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29.11.2002
Information from the Ministry of Finance and the Czech National Bank
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8.11.2002
Agreement on Co-operation between the Czech National Bank and the National Bank of Slovakia
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1.11.2002
Central Register of Credits
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31.10.2002
Change in rates: 2W repo rate 2.75 %, discount rate 1.75 %, Lombard rate 3.75 %
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24.10.2002
The CNB grants consent to Invesmart B.V.
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15.8.2002
CNB and flood
The CNB headquarters in Prague are fully active. For more info: click the title. -
14.8.2002
The Governmental Flood Bank Account has been established
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25.7.2002
Change in rates: 2W repo rate 3.00 %, discount rate 2.00 %, Lombard rate 4.00 %
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11.7.2002
Meeting of the CNB Bank Board
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30.4.2002
Central Register of Credits
On 1 May 2002 the Czech National Bank is launching test operation of the Central Register of Credits. During this test period banks will have the chance to get fully acquainted with the register's functions and to train up the staff who will be using the register's services in their work... -
25.4.2002
Change in rates: 2W repo rate 3.75%, discount rate 2.75%, Lombard rate 4.75%
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10.4.2002
CNB intervenes on the foreign exchange market
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4.4.2002
CNB intervenes on the foreign exchange market
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4.4.2002
Meeting of the CNB Bank Board
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14.2.2002
Appointment of the CNB's Vice-Governor
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8.2.2002
Information of the Czech National Bank on a Change in the Structure of the CNB Ten-Day Balance Sheet from 1 January 2002
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31.1.2002
Change in rates: 2W repo rate 4.25%, discount rate 3.25%, Lombard rate 5.25%
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21.1.2002
Change in rates: 2W repo rate 4.50%, discount rate 3.50%, Lombard rate 5.50%
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17.1.2002
Strategy for Dealing with the Exchange Rate Effects of Capital Inflows from Privatisation of State Property and from Other Foreign Exchange Revenues of the State (pdf, 71 kB)

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