At the end of trading on the foreign currency market,
The dollar rose by 0.250% and its representative rate was set at NIS 3.614.
The euro rose by 0.238% and its rate was set at NIS 4.044.
At the end of trading on the foreign currency market,
The dollar rose by 0.250% and its representative rate was set at NIS 3.614.
The euro rose by 0.238% and its rate was set at NIS 4.044.