EXCHANGE RATES FOR THE WEEK RUNNING 11 th to 17 th February2008
 
 
The following buying/ selling Rates are to be cited from 11 to 17 February 2008
 
 
CURRENCY

CODE

BUYING
SELLING

U S Dollar

USD

72.4667

72.6222

Sterling Pound

GBP

140.8083

141.1422

Euro

EUR

104.8788

105.1422

Australian Dollar

AUD

64.8359

64.9824

Canadian Dollar

CAD

71.6853

71.9558

Danish Kroner

DKK

14.0810

14.1148

Indian Rupee

INR

1.8323

1.8366

100 Japanese Yen

JPY

67.4765

67.6759

Norwegian Kroner

NOK

13.0332

13.0638

Pakistan Rupee

PKR

1.01

1.29

S.A. Rand

ZAR

9.4344

9.4786

Swedish Kroner

SEK

10.9135

10.9609

Swiss Francs

CHF

65.5703

65.7897

KSH/Tanzanian Shillings

TZS

15.9042

16.0488

KSH/Ugandan Shillings

UGS

23.4777

23.6385

100 Zambian Kwacha

ZMK

1.869

2.003

Zimbabwe Dollar

RWD

-

0.005

Austrian Schilling

ATS

7.6219

7.6407

Belgian Francs

BFR

2.5999

2.6063

Deutche Mark

DEM

53.6237

53.7562

Dutch Guilder

NLG

47.5920

47.7095

Finnish Mark

FIM

17.6394

17.6830

French Franc

N/A

15.9887

16.0282

100 Italian Lire

ITL

5.4166

5.4300

100 Spanish Peseta

ESP

63.0335

63.1891

A.E. Dirhams

AED

19.7306

19.7784

Singapore Dollar

SGD

51.0724

51.2145

Hong Kong Dollar
HKD

9.2895

9.3101

Chinese Yuan

RMB

10.0773

10.1031

 
 
 
 
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