FOREX-Surprise Fed rate cut shakes dollar, yen struggles =2

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Tue Jan 22, 2008 2:37pm EST

   Currency bid prices at 2:23 p.m. EST (1923 GMT). All data
taken from Reuters calculated from the levels at 4:30 p.m.(2130
GMT) in the previous New York session.
                   Last  US Close    Pct   YTD Pct   2007
                          Jan. 21  Change  Change    Close
-------------------------------------------------------------
Euro/dlr   EUR=    1.4607   1.4445   +1.12   +0.12   1.4589
Dlr/yen    JPY=    106.48   106.01   +0.44   -4.36   111.33
Euro/yen   EURJPY= 155.54   153.09   +1.60   -4.30   162.53
Dlr/swiss  CHF=    1.0984   1.1086   -0.92   -3.10   1.1335
Stg/dlr    GBP=    1.9621   1.9430   +0.98   -1.14   1.9847
Dlr/cad    CAD=    1.0225   1.0344   -1.15   +2.62   0.9964
Aus/dlr    AUD=    0.8685   0.8623   +0.72   -0.82   0.8757
Euro/swiss EURCHF= 1.6046   1.6020   +0.16   -2.98   1.6539
Euro/stg   EURGBP= 0.7444   0.7432   +0.16   +1.29   0.7349
Nzd/dlr    NZD=    0.7643   0.7463   +2.41   -0.30   0.7666
Dlr/Norw   NOK=    5.5028   5.5687   -1.18   +1.25   5.4347
Euro/Norw  EURNOK= 8.0374   8.0440   -0.08   +1.38   7.9283
Dlr/Swed   SEK=    6.4852   6.5600   -1.14   +0.36   6.4622
Euro/Swed  EURSEK= 9.4729   9.4753   -0.03   +0.45   9.4304
All spots FX=
Tokyo spots AFX=
Europe spots EFX=
Volatilities FXVOL=
Tokyo Forex market info from BOJ TKYFX
World central bank news [CEN]
Economic Forecasts...ECON   Official rates...[INT/RATE]
Forex Diary.......[MI/DIARY]   Top events........[M/DIARY]
Diaries...........[DIARY] Diaries Index........[IND/DIARY]
Press Digests.....[PRESS] Polls on G7 economies..[SURVEY/]
European markets......[MARKETS/]
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