The US dollar on Tuesday, February 14, ended trading at $155.25, following an increase of $0.31, as indicated by the Bank of Jamaica.
The Canadian dollar, in the meantime, ended trading at $116.33 down from $116.34; while the British pound sterling ended trading at $187.10 down from $187.21.
The Euro went up $2.13, ending trading at $168.82.
See Monday’s trading summary here.