The US dollar on Monday, July 11, ended trading at $152.78, following an increase of $0.70, as indicated by the Bank of Jamaica.
The Canadian dollar, in the meantime, ended trading at $117.79 up from $116.57; while the British pound sterling ended trading at $181.24 down from $182.94.
The Euro went down $0.52, ending trading at $156.82.
See Friday’s trading summary here.