This was the last trading week in 2010 and the trading was very light in the forex market. The non-US dollar went up stably and the US dollar might went down in a short-term. Euro began to rise and would continue to increase in the near future. The forex rate of US dollar against Swiss Franc might trade in the range of 0.9540-50. In addition, the forex rate of Australian dollar against US dollar would continue to rise; USD/JPY would continue to drop in the coming days.