dollar pair declined 0.09% to 1.4008.

The euro/yen pair edged up 0.01% to 185.77, the Australian dollar/U.S. dollar pair rose 0.14% to 0.6993, and the New Zealand dollar/U.S. dollar pair climbed 0.19% to 0.5852.

The euro/pound pair, meanwhile, declined 0.07% to 0.8496.

Europe Asia News

 

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