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НБТ
  • Macroeconomic Indicators for 2023
  • Monthly inflation for February
    0,3%
  • 3,6%
  • Monetary base, bln. somoni (February)
    36,2
  • Medium-term inflation target
    6% (±2)
  • Monetary policy rates (% per annum)
    • Refinancing Rate
      (from February 12, 2024)9,5
    • 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 (February)5,08%
  • Interest Rate in 2024
  • Average weighted rate on time depos.in national curren (January - February)
    12,57 %
  • Average weighted rate on loans in national curren (January - February )
    23,06 %
  • Average weighted rate of interbank loans. in national curren (January - February)
    13,00%
  • Average weighted interest rate on mortgage (residential) loans. in national curren (February)
    20,74%
  • Average weighted interest rate on consumption loans. in national curren (February)
    23,71%




  • Daily price of Dimensional Gold Bars of the NBT

Date: 28.03.2024

Bars weight,
gr
Repurchase Price,
somoni
Selling Price,
somoni
5 3961.42 4041.45
10 7803.34 7960.98
20 15473.21 15785.81
50 38453.68 39230.52
100 76788.01 78339.28

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

  • Calendar of news
  •       June      

    M T W T F S S
    26 27 28 29 30 31 1
    2 3 4 5 6 7 8
    9 10 11 12 13 14 15
    16 17 18 19 20 21 22
    23 24 25 26 27 28 29
    30 1 2 3 4 5 6
  • Яндекс.Метрика

News

15.11.2010 Exchange rates of foreign currencies in the cash market

The average exchange rate of US dollar in the cash market of the republic has not changed on November 12 and for the days off and has made TJS 4,4680-4,4750.

09.11.2010 Exchange rates of foreign currencies in the cash market

The average exchange rate of US dollar in the cash market of the republic in the days off has slightly raised and has made TJS 4,4680-4,4750.

04.11.2010 Change of foreign currencies exchange rates in the cash market

The average exchange rate of US dollar in the exchange offices of the republic has slightly decreased on November 2-3 and has made TJS 4,4640-4,4700.

01.11.2010 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 29 and for the days off and has made TJS 4,4650-4,4720 for 1 US dollar.

28.10.2010 Exchange rates of foreign currencies in the home market have a little decreased

The average exchange rate of US dollar in exchange bureaus of the republic remained stable relatively and has made TJS 4,4460-4,4630.

25.10.2010 Exchange rate of cash foreign currencies in the home market

The average exchange rate of US dollar on October 22 and for the days off in the exchange bureaus remained stable as last days and has made TJS 4,4690-4,4740.

21.10.2010 The short macroeconomic review and results of activity of banking system of Tajikistan for 9 months of 2010

The results of activity of the National Bank of Tajikistan and banking system of the country for the 9 months of 2010, the course of realization of monetary policy, inflation rate, exchange rate of national currency, volume of remittances, development of banking system, deposits and other actual questions have been discussed during the next press conference of the National Bank of Tajikistan, which took place on October 21, 2010 in the republican press-centre for domestic and foreign journalists.

21.10.2010 Change of exchange rates of foreign currencies in the cash market

The average exchange rate of US dollar in the exchange bureaus of the republic has changed and has made TJS 4,4680-4,4740 on October 19-20, current year.


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