Financial Info


1. Interest rates on the interbank market ROBID/ROBOR

(11 AM) - % per annum
Period ROBID ROBOR
19 Jun.2025 18 Jun.2025 19 Jun.2025 18 Jun.2025
O/N5.455.445.745.74
T/N5.445.445.745.74
1W6.005.976.296.26
1M6.546.556.836.84
3M6.796.797.097.09
6M6.836.837.177.17
12M6.956.957.297.30

»»» New Rules for determining the ROBID and ROBOR reference rates (Operational starting 11 November 2019)  

2. Benchmark index for loans granted to consumers, regulated by GEO 19/2019

Period Index (% p.a.)
2025Q1 5.55

»»»
Index calculated on the basis of the National Commission for Strategy and Prognosis Rules (Romanian only) published on the National Commission for Strategy and Prognosis website

3. Interbank market deposits

(daily averages)
Period Outstanding Transactions
Volume Interest Rate Volume Interest Rate
(Lei mill.) (% per annum) (Lei mill.) (% per annum)
18 Jun.2025 3,673.86.26 507.35.60
May.2025 3,899.66.44 2,106.86.37

»»»  

4. The NBR Interest Rates (Monetary policy rates)

(% per annum)
Valid since: Policy rate Lending facility Deposit facility
8 Aug.2024 6.50 7.50 5.50

»»» Revision Date: 16 May.2025 (latest Board's monetary policy meeting)

5. Open Market Operations

(last two records)
Op. Type Dates Alloted amount
(Lei mill.)
Average Interest Rate
(% per annum)
Tender Maturity
Repo 16 Jun.2025 23 Jun.2025 2,000.06.50
Repo 10 Jun.2025 16 Jun.2025 3,500.06.50

»»»  

6. Forex market operations

(equivalent to EUR mill., daily averages)
Period Purchases from clients Sales to clients Interbank operations Total operations
May.2025 2,322.4 2,694.9 801.2 3,505.7
Apr.2025 2,585.7 2,750.1 433.0 3,183.0

»»»  

7. Government securities - Operations on the primary market

(last two records)
Type Dates Currency Alloted amount (mill.) Yield Rate (% p.a.) Coupon Rate
(% p.a.)
Issuance/  Reopening    Maturity     Base auction Non-competitive session   Total     Avg.   Max. 
GB, interest23 Jun.202528 Apr.2027RON 1,399.9-1,399.97.337.347.40
GB, interest23 Jun.202527 Jul.2031RON 788.0-788.07.517.527.65

»»» GB = Government Bonds, TC = Treasury Certificates

8. Government securities – Buy-back Operations

(latest two records)
Type Date Currency Alloted amount (mill.) Yield Rate (% p.a.) Coupon Rate
(% p.a.)
  settlement       maturity      Avg.   Max. 
GB, interest 24 Jun.2022 19 Dec.2022RON0.0--3.50

more »»» GB = Government Bonds

9. Government securities – Exchange Operations

(latest auction)
Type Date Currency Alloted amount (mill.) Yield Rate (% p.a.) Coupon Rate
(% p.a.)
   settlement      maturity     Avg.   Max. 
GB, interest 20 Jun.2025 24 Feb.2038RON294.67.307.307.90
GB, interest 20 Jun.2025 28 Jul.2025RON141.8--3.65
GB, interest 20 Jun.2025 25 Nov.2025RON169.3--3.50

more »»» Titluri new/reopend issues in exchange with old issues

10. Government Securities Reference Rates

(12:00) - %
Period BID ASK
19 Jun.2025 18 Jun.2025 19 Jun.2025 18 Jun.2025
6 Months7.077.086.756.75
12 Months7.147.146.836.83
3 Years7.397.387.157.18
5 Years7.517.517.307.32
10 Years7.487.527.257.31

»»»

11. Government securities - Operations on the secondary market

(daily averages)
Period Lei Euro
Number Volume
(Lei mill.)
Number Volume
(EUR mill.)
18 Jun.2025163 4,602.51 9.8
May.2025 214 7,947.1 3 19.3

»»»