Interest rates on deposts - Tables Methodological Explanations Table: Choose category Kamatne stope na depozite stanovnistva Kamatne stope na depozite nefinansijskih preduzeca In percent At the annual level Year Month Deposits in KM and indexed to EUR Deposits in EUR Deposits in EUR Deposits in foreign currency with agreed maturity overnight with agreed maturity overnight with agreed maturity overnight up to 1 year maturity over 1 and up to 2 years maturity over 2 years maturity up to 1 year maturity over 1 and up to 2 years maturity over 2 years maturity 1 2 3 4 5 6 7 8 9 10 11 12 2012. 01. 2,268 3,548 3,781 0,183 2,410 3,384 5,151 0,412 1,508 0,122 2012. 02. 2,257 3,594 3,841 0,202 2,205 3,554 4,981 0,554 2,090 0,145 2012. 03. 2,204 3,562 3,543 0,203 2,435 3,661 4,535 0,632 1,178 0,161 2012. 04. 2,272 3,765 3,622 0,176 3,019 3,973 3,858 0,488 2,156 0,114 2012. 05. 2,262 3,597 4,138 0,161 2,720 3,829 4,144 0,559 1,504 0,099 2012. 06. 2,147 3,552 3,925 0,157 2,439 3,797 4,162 0,363 1,689 0,097 2012. 07. 2,510 3,661 4,426 0,155 2,586 3,824 4,526 0,303 1,602 0,094 2012. 08. 2,296 3,533 3,879 0,134 2,570 3,730 4,028 0,249 2,140 0,076 2012. 09. 2,374 3,599 3,269 0,167 2,498 3,672 4,078 0,398 1,848 0,095 2012. 10. 2,234 3,496 3,557 0,159 2,531 3,688 4,075 0,393 2,084 0,096 2012. 11. 2,350 3,212 3,705 0,163 2,221 3,439 4,020 0,352 2,142 0,092 2012. 12. 2,079 3,205 4,441 0,140 2,384 3,343 4,022 0,342 1,953 0,092 2013. 01. 2,169 3,209 4,035 0,139 2,228 3,354 3,887 0,349 1,707 0,090 2013. 02. 2,120 3,484 3,835 0,135 2,200 3,452 4,188 0,342 1,653 0,089 2013. 03. 1,957 3,182 3,796 0,134 2,243 3,279 4,158 0,345 1,465 0,090 2013. 04. 1,959 3,459 3,584 0,133 2,239 3,268 3,784 0,318 1,793 0,090 2013. 05. 2,117 3,157 3,541 0,157 2,253 3,338 3,915 0,305 2,054 0,082 2013. 06. 2,244 3,282 3,675 0,138 2,281 3,438 4,203 0,264 2,875 0,087 2013. 07. 2,116 3,301 3,712 0,125 2,238 3,212 4,071 0,262 1,195 0,081 2013. 08. 2,228 3,399 3,639 0,119 2,312 3,355 4,094 0,254 1,350 0,088 2013. 09. 2,116 3,320 3,614 0,116 2,293 3,282 4,199 0,246 1,707 0,076 2013. 10. 2,186 3,324 3,483 0,117 2,248 3,328 4,010 0,245 1,400 0,075 2013. 11. 1,956 3,233 3,676 0,116 2,115 3,330 4,104 0,242 1,348 0,075 2013. 12. 1,973 3,190 3,866 0,116 2,068 3,190 4,054 0,240 1,232 0,075 2014. 01. 2,015 3,125 3,625 0,111 2,025 3,074 3,931 0,228 1,874 0,075 2014. 02. 1,911 3,188 3,571 0,113 1,902 3,196 3,860 0,219 1,622 0,077 2014. 03. 1,887 3,275 3,553 0,097 1,913 3,194 4,016 0,209 1,687 0,078 2014. 04. 1,632 3,205 3,355 0,104 1,801 3,335 3,568 0,221 1,947 0,097 2014. 05. 1,646 3,212 3,305 0,094 1,696 3,207 3,579 0,198 1,921 0,078 2014. 06. 1,405 3,298 3,258 0,095 1,510 3,232 3,832 0,202 1,437 0,079 Interest rates on overnight deposits refer to outstending amounts Interest rates on deposit with agreed maturity refer to new business ... insufficient data to be published Foreign currency deposits include all foreign currencies except EUR