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CNB > Financial markets > Money market information > PRIBOR > Fixing of Interest Rates on Interbank Deposits - PRIBOR

Fixing of Interest Rates on Interbank Deposits - PRIBOR

říjen 2014:
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31 Oct 2014

Term PRIBID PRIBOR
1 day 0.01 0.15
1 week 0.02 0.16
2 weeks 0.02 0.17
1 month 0.03 0.27
2 months 0.03 0.28
3 months 0.04 0.35
6 months 0.06 0.41
9 months 0.13 0.48
1 year 0.16 0.51

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