Currency rates October 27, 2025. How much is the dollar, euro, franc and pound?
Currency rates October 27, 2025. How much is the dollar, euro, franc and pound?
This is important information not only for finance enthusiasts. Information about daily changing exchange rates electrifies Poles both in the country and abroad.
Data provided on Monday morning by the National Bank of Poland (NBP) shows that on October 27, 1 US dollar cost PLN 3.6395. For the most popular European currency, i.e. euro, PLN 4.2353. For 1 Swiss franc you had to pay PLN 4.5720, and for 1 British pound – PLN 4.8567.
What are the exchange rates today? The National Bank of Poland published the latest data
Currency rates – Monday, October 27
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dollar – PLN 3.6395
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euro – PLN 4.2353
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Swiss franc – PLN 4.5720
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pound sterling – PLN 4.8567
Currency rates – previous week
Currency rates – Friday, October 24
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dollar – PLN 3.6481
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euro – PLN 4.2353
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Swiss franc – PLN 4.5839
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pound sterling – PLN 4.8589
Currency rates – Thursday, October 23
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dollar – PLN 3.6591
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euro – PLN 4.2347
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Swiss franc – PLN 4.5790
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pound sterling – PLN 4.8745
Currency rates – Wednesday, October 22
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dollar – PLN 3.6591
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euro – PLN 4.2438
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Swiss franc – PLN 4.5963
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pound sterling – PLN 4.8746
Currency rates – Tuesday, October 21
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dollar – PLN 3.6479
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euro – PLN 4.2392
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Swiss franc – PLN 4.5961
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pound sterling – PLN 4.8811
Currency rates – Monday, October 20
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dollar – PLN 3.6349
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euro – PLN 4.2396
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Swiss franc – PLN 4.5866
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pound sterling – PLN 4.8810
Why do currency rates change daily?
Currency rates change every day due to dynamic processes taking place in the financial market. The most important factors influencing 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.
Investor speculation on the Forex market can also lead to sudden changes in rates. For example, an increase in demand for the US dollar may increase its value relative to other currencies. Seasonal factors, such as holidays or the end of the year, may also influence exchange rate fluctuations.
