
The National Bank has published the exchange rates for foreign currencies as of January 28, 2026.
Comparing with the data from the previous day, the following changes can be noted:
- US Dollar (USD) — 87.4490 som (change from January 27 — 87.4500 som);
- Euro (EUR) — 103.7189 som (compared to January 27 — 103.6457 som);
- Russian Ruble (RUB) — 1.1436 som (unlike January 27 — 1.1538 som);
- Kazakh Tenge (KZT) — 0.1742 som (remained unchanged);
- Chinese Yuan (CNY) — 12.5713 som (slight change from January 27 — 12.5717 som).
In commercial banks, the average exchange rate for the dollar is 87.33 som for buying and 87.80 som for selling.
As for the Russian ruble, its average price in banks is 1.13 som for buying and 1.16 som for selling.