The U.S. Dollar Index, which measures the dollar against six major currencies, rose 0.13% that day, closing at 108.132 in the foreign exchange market. As of the close of the New York foreign exchange market, 1 Euro exchanged for 1.0397 U.S. dollars, down from 1.0428 U.S. dollars the previous trading day; 1 British Pound exchanged for 1.2544 U.S. dollars, down from 1.2582 U.S. dollars the previous trading day. 1 U.S. dollar exchanged for 157.09 Japanese Yen, down from 157.94 Japanese Yen the previous trading day; 1 U.S. dollar exchanged for 0.9040 Swiss Francs, up from 0.9018 Swiss Francs the previous trading day; 1 U.S. dollar exchanged for 1.4359 Canadian Dollars, down from 1.4411 Canadian Dollars the previous trading day; 1 U.S. dollar exchanged for 11.0249 Swedish Krona, up from 11.0011 Swedish Krona the previous trading day.