 |
Tipos de cambio del mes de Julio
de 2008 para solventar obligaciones denominadas en
moneda extranjera, pagaderas en la República Mexicana:
|
| Domingo |
Lunes |
Martes |
Miércoles |
Jueves |
Viernes |
Sábado |
| |
|
01
$10.3069
|
02
$10.3908
|
03
$10.3722
|
04
$10.3692
|
05 |
| 06 |
07
$10.3411
|
08
$10.3263
|
09
$10.3363
|
10
$10.2993
|
11
$10.3076
|
12 |
| 13 |
14
$10.3120
|
15
$10.2925
|
16
$10.3229
|
17
$10.2608
|
18
$10.2311
|
19 |
| 20 |
21
$10.2047
|
22
$10.1708
|
23
$10.1178
|
24
$10.0552
|
25
$10.0264
|
26 |
| 27 |
28
$10.0190
|
29
$10.0706
|
30
$10.0610
|
31
$10.0340
|
|
|
|
|
 |
|