Faiz oranları

Ülke Merkez Bankası Temel İndirim Oranı Gerçek Değer Son Değişiklik Sonraki İnceleme
FRS
(Federal Reserve System)
Federal Funds Rate 5.5% 26.07.2023
(0.25%)
31.07.2024
ECB
(European Central Bank)
Fixed Rate on Main Refinancing Operations 4.25% 06.06.2024
(-0.25%)
18.07.2024
BOE
(Bank of England)
Official Bank Rate 5.25% 03.08.2023
(0.25%)
20.06.2024
BOJ
(Bank of Japan)
Overnight Call Rate Target 0.1% 19.03.2024
(0.2%)
31.07.2024
SNB
(Swiss National Bank)
3 Month LIBOR Rate 1.5% 21.03.2024
(-0.25%)
20.06.2024
BOC
(Bank of Canada)
Overnight Rate 4.75% 05.06.2024
(-0.25%)
24.07.2024
RBA
(Reserve Bank of Australia)
Cash Rate 4.35% 16.11.2023
(0.25%)
18.06.2024
RBNZ
(Reserve Bank of New Zealand)
Official Cash Rate 5.5% 24.05.2023
(0.25%)
10.07.2024
Riksbank
(Sweden`s Central Bank)
Repo Rate 3.75% 15.05.2024
(-0.25%)
27.06.2024
Norges Bank
(Norway`s Central Bank)
Sight Deposit Rate 4.5% 14.12.2023
(0.25%)
20.06.2024
SARB
(South African Reserve Bank)
Repo Rate 8.25% 30.03.2023
(0.5%)
18.07.2024
Banco de Mexico
(Bank of Mexico)
Overnight Interest-Rate Target 11% 21.03.2024
(-0.25%)
11.07.2024
CBH
(Central Bank of Hungary)
Central Bank of Hungary 7.5% 05.06.2024
(-0.5%)
18.06.2024
NBP
(Narodowy Bank Polski)
Narodowy Bank Polski 5.75% 26.10.2022
(-0.25%)
05.06.2024
CNB
(Сzech National Bank)
Сzech National Bank 5.75% 08.02.2024
(-0.5%)
27.06.2024