Archive for the November 9, 2005
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Open market rates of foreign currencies supplied by the Forex Association of Pakistan on Tuesday (November 08, 2005). ========================================================================= CURRENCY BUYING SELLING CURRENCY BUYING SELLING ========================================================================= US$ O/M 59.85 59.95 Euro 70.00 70.10 UK Pound
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London Interbank Offered Rates (LIBOR) on Tuesday (November 08, 2005). ========================================================= Rates at 11:00 London time Tuesday (November 08, 2005). ========================================================= USD GBP CAD EUR JPY --------------------------------------------------------- O/N 4.04000 4.70125 - 1.97000 0.04000 01 Week
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Spot Dollar rates from Khadim Ali Shah Bukhari & Co Ltd on Tuesday (November 08, 2005). ======================================== Ex Interbank Rate PKR against USD ======================================== BID OFFER CLOSE ======================================== Ready 59.7700 59.7800 59.7750 1 week 59.8150
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Money market report by Khadim Ali Shah Bukhari & Co on Tuesday (November 08, 2005). DAILY MONEY MARKET COMMENTS: Today money market rates initiated at the level of 8.90%. However, in clean & call placements
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The selling/buying rates for currency notes of major currencies issued by National Bank (NBP) here on Tuesday (November 08, 2005). ==================================== Selling Buying ==================================== US DOLLAR 60.45 58.92 SAUDI RIYAL 16.12 15.70 UK POUND STERLING
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Bill Buying Rates per unit of currency -- issued by the Treasury Management Division of the National Bank of Pakistan on Tuesday (November 08, 2005). ======================================================================== BILL BUYING RATES PER UNIT OF CURRENCY ======================================================================== Bill
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Interest rates on new foreign currency deposits issued by the Treasury Management Division of National Bank of Pakistan on Tuesday (November 08, 2005). ================================================= INTEREST RATES ON NEW FOREIGN CURRENCY DEPOSITS US DOLLAR ================================================= PERIOD
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Interest rates on old and incremental FCY deposits on Tuesday (November 08, 2005). ================== Rates % pa ================== USD 0.1000 GBP 0.1000 ================== Copyright Business Recorder, 2005
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London Interbank Offer Rates on for calculating interest on special US dollar on Tuesday (November 08, 2005). ========================================= BONDS LIBOR VALUE ========================================= 6 MONTHS US DOLLAR 4.53 08-11-2005 ========================================= Copyright Business Recorder, 2005
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Exchange rates for Currency Notes issued by the Treasury Management Division of National Bank of Pakistan (NBP) here on Tuesday (November 08, 2005). ============================================= AUTHORISED DEALERS' RATES FOR CURRENCY NOTES ============================================= COUNTRY SELLING BUYING =============================================
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