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Note. Monetary policy operations: main application features

Operations Frequency Application period* Type of interest rate Comments
Deposit
Standing Facilities
overnight daily from 05.11.97 to 06.03.03
from 29.03.10 up to date
fixed from 07.03.03 to 28.03.10
the rate was not set up
tom-next daily from 26.11.97 to 16.05.18 fixed the rate set up to 02.03.19
spot-next daily from 09.08.99 to 16.05.18 fixed the rate set up to 02.03.19
1 week daily from 26.11.97 to 16.04.12 fixed the rate set up to 27.07.14
spot — 1 week daily from 09.08.99 to 16.04.12 fixed the rate set up to 27.07.14
2 weeks daily from 08.10.98 to 15.11.02 fixed  
spot — 2 weeks daily from 09.08.99 to 15.11.02 fixed  
1 month daily from 24.02.99 to 15.11.02 fixed  
tom — 1 month once a week from 02.07.12 to 31.01.14 fixed the rate set up to 27.07.14
3 months daily from 24.03.99 to 15.11.02 fixed  
sight daily from 30.08.01 to 16.05.18 floating the rate set up to 02.03.19
Deposit Auctions from 1 to 6 days
“fine-tuning”
on decision from 17.02.14 up to date fixed  
1 week once a week
under liquidity surplus
from 10.04.12 up to date fixed  
2 weeks once a week from 21.11.02 to 31.01.04 fixed the rate from 17.02.03
4 weeks
1 month
once a week from 01.02.04 to 30.06.12 fixed the rate set up to 27.07.14
3 months once a week from 27.05.03 to 31.12.10 fixed the rate set up to 27.07.14
Repo
Standing Facilities
1 day daily from 28.11.07 up to date fixed  
1 week daily from 28.11.07 to 30.04.09 fixed the rate set up to 27.07.14
1 year daily from 22.06.09 to 15.07.09 fixed the rate from 05.06.09 to 30.11.14
Repo Auctions 1 day daily
(twice a day)
from 18.11.02 to 31.01.14 fixed the rate from 17.02.03
from 1 to 6 days
“fine-tuning”
on decision from 03.02.14 up to date fixed  
1 week once a week
(from 17.04.12 under liquidity deficit)
from 14.10.03 up to date fixed  
90 days
3 months
from 14.10.03 to 29.02.08 once a month
from 22.06.09 once two weeks
from 01.04.10 once a week
from 01.04.11 once a month
from 14.10.03 to 31.01.14 fixed the rate from 14.10.03 to 27.07.14
6 months once four weeks from 29.06.09 to 31.03.10 fixed the rate from 11.12.08 to 27.07.14
12 months from 15.06.09 once four weeks
from 01.04.12 once a quarter
from 15.06.09 to 28.02.10
from 01.04.12 to 31.01.14
fixed the rate from 11.12.08 to 27.07.14;
restart from 22.06.20, once per month, with floating rate
USD/RUB and EUR/RUB buy/sell FX Swaps on the ruble leg daily from 26.09.02 to 06.04.22 fixed  
on the FX leg from 11.06.04 to 06.04.22 fixed from 11.06.04 and 03.10.05 to 17.06.12 — central banks’ rates;
from 18.06.12 to 22.12.16 — zero;
from 23.12.16 to 31.12.21 — Libor
(on 1-day loans in corresponding foreign currencies);
from 01.01.22 — SOFR and ESTR
Overnight Loans 1 day daily from 19.06.98 up to date fixed  
Lombard Loan
Standing Facilities
1 day daily from 28.11.07 up to date fixed  
7 days daily from 11.04.05 to 16.04.12 fixed the rate set up to 27.07.14
30 days daily from 20.10.08 to 09.02.11 fixed the rate set up to 27.07.14
Lombard Loan
Auctions
1 week twice a week

once a week
(from 17.04.12 under liquidity deficit)
from 08.07.98 to 01.07.02

from 30.04.10 to 31.01.14
fixed the rate set up to 27.07.14
2 weeks once a week from 14.10.03 to 29.04.10 fixed  
3 months  from 20.10.08 once a week
from 01.01.11 once a month
from 20.10.08 to 31.01.14 fixed the rate set up to 27.07.14
6 months once a month   from 01.01.09 to 30.09.10 fixed the rate from 11.12.08 to 27.07.14
12 months from 01.01.09 once a month
from 01.04.12 once a quarter
from 01.01.09 to 29.04.10
from 01.04.12 to 31.01.14
fixed the rate from 11.12.08 to 27.07.14
36 months on decision from 11.12.14 to 30.06.16 floating the rate set up to 28.07.19
Loans secured by non-marketable assets or guarantees
(Regulation No 312-P;
from
01.10.18 — the Terms and Conditions for the Issue and Redemption of Loans)
1 day daily from 03.03.08 up to date fixed  
from 2 to 30 days daily from 03.03.08 up to date from 16.12.14 — floating  
from 31 to 90 days daily from 20.10.08 up to date from 16.12.14 — floating  
from 91 to 180 days daily from 01.12.08 to 09.02.11
from 01.01.11 up to date
from 30.06.14 — floating  
from 181 to 365 days daily from 20.01.09 to 29.04.10
from 02.04.12 to 15.10.23
from 30.06.14 — floating  
from 365 to 549 days daily from 30.06.14 to 15.10.23 from 30.06.14 — floating  
Loan Auctions
(non-marketable assets)
1-3 недели on decision from 19.12.14 to 30.06.16 fixed the rate set up to 28.07.19
3 months once a quarter
from 01.01.14 once a month 
under liquidity deficit
from 16.09.13 up to date floating no auctions from April, 2016
as for as there was no sustainable liquidity deficit
12 months on decision from 15.07.13 to 15.10.14 floating  
18 months on decision from 16.10.14 to 30.06.16 floating the rate set up to 28.07.19
Loans secured by gold (Regulation No 362-P) 1 day daily from 29.08.11 to 31.03.17 fixed the rate set up to 16.07.17
from 2 to 90 days daily from 29.08.11 to 31.03.17 from 16.12.14 — floating the rate set up to 16.07.17
from 91 to 180 days daily from 01.11.11 to 31.03.17 from 30.06.14 — floating the rate set up to 16.07.17
from 181 to 365 days daily from 02.04.12 to 31.03.17 from 30.06.14 — floating the rate set up to 16.07.17
from 365 to 549 days daily from 30.06.14 to 31.03.17 from 30.06.14 — floating the rate set up to 16.07.17
Loans secured by non-marketable assets
(Regulation No 273-P)
from 1 to 90 days daily from 29.08.05 to 31.12.08 fixed  
from 91 to 180 days daily fixed  
Loans secured by non-marketable assets
(Regulation No 122-P)
daily from 09.10.00 to 01.03.08 fixed  
FOR REFERENCE:        
Refinancing rate   from 01.01.92 up to date   from 01.01.16 the refinancing rate
 equals to the key rate
Key rate   from 16.09.13 up to date    

* The specified operations with the specified frequency.

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Last updated on: 03.11.2023