Courses on July 29, 2025. How much Swiss franc, dollar, euro, pound?
Courses on July 29, 2025. How much Swiss franc, dollar, euro, pound?
This is important information not only for finance lovers. Information about changing everyday exchange rates electrify Poles both in and outside the country.
The data provided on Wednesday morning by the National Bank of Poland (NBP) shows that on July 29 for the 1st US dollar you had to pay PLN 3.6941. For the most popular European currency, euro PLN 4.2737. For 1 Swiss franc, it was necessary to pay PLN 4,5880, and for the 1st British pound – PLN 4.9284.
What are the exchange rates today. NBP provided the latest data
Currency courses – Tuesday, July 29
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dollar – PLN 3.6941
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euro – PLN 4.2737
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Swiss franc – PLN 4,5880
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pound sterling – PLN 4.9284
Currency courses – last 7 days
Currency courses – Monday, July 28
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dollar – PLN 3.6446
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euro – PLN 4.2565
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Swiss franc – PLN 4,5607
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pound sterling – PLN 4.8911
Currency courses – Friday, July 25
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dollar – PLN 3.6228
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euro – PLN 4.2544
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Swiss franc – PLN 4,5514
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pound sterling – PLN 4.8772
Currency courses – Thursday, July 24
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dollar – PLN 3.6158
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euro – PLN 4.2514
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Swiss franc – PLN 4,5543
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pound sterling – PLN 4.8974
Currency courses – Wednesday, July 23
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dollar – PLN 3.6260
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euro – PLN 4.2544
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Swiss franc – PLN 4,5746
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pound sterling – PLN 4.9102
Currency courses – Tuesday, July 22
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dollar – PLN 3.6353
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euro – PLN 4.2531
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Frank Szwajcarski – PLN 4,5612
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pound sterling – PLN 4.9044
Why are currency courses changing every day?
Currency courses change every day due to dynamic processes on the financial market. The most important factors affecting their fluctuations are: supply and demand for a given currency, decisions of central banks regarding interest rates, macroeconomic data such as inflation or GDP, as well as geopolitical events and global crises.
Investors’ speculations on the Forex market can also lead to rapid changes in courses. For example, an increase in demand for an American dollar can increase its value against other currencies. Seasonal factors, such as holidays or the end of the year, can also affect exchange rate fluctuations.
