At the end of the trading day on foreign currency, the dollar weakened by 0.058% and its representative rate was set at NIS 3.465.
The euro also fell by 0.529% and its rate was set at NIS 3.855.
At the end of the trading day on foreign currency, the dollar weakened by 0.058% and its representative rate was set at NIS 3.465.
The euro also fell by 0.529% and its rate was set at NIS 3.855.