Financial statements 2008

55. Principal currency translation rates

55. Principal currency translation rates

55. Principal currency translation rates
    Year end rates used for the consolidated balance sheets   Average rates used for the consolidated income and cash flow statements
    2008 2007   2008 2007
1 USD 1.070 1.130   1.080 1.200
1 EUR 1.490 1.655   1.590 1.643
1 GBP 1.560 2.260   2.000 2.400
1 SGD 0.740 0.780   0.760 0.796
100 MYR 30.900 34.000   32.500 34.900
100 SEK 13.700 17.600   16.500 17.750