Exchange between currencies

Exchange between USD and CAD for day 28/09/2024

What was 100 American dollars in Canadian dollars on September 28, 2024?

As of 28/09/2024, 1 USD (American dollar) is equivalent to 1.35235 CAD (Canadian dollar)

swap_vert equals

The exchange rate refers to the value of a country’s currency in relation to another currency. In other words, it is the proportion of exchange that exists between two different currencies.
Exchange rates fluctuate continuously and are established by the supply and demand of each currency in the foreign exchange market, also known as FOREX

The last 10 changes

We show you the last 10 exchange rates between USD (American dollar) and CAD (Canadian dollar) around the day 28/09/2024.
If you click on a date we show you the data for that specific day.

Date Exchange Variation Increase
03/10/2024 arrow_drop_up 1.35548 0.00387% 0.00522
02/10/2024 arrow_drop_up 1.35025 0.00083% 0.00111
01/10/2024 arrow_drop_down 1.34914 -0.00262% -0.00354
30/09/2024 arrow_drop_up 1.35269 0.00092% 0.00124
29/09/2024 arrow_drop_down 1.35144 -0.00067% -0.00091
28/09/2024 1.35235 0.00000% 0.00000
27/09/2024 arrow_drop_up 1.35235 0.00406% 0.00547
26/09/2024 arrow_drop_down 1.34688 -0.00123% -0.00167
25/09/2024 arrow_drop_up 1.34855 0.00392% 0.00527
24/09/2024 arrow_drop_down 1.34328 -0.00759% -0.01027

If you want you can also see today’s exchange rate between USD and CAD

Evolution of exchange value

Here you have the graph of the evolution of the change between USD (American dollar) and CAD (Canadian dollar) in 4 different time units.
Initially, the change value for the last year is shown, showing the values day by day.
If you wish, you can view the evolution week by week, month by month or year by year.

Other ways users are asking about this change

USD to CAD exchange rate on 28/09/2024.
What is the exchange rate of USD to CAD on 28/09/2024?
Conversion rate from USD to CAD on 28/09/2024.
How much is 1 USD worth in CAD on 28/09/2024?
Exchange rate on 28/09/2024 from USD to CAD .

The main changes to date 28/09/2024

The main market exchange rates are determined by a combination of supply and demand, monetary policies of central banks, inflation rates and the political and economic stability of countries. In addition, government interventions, market expectations and the balance of payments also play a role. These variables continually interact, causing fluctuations in exchange rates in the global currency market.

Based on these criteria, this would be the list of the main exchange rates in the market:

Currencies Exchange Variation Increase
EUR - USD 1.11681 0.00000% 0.00000
EUR - GBP 0.83525 0.00000% 0.00000
EUR - JPY arrow_drop_up 158.82941 0.00043% 0.06753
EUR - CHF 0.93949 0.00000% 0.00000
EUR - NZD arrow_drop_up 1.76137 0.00006% 0.00011
USD - GBP 0.74789 0.00000% 0.00000
USD - JPY arrow_drop_up 142.21653 0.00043% 0.06046
USD - CAD 1.35235 0.00000% 0.00000
USD - CHF 0.84122 0.00000% 0.00000
USD - NZD arrow_drop_up 1.57714 0.00006% 0.00010
USD - HKD arrow_drop_down 7.77196 -0.00005% -0.00039
NZD - JPY arrow_drop_up 90.17379 0.00036% 0.03266

Other changes to date 28/09/2024

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