Interim Report 2009

7. Principal currency translation rate

7. Principal currency translation rate

7. Principal currency translation rate
    Period end rates used for the consolidated balance sheets   Average rates used for the consolidated income and cash flow statements
    30.06.2009 31.12.2008   30.06.2009 30.06.2008
             
1 USD 1.085 1.070   1.129 1.050
1 EUR 1.525 1.490   1.505 1.606