 |
Tipos de cambio del mes de Enero
de 2007 para solventar obligaciones denominadas en
moneda extranjera, pagaderas en la República Mexicana:
|
| Domingo |
Lunes |
Martes |
Miércoles |
Jueves |
Viernes |
Sábado |
| |
01 |
02
$10.8116 |
03
$10.7815
|
04
$10.7708 |
05
$10.8650
|
06 |
| 07 |
08
$10.9355
|
09
$10.9705
|
10
$11.0091
|
11
$11.0333
|
12
$10.9650
|
13 |
| 14 |
15
$10.9765
|
16
$10.9419
|
17
$10.9860
|
18
$10.9234
|
19
$10.9232
|
20 |
| 21 |
22
$10.8824 |
23
$10.8918
|
24
$10.9645
|
25
$10.9486
|
26
$10.9753
|
27 |
| 28 |
29
$11.0402
|
30
$11.0855
|
31
$11.0548
|
|
|
|
|
|
 |
|