Interest rates on NBU's active and passive operations set for December 1

Rate (%) Current rate, % per annum Last set Previous rate, % Previously set
Refinancing rate

16.00

27.10.23

20.00

15.09.23

On active operations– overnight credits

Secured by state securities or NBU deposit certificates, intl organizations’ bonds, currency

22.00

15.09.23

24.00

28.07.23

On overnight deposit certificates

16.00

15.09.23

18.00

28.07.23

Holding tenders for placement of NBU deposit certificates

 

 

 

 

For 91 days

20.00

15.09.23

22.00

28.07.23

ãSource: National Bank of Ukraine

The Refinancing Rate is a rate at which the NBU provides loans to commercial banks for replenishment of their monetary reserves and lending funds

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