The reference
index value

Period of application by the Bank
Rate-setting reference month
From January 1 to June 30
Benchmark rate for November of the previous year
From July 01 to December 31
Benchmark rate for May of the current year
Period
Applied reference index
January 01, 2026 – June 30, 2026
5,57%
Period of application by the Bank
Rate-setting reference date
From January 01 to June 30
First working day of December of the previous year
From July 01 to December 31
First working day of June of the current year
Period
Currency
Rate (%)
January 01, 2026 – June 30, 2026
USD (SOFR 6M)
4,29%
January 01, 2026 – June 30, 2026
EUR (EURIBOR 6M)
2,12%
Period
MDL
USD (SOFR 6M)
EUR (EURIBOR 6M)
01.07.2025 – 31.12.2025
5,82%
4,40%
2,06%