The US dollar on Tuesday, January 11, ended trading at $155.13 following a decrease of $0.43, as indicated by the Bank of Jamaica.
The Canadian dollar, in the meantime, ended trading at $123.03 up from $119.25; while the British pound sterling ended trading at $211.55 up from $208.55.
The Euro went up by $1.47, ending trading at $178.17.
See Monday’s trading summary here.