Core Viewpoint - The article discusses the fluctuations in various currency pairs, highlighting the movements of the Euro, British Pound, Swiss Franc, and commodity currencies against the US Dollar on November 18. Currency Movements - The Euro against the US Dollar decreased by 0.08%, closing at 1.1583, with a daily high of 1.1608 and a low of 1.1572 [1] - The British Pound against the US Dollar fell by 0.03%, settling at 1.3151 [1] - The US Dollar appreciated by 0.43% against the Swiss Franc, reaching 0.7996, after hitting a daily low of 0.7938 [1] Commodity Currencies - The Australian Dollar increased by 0.31% against the US Dollar [1] - The New Zealand Dollar rose by 0.11% against the US Dollar [1] - The US Dollar declined by 0.52% against the Canadian Dollar [1] Other Currency Movements - The Swedish Krona and Norwegian Krona both appreciated by 0.03% against the US Dollar [1] - The Danish Krone decreased by 0.08% against the US Dollar [1] - The Polish Zloty fell by 0.18% against the US Dollar, while the Hungarian Forint increased by 0.12% [1]
欧元冲高回落,加元涨超0.5%
Sou Hu Cai Jing·2025-11-18 20:50