The dollar index fell 0.17% on the 15th.
The U.S. dollar index, which measures the U.S. dollar against six major currencies, fell 0.17 percent on the day and closed at 109.089 at the end of the foreign exchange market. As of the end of the New York foreign exchange market, 1 euro was 1.0293 dollars, down from 1.0298 dollars in the previous trading day; 1 pound was 1.2231 dollars, up from 1.2200 dollars in the previous trading day. 1 dollar was 156.46 yen, down from 157.94 yen in the previous trading day; 1 dollar was 0.9127 Swiss francs, unchanged from the previous trading day; 1 dollar was 1.4329 Canadian dollars, down from 1.4365 Canadian dollars in the previous trading day; 1 dollar was 11.1543 Swedish kronor, down from 11.1796 Swedish kronor in the previous trading day.