Macro Economic -> Banking and Currency

Structure of Interest Rates
Bank of Uganda 11-Jun 12-Jun 13-Jun 14-Jun 15-Jun
Ways 12.1 16.68 9.52 8.94 12.76
Rediscount rate 15.68 24 14 14 16
Bank rate to
Commercial Banks 16.68 25 15 15 17
Central Banks (CBR) - 20 11 11 13
Treasury Bills (Monthly Average Annualised Discoun
91 Days 12.1 16.68 9.52 8.94 12.76
182 Days 12.41 17.11 11.01 10.42 13.55
273 Days ? ? ? ? ?
364 Days 12.55 16.14 11.65 10.64 14.02
Commercial Banks' (Weighted Average)
Shillings
Deposit Rates (WARD) 2.57 3.5 2.6 2.42 2.69
Demand deposits 1.13 1.32 1.51 1.79 1.5
Savings deposits 2.3 3.27 3.12 2.31 3.26
Time Deposits (7-12 months) 11.01 19.9 12.26 9.82 10.39
Lending Rates 19.94 27.02 22.72 21.55 22.34
Foreign Currency
Deposit Rates (WARD) 1.33 1.24 1.37 1.49 1.32
Demand deposits 1.09 0.95 1.01 0.96 0.96
Savings deposits 1.49 1.53 1.66 1.52 1.51
Time Fixed Deposits 2.4 5.22 4.46 4.31 3.97
Lending Rates 9.43 8.44 10.11 9.03 9.87
Source: Uganda Bureau of Statistics
Date of last Update: 2018-03-18
Units: UGX
Frequency of Update: Annual

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