
某银行基准利率表.docx
23页中央银行基准利率 单位:年利率%调整时间法定准备金超额准备金对金融机构贷款再贴现一年六个月三个月二十天1996.05.018.82 8.82 10.98 10.17 10.08 9.00 **1996.08.238.28 7.92 10.62 10.17 9.72 9.00 **1997.10.237.56 7.02 9.36 9.09 8.82 8.55 **1998.03.215.22 7.92 7.02 6.84 6.39 6.03 1998.07.013.51 5.67 5.58 5.49 5.22 4.32 1998.12.073.24 5.13 5.04 4.86 4.59 3.96 1999.06.102.07 3.78 3.69 3.51 3.24 2.16 2001.09.11 2.97 2002.02.211.89 3.24 3.15 2.97 2.70 2.97 2003.12.21 1.62 2004.03.25 3.87 3.78 3.60 3.33 3.24 2005.03.17 0.99 2008.01.01 4.68 4.59 4.41 4.14 4.32 2008.11.271.620.723.603.513.333.062.972008.12.23 3.33 3.24 3.06 2.79 1.80 注:1.1998年3月法定准备金和超额准备金两个帐户合并为准备金帐户。
2.**按同档次中央银行贷款利率下浮5-10% 中中国银行基准准利率表金融机构人民币贷款基准利率 单位:年利率%调整时间六个月以内(含六个月)六个月至一年(含一年)一至三年(含三年)三至五年(含五年)五年以上1991.04.218.10 8.64 9.00 9.54 9.72 1993.05.158.82 9.36 10.80 12.06 12.24 1993.07.119.00 10.98 12.24 13.86 14.04 1995.01.019.00 10.98 12.96 14.58 14.76 1995.07.0110.08 12.06 13.50 15.12 15.30 1996.05.019.72 10.98 13.14 14.94 15.12 1996.08.239.18 10.08 10.98 11.70 12.42 1997.10.237.65 8.64 9.36 9.90 10.53 1998.03.257.02 7.92 9.00 9.72 10.35 1998.07.016.57 6.93 7.11 7.65 8.01 1998.12.076.12 6.39 6.66 7.20 7.56 1999.06.105.58 5.85 5.94 6.03 6.21 2002.02.215.04 5.31 5.49 5.58 5.76 2004.10.295.22 5.58 5.76 5.85 6.12 2006.04.285.40 5.85 6.03 6.12 6.39 2006.08.195.58 6.12 6.30 6.48 6.84 2007.03.185.67 6.39 6.57 6.75 7.11 2007.05.195.85 6.57 6.75 6.93 7.20 2007.07.216.03 6.84 7.02 7.20 7.38 2007.08.226.21 7.02 7.20 7.38 7.56 2007.09.156.48 7.29 7.47 7.65 7.83 2007.12.216.57 7.47 7.56 7.74 7.83 2008.09.166.21 7.20 7.29 7.56 7.74 2008.10.096.12 6.93 7.02 7.29 7.47 2008.10.306.03 6.66 6.75 7.02 7.20 2008.11.275.045.585.675.946.122008.12.234.86 5.31 5.40 5.76 5.94 数数据来源:金融机构人民币币存款基准利利率 单位:年利率%%调整时间活期存款定 期 存存 款三个月半年一年二年三年五年1990.044.152.88 6.30 7.74 10.08 10.98 11.88 13.68 1990.088.212.16 4.32 6.48 8.64 9.36 10.08 11.52 1991.044.211.80 3.24 5.40 7.56 7.92 8.28 9.00 1993.055.152.16 4.86 7.20 9.18 9.90 10.80 12.06 1993.077.113.15 6.66 9.00 10.98 11.70 12.24 13.86 1996.055.012.97 4.86 7.20 9.18 9.90 10.80 12.06 1996.088.231.98 3.33 5.40 7.47 7.92 8.28 9.00 1997.100.231.71 2.88 4.14 5.67 5.94 6.21 6.66 1998.033.251.71 2.88 4.14 5.22 5.58 6.21 6.66 1998.077.011.44 2.79 3.96 4.77 4.86 4.95 5.22 1998.122.071.44 2.79 3.33 3.78 3.96 4.14 4.50 1999.066.100.99 1.98 2.16 2.25 2.43 2.70 2.88 2002.022.210.72 1.71 1.89 1.98 2.25 2.52 2.79 2004.100.290.72 1.71 2.07 2.25 2.70 3.24 3.60 2006.088.190.72 1.80 2.25 2.52 3.06 3.69 4.14 2007.033.180.72 1.98 2.43 2.79 3.33 3.96 4.41 2007.055.190.72 2.07 2.61 3.06 3.69 4.41 4.95 2007.077.210.81 2.34 2.88 3.33 3.96 4.68 5.22 2007.088.220.81 2.61 3.15 3.60 4.23 4.95 5.49 2007.099.150.81 2.88 3.42 3.87 4.50 5.22 5.76 2007.122.210.72 3.33 3.78 4.14 4.68 5.40 5.85 2008.100.090.72 3.15 3.51 3.87 4.41 5.13 5.58 2008.100.300.72 2.88 3.24 3.60 4.14 4.77 5.13 2008.111.270.361.982.252.523.063.603.872008.122.230.36 1.71 1.98 2.25 2.79 3.33 3.60 1998年以来来境内美元存存款利率调整整表(年利率:%) 日期活期七天通知定期一个月三个月六个月一年二年1998.011.011.50003.06254.62504.75004.87505.00005.50001998.066.121.50003.03134.56254.62504.75004.87505.37501998.099.231.50002.75004.00004.06254.12504.25004.75001998.100.271.50002.50003.50003.56253.62503.75004.25001999.033.091.50002.78134.06254.12504.18754.43754.93752000.055.292.00003.06254.12504.31254.56255.00005.50002000.099.212.00003.31254.62504.87505.06255.50005.62502000.122.232.00003.06254.18754.43754.52605.00005.03122001.011.131.50002.56253.68753.87504.06254.12504.18752001.022.071.50002.43753.43753.62503.75003.81253.87502001.033.291.00002.00003.06253.25003.37503.43753.50002001.055.011.00001.81252.62502.75002.93753.00003.06。












