 |
Tipos de cambio del mes de Junio
de 2008 para solventar obligaciones denominadas en
moneda extranjera, pagaderas en la República Mexicana:
|
| Domingo |
Lunes |
Martes |
Miércoles |
Jueves |
Viernes |
Sábado |
| 01 |
02
$10.3306 |
03
$10.3417
|
04
$10.2992
|
05
$10.3211
|
06
$10.3108
|
07 |
| 08 |
09
$10.3582
|
10
$10.3620
|
11
$10.3847
|
12
$10.4268
|
13
$10.3950
|
14 |
| 15 |
16
$10.3655
|
17
$10.3399
|
18
$10.3153
|
19
$10.2935
|
20
$10.3156
|
21 |
| 22 |
23
$10.2753
|
24
$10.3032
|
25
$10.3180
|
26
$10.2938
|
27
$10.2841
|
28 |
| 29 |
30
$10.3028
|
|
|
|
|
|
|
|
 |
|