Turkey Overnight Lending Rate
Interest rates on government bonds are decided by the Monetary Policy Committee of the Central Bank of the Republic of Turkey (TCMB). From June 1st, 2018, the one-week repo rate started to serve as the primary interest rate, with the overnight borrowing and lending rates set at a level 150 basis points below or above the one-week repo rate. The central bank optimized its monetary policy framework on May 28th, 2018, moving away from a different system that had four main key rates, with the late liquidity window loan rate being one of the most closely observed of the four important rates.
Hodnoty vyšší, než se očekává, by měly být považovány za pozitivní (býčí) pro TRY apod očekávané hodnoty by měly být považovány za negativní (medvědí) pro TRY.
Symbol | Komunitní trend (Short vs Long) | Symbol Popularity | Průměr. Krátká cena / Vzdálenost od ceny | Průměrná long cena / Vzdálenost od ceny | Současná cena | |
---|---|---|---|---|---|---|
EURTRY |
|
|
13.7424 -209390 pips |
32.9499 +17315 pips |
34.68138 | |
USDTRY |
|
|
20.0196 -123371 pips |
29.7856 +25711 pips |
32.35670 | |
GBPTRY |
|
|
0 -405118 pips |
40.5832 -714 pips |
40.51181 |