| Date:
10.10.2008
|
|
| |
|
| NBRM interest rates y-o-y |
| Lending interest rates |
| Discount interest rate |
6.5 |
| Collateral loan interest rate |
8.5 |
| Default interest rate |
19.5 |
| Borrowing interest rates |
| 28-day T-bills |
7 |
| Government bills - 3 months |
7.44 |
| Government bills - 6 months |
7.68 |
| Government bills - 12 months |
7.99 |
| Government bills - 2 years |
8.25 |
| Government bills - 3 years |
8.4 |
| |
| Interbank money market interest rate |
4.82 |