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НБТ
  • Macroeconomic Indicators for 2022
  • Monthly inflation for June
    0,2%
  • 8,3%
  • Monetary base, bln. somoni (June)
    32,3
  • Medium-term inflation target
    6% (±2)
  • Monetary policy rates (% per annum)
    • Refinancing Rate
      (from October 25, 2021)13,25
    • Overnight loans rate - refinancing rate +3p.p.
    • Overnight deposits rate - refinancing rate -3p.p.
    • Reserve requirement ratio,
      national currency3,0
    • Reserve requirement ratio,
      foreign currency9,0
    • Average rate on NBT's
      securities (June)12,41
  • Interest Rate in 2022 (% annual)
  • Average weighted rate on time depos.in national curren (January-June)
    10,39
  • Average weighted rate on loans in national curren (January-June)
    23,83
  • Average weighted rate of interbank loans. in national curren (January-June)
    22,00
  • Average weighted interest rate on mortgage (residential) loans. in national curren (June)
    20,35
  • Average weighted interest rate on consumption loans. in national curren (June)
    16,81




  • Daily price of Dimensional Gold Bars of the NBT

Date: 08.08.2022

Bars weight,
gr
Repurchase Price,
somoni
Selling Price,
somoni
5 3052.34 3114.00
10 6017.55 6139.12
20 11888.75 12128.92
50 29483.23 30078.85
100 58801.40 59989.30

  • Information regording Bars can be obtained via tel:
    44-600-32-77, 44-600-32-48

  • Calendar of news
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    18 19 20 21 22 23 24
    25 26 27 28 29 30 31
  • Яндекс.Метрика

News

11.10.2010 Change of exchange rates of foreign currencies in the cash market

The average exchange rate of US dollar in the exchange offices of the republic as a whole remained stable on October 8 and for the days off and has made TJS 4,4650-4,4700 for 1 USD.

07.10.2010 Exchange rates of cash foreign currencies in the home market

The average exchange rate of US dollar in exchange offices of the republic on October 5-6, this year as a whole remained stable and has made TJS 4,4550-4,4650.

04.10.2010 Exchange rate of cash US dollar in the home market has a little decreased

The average exchange rate of US dollar in the cash market of the republic for the days off has not changed and has on the average made TJS 4,4600-4,4650.

30.09.2010 Change of exchange rates in the home market

On 28-29 September the average rate of US dollar in the cash market has not changed and made TJS 4, 4600-4, 4650.

27.09.2010 Exchange rate of cash US dollar in the home market has kept the tendency to decrease

The average exchange rate of US dollar in the exchange offices on September 24 and for the days off has continued the tendency to decrease and has made TJS 4,4620-4,4710 for 1 US dollar.

24.09.2010 ХХIV 24th session of the Central Banks Governors’ Club of Central Asia, Black Sea Region and Balkan Countries in Dushanbe

24th session of the Central Banks Governors Club of Central Asia, Black Sea Region and Balkan Countries took place on September 24, 2010 in Dushanbe.

23.09.2010 Exchange rate of US dollar has decreased in the cash market

The average exchange rate of US dollar in the exchange offices has a little decreased on September 21-22, 2010 and has made TJS 4,4650-4,4750.

20.09.2010 Exchange rates of foreign currencies in the cash market

The average exchange rates of cash foreign currencies in the home market have a little raised on September 18 and for the days off and have made for 1 US dollar – TJS 4,4670-4,4780, 10 Russian rubles – TJS 1,4220-1,4330 and 1 Euro – TJS 5,7200-5,7700


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