Interest rates and exchange rates
Interest rate on the deposit facility
with effect from March 12, 2025
2.50%
Interest rate on the main refinancing operations
with effect from March 12, 2025
2.65%
Interest rate on the marginal lending facility
with effect from March 12, 2025
2.90%
Base rate
with effect from March 12, 2025
2.03%
Reference rate
with effect from March 12, 2025
3.15%