The US dollar on Friday, January 14, ended trading at $155.84 following an increase of $0.03, as indicated by the Bank of Jamaica.
The Canadian dollar, in the meantime, ended trading at $124.87 up from $124.75; while the British pound sterling ended trading at $212.11 down from $214.16.
The Euro went up by $4.09, ending trading at $181.52.
See Thursday’s trading summary here.