The dollar exchange rate has increased, reaching 12,893.07 soms (+18.01), while the European currency has decreased by 19.93 soms to 13,386.87 soms.
Additionally, the established rates for other foreign currencies have been announced:
- British pound — 16,121.49 soms (-180.91);
- Russian ruble — 125.96 soms (+1.21);
- Chinese yuan — 1,766.37 soms (+1.79);
- Japanese yen — 82.27 soms (-0.29);
- Kazakh tenge — 24.62 soms (+0.04).