- Private clients
- Corporate Customers
- Deposits
Deposits
- if the Central Bank's Main Rate changes, the conditions of the term deposit must change according to the new Main Rate from the date of the change
- in case of pre-schedule termination until 12 months – re-calculation in the amount of 7% from the initially set interest rate, after 12 months the interest rate doesn’t change;
- interest capitalization – not applicable;
- interest payment – on monthly basis.
Interest rate the current Central Bank main rate +3% per annum
Term24 month
CurrencySum
Replenishment / WithdrawalNo / No
Дата2022-06-13
- in case of pre-schedule termination until 12 months – re-calculation in the amount of 50% from the initially set interest rate, after 12 months the interest rate doesn’t change;
- interest capitalization – not applicable;
- interest payment – on monthly basis
Interest rate
up to 4%
Term24 month
CurrencyUSD
Replenishment / WithdrawalNo / No
Дата2022-03-18
- in case of pre-schedule termination until 12 months – re-calculation in the amount of 50% from the initially set interest rate, after 12 months the interest rate doesn’t change;
- interest capitalization – not applicable;
- interest payment – on monthly basis
Interest rateup to 2%
Term24 month
CurrencyEuro
Replenishment / WithdrawalNo / No
Дата2022-03-18