International Monetary Fund
Germany: Holdings Rate
from January 01, 1995 to December 31, 1995

The holdings rate is the exchange rate of a member's currency against the SDR. The rate is derived from the currency's representative exchange rate, as reported by the central bank, normally against the U.S. dollar at spot market rates and rounded to six significant digits.


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(in SDRs per Currency unit)
Date Exchange Rate
 December 29, 1995            0.469291
 December 21, 1995            0.467656
 December 12, 1995            0.465941
 December 01, 1995            0.465732
 November 29, 1995            0.467736
 November 10, 1995            0.471876
 November 07, 1995            0.474099
 September 26, 1995            0.465911
 September 22, 1995            0.467287
 September 19, 1995            0.458983
 September 11, 1995            0.458312
 September 05, 1995            0.457891
 August 28, 1995            0.455333
 August 23, 1995            0.452706
 August 15, 1995            0.458377
 July 28, 1995            0.464137
 July 26, 1995            0.462229
 July 11, 1995            0.458845
 June 26, 1995            0.459346
 June 23, 1995            0.457376
 June 01, 1995            0.450733
 May 31, 1995            0.456941
 May 26, 1995            0.459031
 May 10, 1995            0.459441
 April 30, 1995            0.460263
 April 24, 1995            0.462064
 April 07, 1995            0.460406
 April 06, 1995            0.461146
 March 28, 1995            0.462443
 March 27, 1995            0.459816
 March 24, 1995            0.460314
 March 22, 1995            0.459503
 March 20, 1995            0.463536
 March 17, 1995            0.465741
 March 14, 1995            0.463608
 March 09, 1995            0.465382
 February 01, 1995            0.446724
 January 25, 1995            0.449595
 January 17, 1995            0.444936
 January 10, 1995            0.445218

Disclaimer
The information provided is for your convenience and is not intended to replace other official IMF reports and statements.

Germany: Financial Position in the Fund