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The value of the main refinancing operations (MRO) rate for each working day. The main refinancing operations (MRO) rate is the interest rate banks pay when they borrow money from the ECB for one week. This rate is set by the The Governing Council of the ECB.
| 指数 | 当前值 | 日期 |
|---|---|---|
| Armenia Borrowed Funds Rate on every day basis | 5 % | 2026-06-19 |
| Botswana 7-day certificates’ rate | 5,5 % | 2026-06-19 |
| Botswana Rate of Certificates of Deposit (1 month) | 6,01 % | 2026-06-19 |
| Botswana’s Monetary Policy Rate | 5,5 % | 2026-06-19 |
| Eurozone main refinancing operations (MRO) rate on every working day basis | 2,4 % | 2026-06-19 |
| Japan interest Rate applied to Complementary Deposit Facility on every working day basis | 1 % | 2026-06-19 |
| Key rate of CBR on every working day basis | 14,25 % | 2026-06-22 |
| United Kingdom Base Rate on every working day basis | 3,75 % | 2026-06-19 |
| United States Interest Rate on Reserve Balances (IORB) on every day | 3,65 % | 2026-06-22 |
| United States lower limit of federal funds rate on every day | 3,5 % | 2026-06-20 |
| United States upper limit of federal funds rate on every day | 3,75 % | 2026-06-20 |