EXCHANGE RATES FOR THE WEEK RUNNING 10 th to 16 thNovember 2008
 
 
The following buying/ selling Rates are to be cited from 10 November 2008
 
 
CURRENCY

CODE

BUYING
SELLING

U S Dollar

USD

76.3444

76.5333

Sterling Pound

GBP

119.6178

119.9089

Euro

EUR

97.2680

97.5331

Australian Dollar

AUD

50.9752

51.1396

Canadian Dollar

CAD

63.7555

63.9394

Danish Kroner

DKK

13.0555

13.0945

Indian Rupee

INR

1.5981

1.6026

100 Japanese Yen

JPY

78.3148

78.5497

Norwegian Kroner

NOK

11.0479

11.1184

Pakistan Rupee

PKR

0.8090

1.4710

S.A. Rand

ZAR

7.5133

7.6053

Swedish Kroner

SEK

9.6615

9.7059

Swiss Francs

CHF

64.8266

65.0399

KSH/Tanzanian Shillings

TZS

16.0322

16.2029

KSH/Ugandan Shillings

UGS

23.5192

24.3633

100 Zambian Kwacha

ZMK

1.884

2.012

Zimbabwe Dollar

RWD

-

-

Austrian Schilling

ATS

7.0688

7.0881

Belgian Francs

BFR

2.4113

2.4178

Deutche Mark

DEM

49.7324

49.8679

Dutch Guilder

NLG

44.1383

44.2586

Finnish Mark

FIM

16.3594

16.4039

French Franc

N/A

14.8285

14.8689

100 Italian Lire

ITL

5.0235

5.0372

100 Spanish Peseta

ESP

58.4593

58.6186

A.E. Dirhams

AED

20.7825

20.8367

Singapore Dollar

SGD

51.0870

51.2821

Hong Kong Dollar

HKD

9.8503

9.8754

Chinese Yuan

RMB

11.1839

11.2132

 
 
 
 
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