Monday, July 20, 2026
On this page you can convert EUR to USD with live currency rates from 4/11/25 . Today one hundred Euro correspond to (4:20:11 PM GMT+2) $ 113,74 ( USD ) and one hundred thirteen point seven four US-Dollar respectively. To convert EUR to USD we use the current mid-market rate, which is currently 1,14 . Includes a live currency converter, a handy conversion table, the last 30 days exchange rate history and some live Euro to US-Dollar charts. Reverse these currencies?
100 Euro =
113,74 US-Dollar
1 EUR = 1,14 USD
1 USD = 0,879 EUR
Compared to the last closing price, the Euro🚀 has changed by 1.975 % ( 0.02289200 ) compared to the US-Dollar. Don't hesitate to calculate the exchange rate from Euro to US-Dollar yourself. Our money converter uses the average data from International Currency Rates. Currency rate updates every hour.
Euro Course to US-Dollar = 1,14
Compare the cost of 100 Euro in US-Dollar in the past with the current price at the moment.
Changes for the past 30 days
| Date | Day of the week | 100 EUR to USD | Changes | Changes % |
|---|---|---|---|---|
| April 1, 2026 | wednesday | 100 EUR = 115.885600 USD | -0.02289200 USD | -1.937 % |
| März 1, 2026 | sunday | 100 EUR = 118.174800 USD | +0.02289200 USD | +1.975 % |
| Februar 26, 2026 | thursday | 100 EUR = 118.056800 USD | -0.00118000 USD | -0.1 % |
| Januar 1, 2026 | thursday | 100 EUR = 117.326800 USD | -0.00730000 USD | -0.618 % |
| Dezember 1, 2025 | monday | 100 EUR = 116.125200 USD | -0.01201600 USD | -1.024 % |
| September 1, 2025 | monday | 100 EUR = 117.072700 USD | +0.00947500 USD | +0.816 % |
| August 1, 2025 | friday | 100 EUR = 115.648400 USD | -0.01424300 USD | -1.217 % |
| April 11, 2025 | friday | 100 EUR = 113.637655 USD | -0.02010745 USD | -1.739 % |
| April 10, 2025 | thursday | 100 EUR = 110.774480 USD | -0.02863175 USD | -2.52 % |
| April 9, 2025 | wednesday | 100 EUR = 110.436833 USD | -0.00337647 USD | -0.305 % |
| April 8, 2025 | tuesday | 100 EUR = 109.725522 USD | -0.00711311 USD | -0.644 % |
| April 7, 2025 | monday | 100 EUR = 109.311719 USD | -0.00413803 USD | -0.377 % |
| April 6, 2025 | sunday | 100 EUR = 109.595046 USD | +0.00283328 USD | +0.259 % |
| April 5, 2025 | saturday | 100 EUR = 109.595000 USD | -0.00000046 USD | - |
| April 4, 2025 | friday | 100 EUR = 109.502639 USD | -0.00092361 USD | -0.084 % |
| April 3, 2025 | thursday | 100 EUR = 110.374667 USD | +0.00872028 USD | +0.796 % |
| April 2, 2025 | wednesday | 100 EUR = 107.923763 USD | -0.02450904 USD | -2.221 % |
| April 1, 2025 | tuesday | 100 EUR = 108.226865 USD | +0.00303103 USD | +0.281 % |
| März 29, 2025 | saturday | 100 EUR = 108.855386 USD | +0.00628520 USD | +0.581 % |
| März 26, 2025 | wednesday | 100 EUR = 107.892900 USD | -0.00962486 USD | -0.884 % |
| März 21, 2025 | friday | 100 EUR = 108.219838 USD | +0.00326938 USD | +0.303 % |
| März 18, 2025 | tuesday | 100 EUR = 109.160200 USD | +0.00940362 USD | +0.869 % |
| März 17, 2025 | monday | 100 EUR = 109.232912 USD | +0.00072712 USD | +0.067 % |
| Directions | Value | Inverse € |
|---|---|---|
| 100 EUR to Australian Dollar | $182,01 | 54,94 |
| 100 EUR to Brazilian Real | R$668,48 | 14,96 |
| 100 EUR to Canadian Dollar | $157,82 | 63,36 |
| 100 EUR to Swiss Franc | CHF92,57 | 108,02 |
| 100 EUR to Chinese Yuan | ¥831,95 | 12,02 |
| 100 EUR to British Pound Sterling | £86,75 | 115,27 |
| 100 EUR to Hong Kong Dollar | HK$882,21 | 11,34 |
| 100 EUR to Indonesian Rupiah | Rp1.913.360,79 | 0,00523 |
| 100 EUR to Indian Rupee | ₹9.816,18 | 1,02 |
| 100 EUR to Russian Ruble | ₽9.600,27 | 1,04 |
| 100 EUR to Ukrainian Hryvnia | ₴4.703,78 | 2,13 |
| 100 EUR to Vietnamese Dong | ₫2.931.602,20 | 0,00341 |
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Have you come across the term 'interbank rate'? Also recognized as the mid-market, spot, or real exchange rate, it's the standard banks and substantial institutions use when transacting significant foreign currency volumes amongst themselves. For individual consumers and smaller enterprises, this isn't the most suitable, since minor transactions generally receive a bigger mark-up, enabling the exchange service to garner profits.
Pondering why there's a variation in currency conversion rates across firms? It's primarily because each establishment adjusts the interbank rate to realize a profit. Often, this is volume-based: greater volume transactions are more likely to approach the interbank rate. It's a common tactic for many in the competition to showcase interbank rates as an attraction for potential clients. However, post-engagement, they might alter the rates, typically not to the client's benefit.
Considering the best moment to switch your money or engage in currency trading? The peak trading duration spans from 8am GMT to 5pm EST, coinciding with the UK and US markets. This period witnesses maximum liquidity, ensuring a minimal gap between bid and ask rates. Engaging outside these hours implies you won't get real-time rates from large institutions and will need to settle for the available rate as a safeguard against potential rate swings till you finalize your transaction with a partner.