The volume of cash flows on the banking system in the Republic of Moldova, mil. of MDL,; Memo items, February 2024; Official Reserve Assets and other foreign currency assets, February 2024; Information on financial and economic activities of banks, January 2024; Information on financial and economic activities of banks, December 2023; Statement of changes in equity, savings and loan associations, aggregated by system,; Cash Foreign Exchange Market, February 2024; Balance sheet, savings and loan associations, aggregated by system,; Profit and loss statement, savings and loan associations, aggregated by system,; Reference interbank market interest rates, 27 March 2024; The volume of cash flows on the banking system in the Republic of Moldova, mil. of MDL,; Information note on off-balance-sheet items, savings and loan associations, aggregated by system,; Reference interbank market interest rates, 25 March 2024; Reference interbank market interest rates, 26 March 2024; Classification of loan asset and related interest for consultation of provisions, savings and loan associations, aggregated by system,; General data, savings and loan associations, aggregated by system,; Cashflow statement, savings and loan associations, aggregated by system,; Annex to the profit and loss statement, savings and loan associations, aggregated by system,; Presentation of balance sheet accounting items, savings and loan associations, aggregated by system,; Official reserve assets and other foreign currency assets, 15 March 2024; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), February 2024; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, February 2024; Contingent short-term net drains on foreign currency assets, February 2024; Average interest rate on interest bearing demand deposits,; Predetermined short-term net drains on foreign currency assets, February 2024; Interest rates on monetary regulation instruments of NBM, 21 March 2024; Reference interbank market interest rates, 21 March 2024; Exposure to liquidity risk, savings and loan associations, aggregated by system,; Reference interbank market interest rates, 22 March 2024; Classification of loans granted by purpose, savings and loan associations, aggregated by system,; Foreign exchange market supply and demand, February 2024; Foreign exchange assets and liabilities of the licensed banks, February 2024; The volume of cash flows on the banking system in the Republic of Moldova, mil. of MDL,; The structure of credit portofolio of the banking sector (by currency), February 2024; The structure of credit portofolio of the banking sector (by debtor), February 2024; Clasification of credit portofolio of the banking sector (on branches) , February 2024; Information on financial and economic activities of banks, February 2024; The structure o f credit portofolio of the banking sector (on branches), February 2024; Non-cash Foreign Exchange Market, February 2024; NBM's activity on the interbank market (data shown according to trade date), February 2024; Monetary survey, December 2023; Income Statement, December 2023; Balance Sheet on the banking sector, December 2023; The structure of deposits of the banking sector, December 2023; Balance Sheet on the banking sector, January 2024; The structure of deposits of the banking sector, February 2024; Balance Sheet on the banking sector, February 2024; Income Statement, February 2024; Weighted average nominal interest rates on loans and deposits balances,; Weighted average nominal interest rates and volumes on new granted loans,; Monetary survey, February 2024; The weighted average interest rates and volumes on new attracted deposits,; Average interest rates on interbank transactions, February 2024; Reference interbank market interest rates, 20 March 2024; Reference interbank market interest rates, 19 March 2024; Required reserves maintained by banks in FCC, January 2024; Required reserves maintained by banks in MDL, January 2024; Reference interbank market interest rates, 18 March 2024; Official reserve assets and other foreign currency assets, 07 March 2024; Reference interbank market interest rates, 12 March 2024; Reference interbank market interest rates, 15 March 2024; Reference interbank market interest rates, 14 March 2024; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 29 February 2024; Reference interbank market interest rates, 07 March 2024; Reference interbank market interest rates, 13 March 2024; Reference interbank market interest rates, 06 March 2024; Reference interbank market interest rates, 11 March 2024; Reference interbank market interest rates, 05 March 2024; Official reserve assets and other foreign currency assets, 01 March 2024; Reference interbank market interest rates, 04 March 2024; NBM Money Market Operations, February 2024; Standing Facilities, February 2024; Official reserve assets and other foreign currency assets, 23 February 2024; Commercial banks activity on the money market, February 2024; Weighted average yields on Government Securities of the RM, February 2024; Monetary survey, February 2024; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 01 March 2024; Reference interbank market interest rates, 28 February 2024; Reference interbank market interest rates, 29 February 2024; Reference interbank market interest rates, 27 February 2024; Reference interbank market interest rates, 26 February 2024; Information on financial and economic activities of banks, January 2024; Official reserve assets and other foreign currency assets, 09 February 2024; Predetermined short-term net drains on foreign currency assets, January 2024; Contingent short-term net drains on foreign currency assets, January 2024; Official reserve assets and other foreign currency assets, 16 February 2024; Non-cash Foreign Exchange Market, January 2024; Average interest rate on interest bearing demand deposits,; Memo items, January 2024; Reference interbank market interest rates, 23 February 2024; Reference interbank market interest rates, 11 March 2024; Official Reserve Assets and other foreign currency assets, January 2024; NBM's activity on the interbank market (data shown according to trade date), January 2024; Reference interbank market interest rates, 22 February 2024; Reference interbank market interest rates, 06 March 2024; Money Transfers from Abroad in Favor of Individuals (net basis), January 2024; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, January 2024; Cash Foreign Exchange Market, January 2024; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 21 February 2024; Foreign exchange market supply and demand, January 2024; Clasification of credit portofolio of the banking sector (on branches) , January 2024; The structure of credit portofolio of the banking sector (by debtor), January 2024; The structure o f credit portofolio of the banking sector (on branches), January 2024; Average interest rates on interbank transactions, January 2024; The weighted average interest rates and volumes on new attracted deposits,; Weighted average nominal interest rates and volumes on new granted loans,; Weighted average nominal interest rates on loans and deposits balances,; Monetary survey, January 2024; The structure of credit portofolio of the banking sector (by currency), January 2024; The structure of deposits of the banking sector, January 2024; Income Statement, January 2024; Reference interbank market interest rates, 20 February 2024; Reference interbank market interest rates, 19 February 2024; Predetermined short-term net drains on foreign currency assets, January 2024; Balance Sheet on the banking sector, January 2024; Predetermined short-term net drains on foreign currency assets, January 2024; Information on financial and economic activities of banks, January 2024; Foreign exchange assets and liabilities of the licensed banks, January 2024; Predetermined short-term net drains on foreign currency assets, January 2024; Average interest rate on interest bearing demand deposits,; Required reserves maintained by banks in FCC, December 2023; Reference interbank market interest rates, 16 February 2024; Required reserves maintained by banks in MDL, December 2023; Official reserve assets and other foreign currency assets, 09 February 2024; Official reserve assets and other foreign currency assets, 02 February 2024; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 15 February 2024; Reference interbank market interest rates, 09 February 2024; Number of users registered in automated remote service systems (ARSS),; Reference interbank market interest rates, 14 February 2024; Reference interbank market interest rates, 13 February 2024; Foreign exchange market supply and demand, December 2023; Reference interbank market interest rates, 12 February 2024; Official reserve assets and other foreign currency assets, 31 January 2024; Reference interbank market interest rates, 07 February 2024; Interest rates on monetary regulation instruments of NBM, 06 February 2024; Number and amount of transactions carried out through automated remote service systems (ARSS),; Reference interbank market interest rates, 08 February 2024; Number of users registered in automated remote service systems (ARSS),; Reference interbank market interest rates, 06 February 2024; Number and amount of transactions carried out through automated remote service systems (ARSS),; Reference interbank market interest rates, 05 February 2024; Cards issued by payment service providers in the Republic of Moldova, 2023; Monetary survey, January 2024; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), 2023; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Official reserve assets and other foreign currency assets, 26 January 2024; NBM Money Market Operations, January 2024; Reference interbank market interest rates, 02 February 2024; Average interest rate on interest bearing demand deposits,; Commercial banks activity on the money market, January 2024; Weighted average yields on Government Securities of the RM, January 2024; Standing Facilities, January 2024; Reference interbank market interest rates, 01 February 2024; Reference interbank market interest rates, 30 January 2024; Reference interbank market interest rates, 31 January 2024; Reference interbank market interest rates, 29 January 2024; Official reserve assets and other foreign currency assets, 19 January 2024; Reference interbank market interest rates, 26 January 2024; Average interest rate on interest bearing demand deposits,; The structure of credit portofolio of the banking sector (by debtor), December 2023; Information note on off-balance-sheet items, savings and loan associations, aggregated by system,; Classification of loans granted by purpose, savings and loan associations, aggregated by system,; Exposure to liquidity risk, savings and loan associations, aggregated by system,; Annex to the profit and loss statement, savings and loan associations, aggregated by system,; Reference interbank market interest rates, 07 February 2024; Presentation of balance sheet accounting items, savings and loan associations, aggregated by system,; General data, savings and loan associations, aggregated by system,; Classification of loan asset and related interest for consultation of provisions, savings and loan associations, aggregated by system,; Cashflow statement, savings and loan associations, aggregated by system,; Number and amount of transactions carried out through automated remote service systems (ARSS),; Statement of changes in equity, savings and loan associations, aggregated by system,; Profit and loss statement, savings and loan associations, aggregated by system,; Number of users registered in automated remote service systems (ARSS),; Number and amount of transactions carried out through automated remote service systems (ARSS),; Balance sheet, savings and loan associations, aggregated by system,; Memo items, December 2023; Contingent short-term net drains on foreign currency assets, December 2023; Official Reserve Assets and other foreign currency assets, December 2023; Predetermined short-term net drains on foreign currency assets, December 2023; Reference interbank market interest rates, 25 January 2024; Reference interbank market interest rates, 24 January 2024; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, December 2023; Non-cash Foreign Exchange Market, December 2023; NBM's activity on the interbank market (data shown according to trade date), December 2023; The structure of credit portofolio of the banking sector (by currency), December 2023; Reference interbank market interest rates, 23 January 2024; Clasification of credit portofolio of the banking sector (on branches) , December 2023; The structure o f credit portofolio of the banking sector (on branches), December 2023; Money Transfers from Abroad in Favor of Individuals (net basis), December 2023; Money Transfers from Abroad in Favor of Individuals (gross basis),; Foreign exchange assets and liabilities of the licensed banks, December 2023; The structure of credit portofolio of the banking sector (by debtor), December 2023; Information on financial and economic activities of banks, December 2023; Reference interbank market interest rates, 22 January 2024; Cash Foreign Exchange Market, December 2023; Weighted average nominal interest rates and volumes on new granted loans,; Foreign exchange market supply and demand, December 2023; The weighted average interest rates and volumes on new attracted deposits,; Average interest rates on interbank transactions, December 2023; Average interest rate on interest bearing demand deposits,; Weighted average nominal interest rates and volumes on new granted loans,; The weighted average interest rates and volumes on new attracted deposits,; Weighted average nominal interest rates on loans and deposits balances,; Monetary survey, December 2023; Official reserve assets and other foreign currency assets, 12 January 2024; Income Statement, December 2023; The structure of deposits of the banking sector, December 2023; Balance Sheet on the banking sector, December 2023; Reference interbank market interest rates, 18 January 2024; Reference interbank market interest rates, 19 January 2024; Required reserves maintained by banks in MDL, November 2023; Required reserves maintained by banks in FCC, November 2023; Reference interbank market interest rates, 17 January 2024; Reference interbank market interest rates, 16 January 2024; Reference interbank market interest rates, 15 January 2024; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 05 January 2024; Reference interbank market interest rates, 12 January 2024; Reference interbank market interest rates, 11 January 2024; Reference interbank market interest rates, 10 January 2024; Reference interbank market interest rates, 09 January 2024; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, September 2023; Reference interbank market interest rates, 05 January 2024; Official reserve assets and other foreign currency assets, 29 December 2023; Reference interbank market interest rates, 04 January 2024; Reference interbank market interest rates, 03 January 2024; Average interest rate on interest bearing demand deposits,; Commercial banks activity on the money market, December 2023; Standing Facilities, December 2023; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Reference interbank market interest rates, 02 January 2024; Monetary survey, December 2023; NBM Money Market Operations, December 2023; Weighted average yields on Government Securities of the RM, December 2023; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; International investment position (BPM6) in analytic presentation, by maturity,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; International investment position (BPM6) in analytic presentation, by sector,; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Integrated international investment position statement (BPM6),; International investment position (BPM6) in analytic presentation, by instruments,; Official reserve assets and other foreign currency assets, 22 December 2023; International investment position (BPM6), standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 29 December 2023; Reference interbank market interest rates, 28 December 2023; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Information on financial and economic activities of banks, September 2023; Information on financial and economic activities of banks, October 2023; Memo items, November 2023; Reference interbank market interest rates, 27 December 2023; Reference interbank market interest rates, 26 December 2023; Contingent short-term net drains on foreign currency assets, November 2023; Official Reserve Assets and other foreign currency assets, November 2023; Predetermined short-term net drains on foreign currency assets, November 2023; Reference interbank market interest rates, 22 December 2023; NBM's activity on the interbank market (data shown according to trade date), November 2023; Non-cash Foreign Exchange Market, November 2023; Official reserve assets and other foreign currency assets, 15 December 2023; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, November 2023; Money Transfers from Abroad in Favor of Individuals (net basis), November 2023; Money Transfers from Abroad in Favor of Individuals (gross basis),; Cash Foreign Exchange Market, November 2023; Required reserves maintained by banks in FCC, October 2023; Clasification of credit portofolio of the banking sector (on branches) , November 2023; The structure o f credit portofolio of the banking sector (on branches), November 2023; Required reserves maintained by banks in MDL, October 2023; Reference interbank market interest rates, 21 December 2023; Foreign exchange assets and liabilities of the licensed banks, November 2023; Foreign exchange market supply and demand, November 2023; The structure of credit portofolio of the banking sector (by currency), November 2023; Weighted average nominal interest rates and volumes on new granted loans,; The weighted average interest rates and volumes on new attracted deposits,; Reference interbank market interest rates, 28 December 2023; Information on financial and economic activities of banks, November 2023; The structure of credit portofolio of the banking sector (by debtor), November 2023; Weighted average nominal interest rates on loans and deposits balances,; Monetary survey, November 2023; Average interest rates on interbank transactions, November 2023; The structure of deposits of the banking sector, November 2023; Reference interbank market interest rates, 20 December 2023; Income Statement, November 2023; Balance Sheet on the banking sector, November 2023; Reference interbank market interest rates, 18 December 2023; Reference interbank market interest rates, 19 December 2023; Official reserve assets and other foreign currency assets, 08 December 2023; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 15 December 2023; Interest rates on monetary regulation instruments of NBM, 14 December 2023; Reference interbank market interest rates, 14 December 2023; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 13 December 2023; Reference interbank market interest rates, 12 December 2023; Reference interbank market interest rates, 11 December 2023; Reference interbank market interest rates, 08 December 2023; Official reserve assets and other foreign currency assets, 01 December 2023; Official reserve assets and other foreign currency assets, 30 November 2023; Reference interbank market interest rates, 07 December 2023; Cashflow statement, savings and loan associations, aggregated by system,; Reference interbank market interest rates, 06 December 2023; Cashflow statement, savings and loan associations, aggregated by system,; Balance sheet, savings and loan associations, aggregated by system,; Balance sheet, savings and loan associations, aggregated by system,; Reference interbank market interest rates, 05 December 2023; Monetary survey, November 2023; Standing Facilities, November 2023; Reference interbank market interest rates, 04 December 2023; Weighted average yields on Government Securities of the RM, November 2023; NBM Money Market Operations, November 2023; Commercial banks activity on the money market, November 2023; Official reserve assets and other foreign currency assets, 24 November 2023; Report on general data, aggregated by system, non-bank credit organizations, aggregated by system,; Classification of loan asset and related interest for consultation of provisions, aggregated by system, non-bank credit organizations, aggregated by system,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 01 December 2023; Report on income and expenditure, aggregated by system, non-bank credit organizations, aggregated by system,; Exposure to liquidity risk, savings and loan associations, aggregated by system,; Reference interbank market interest rates, 30 November 2023; Classification of loans granted by purpose, savings and loan associations, aggregated by system,; Reference interbank market interest rates, 29 November 2023; Information note on off-balance-sheet items, savings and loan associations, aggregated by system,; Information note on off-balance-sheet items, savings and loan associations, aggregated by system,; Report on cash flow, aggregated by system, non-bank credit organizations, aggregated by system,; Classification of loan asset and related interest for consultation of provisions, savings and loan associations, aggregated by system,; Exposure to liquidity risk, savings and loan associations, aggregated by system,; General data, savings and loan associations, aggregated by system,; Annex to the profit and loss statement, savings and loan associations, aggregated by system,; Presentation of balance sheet accounting items,; Classification of loan asset and related interest for consultation of provisions,; General data,; Statement of changes in equity,; Cashflow statement,; Cashflow statement,; Statement of changes in equity,; Profit and loss statement,; Profit and loss statement,; Report on the financial situation, aggregated by system,; Balance sheet,; Balance sheet,; Reference interbank market interest rates, 28 November 2023; Reference interbank market interest rates, 27 November 2023; Memo items, October 2023; Contingent short-term net drains on foreign currency assets, October 2023; Predetermined short-term net drains on foreign currency assets, October 2023; Official Reserve Assets and other foreign currency assets, October 2023; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 17 November 2023; Reference interbank market interest rates, 24 November 2023; Reference interbank market interest rates, 23 November 2023; Non-cash Foreign Exchange Market, October 2023; NBM's activity on the interbank market (data shown according to trade date), October 2023; Information on financial and economic activities of banks, December 2022; Reference interbank market interest rates, 22 November 2023; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, October 2023; Money Transfers from Abroad in Favor of Individuals (net basis), October 2023; Money Transfers from Abroad in Favor of Individuals (gross basis),; Information on financial and economic activities of banks, September 2023; Reference interbank market interest rates, 21 November 2023; Foreign exchange assets and liabilities of the licensed banks, October 2023; Foreign exchange assets and liabilities of the licensed banks, October 2023; Weighted average nominal interest rates on loans and deposits balances,; Monetary survey, October 2023; Clasification of credit portofolio of the banking sector (on branches) , October 2023; The structure o f credit portofolio of the banking sector (on branches), October 2023; The structure of credit portofolio of the banking sector (by debtor), October 2023; Information on financial and economic activities of banks, October 2023; Average interest rate on interest bearing demand deposits,; The structure of credit portofolio of the banking sector (by currency), October 2023; Cash Foreign Exchange Market, October 2023; Foreign exchange market supply and demand, October 2023; Income Statement, October 2023; Balance Sheet on the banking sector, October 2023; Weighted average nominal interest rates and volumes on new granted loans,; Average interest rates on interbank transactions, October 2023; Reference interbank market interest rates, 20 November 2023; The structure of deposits of the banking sector, October 2023; The weighted average interest rates and volumes on new attracted deposits,; Reference interbank market interest rates, 16 November 2023; Required reserves maintained by banks in FCC, September 2023; Required reserves maintained by banks in MDL, September 2023; Official reserve assets and other foreign currency assets, 10 November 2023; Reference interbank market interest rates, 17 November 2023; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 10 November 2023; Reference interbank market interest rates, 13 November 2023; Reference interbank market interest rates, 14 November 2023; Reference interbank market interest rates, 15 November 2023; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 3 2023; Reference interbank market interest rates, 30 October 2023; Cards issued by payment service providers in the Republic of Moldova, Trimestrul 3 2023; Money Transfers from Abroad in Favor of Individuals (net basis), September 2023; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, September 2023; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 02 November 2023; Reference interbank market interest rates, 07 November 2023; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 31 October 2023; Official reserve assets and other foreign currency assets, 03 November 2023; Standing Facilities, October 2023; Weighted average yields on Government Securities of the RM, October 2023; Official reserve assets and other foreign currency assets, 20 October 2023; Reference interbank market interest rates, 27 October 2023; Reference interbank market interest rates, 09 November 2023; Reference interbank market interest rates, 01 November 2023; Reference interbank market interest rates, 26 October 2023; Interest rates on monetary regulation instruments of NBM, 07 November 2023; Reference interbank market interest rates, 06 November 2023; Memo items, September 2023; NBM Money Market Operations, October 2023; Reference interbank market interest rates, 08 November 2023; Official reserve assets and other foreign currency assets, 27 October 2023; Contingent short-term net drains on foreign currency assets, September 2023; Reference interbank market interest rates, 03 November 2023; Commercial banks activity on the money market, October 2023; Official Reserve Assets and other foreign currency assets, September 2023; Predetermined short-term net drains on foreign currency assets, September 2023; Reference interbank market interest rates, 31 October 2023; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Reference interbank market interest rates, 25 October 2023; Non-cash Foreign Exchange Market, September 2023; NBM's activity on the interbank market (data shown according to trade date), September 2023; Reference interbank market interest rates, 24 October 2023; Reference interbank market interest rates, 23 October 2023; The structure o f credit portofolio of the banking sector (on branches), September 2023; The structure of credit portofolio of the banking sector (by debtor), September 2023; Clasification of credit portofolio of the banking sector (on branches) , September 2023; The structure of credit portofolio of the banking sector (by currency), September 2023; Information on financial and economic activities of banks, September 2023; Foreign exchange assets and liabilities of the licensed banks, September 2023; The structure of deposits of the banking sector, September 2023; Income Statement, September 2023; The weighted average interest rates and volumes on new attracted deposits,; Weighted average nominal interest rates and volumes on new granted loans,; Average interest rates on interbank transactions, September 2023; Average interest rate on interest bearing demand deposits,; Balance Sheet on the banking sector, September 2023; Weighted average nominal interest rates on loans and deposits balances,; Foreign exchange assets and liabilities of the licensed banks, September 2023; Monetary survey, September 2023; Foreign exchange market supply and demand, September 2023; Official reserve assets and other foreign currency assets, 13 October 2023; Cash Foreign Exchange Market, September 2023; Information on financial and economic activities of banks, June 2023; Information on financial and economic activities of banks, July 2023; Reference interbank market interest rates, 19 October 2023; Reference interbank market interest rates, 18 October 2023; Reference interbank market interest rates, 17 October 2023; Required reserves maintained by banks in FCC, August 2023; Required reserves maintained by banks in MDL, August 2023; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, June 2023; Reference interbank market interest rates, 16 October 2023; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Coordinated Direct Investment Survey by Economic Activities, CEAM-2 (rev.2), stock at year-end, US$ million,; Coordinated Direct Investment Survey by Economic Activities, CEAM-2 (rev.2), stock at year-end, US$ million,; Reference interbank market interest rates, 13 October 2023; Official reserve assets and other foreign currency assets, 06 October 2023; Reference interbank market interest rates, 12 October 2023; Coordinated Direct Investment Survey by country, 2022; Coordinated Direct Investment Survey by country, 2021; Reference interbank market interest rates, 11 October 2023; Reference interbank market interest rates, 10 October 2023; Reference interbank market interest rates, 09 October 2023; Monetary survey, September 2023; Coordinated Direct Investment Survey by Economic Activities, CEAM-2 (rev.2), stock at year-end, US$ million,; Reference interbank market interest rates, 06 October 2023; Official reserve assets and other foreign currency assets, 29 September 2023; Reference interbank market interest rates, 05 October 2023; Reference interbank market interest rates, 04 October 2023; NBM Money Market Operations, September 2023; Reference interbank market interest rates, 03 October 2023; Commercial banks activity on the money market, September 2023; Weighted average yields on Government Securities of the RM, September 2023; Standing Facilities, September 2023; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Reference interbank market interest rates, 02 October 2023; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 29 September 2023; International investment position (BPM6), standard presentation,; Integrated international investment position statement (BPM6),; International investment position (BPM6) in analytic presentation, by instruments,; International investment position (BPM6) in analytic presentation, by sector,; International investment position (BPM6) in analytic presentation, by maturity,; Coordinated Direct Investment Survey by Economic Activities, CEAM-2 (rev.2), stock at year-end, US$ million,; International investment position (BPM6), standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Integrated international investment position statement (BPM6),; Integrated international investment position statement (BPM6),; Integrated international investment position statement (BPM6),; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Official reserve assets and other foreign currency assets, 22 September 2023; Average interest rate on interest bearing demand deposits,; Clasification of credit portofolio of the banking sector (on branches) , August 2023; The structure o f credit portofolio of the banking sector (on branches), August 2023; Reference interbank market interest rates, 28 September 2023; Reference interbank market interest rates, 27 September 2023; Reference interbank market interest rates, 26 September 2023; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Official Reserve Assets and other foreign currency assets, August 2023; Predetermined short-term net drains on foreign currency assets, August 2023; Memo items, August 2023; Contingent short-term net drains on foreign currency assets, August 2023; Reference interbank market interest rates, 25 September 2023; Reference interbank market interest rates, 22 September 2023; Official reserve assets and other foreign currency assets, 15 September 2023; Average interest rate on interest bearing demand deposits,; NBM's activity on the interbank market (data shown according to trade date), August 2023; Non-cash Foreign Exchange Market, August 2023; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, August 2023; Money Transfers from Abroad in Favor of Individuals (net basis), August 2023; Money Transfers from Abroad in Favor of Individuals (gross basis),; Cash Foreign Exchange Market, August 2023; Foreign exchange assets and liabilities of the licensed banks, August 2023; Monetary survey, August 2023; Foreign exchange market supply and demand, August 2023; Reference interbank market interest rates, 21 September 2023; The weighted average interest rates and volumes on new attracted deposits,; Weighted average nominal interest rates and volumes on new granted loans,; Average interest rate on interest bearing demand deposits,; Information on financial and economic activities of banks, August 2023; The structure of deposits of the banking sector, August 2023; The structure o f credit portofolio of the banking sector (on branches), August 2023; Clasification of credit portofolio of the banking sector (on branches) , August 2023; The structure of credit portofolio of the banking sector (by debtor), August 2023; The structure of credit portofolio of the banking sector (by currency), August 2023; Balance Sheet on the banking sector, August 2023; Income Statement, August 2023; Average interest rates on interbank transactions, August 2023; Weighted average nominal interest rates on loans and deposits balances,; Reference interbank market interest rates, 20 September 2023; Required reserves maintained by banks in FCC, July 2023; Required reserves maintained by banks in MDL, July 2023; Interest rates on monetary regulation instruments of NBM, 19 September 2023; Reference interbank market interest rates, 18 September 2023; Reference interbank market interest rates, 19 September 2023; Official reserve assets and other foreign currency assets, 08 September 2023; Reference interbank market interest rates, 15 September 2023; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 14 September 2023; Reference interbank market interest rates, 13 September 2023; Official reserve assets and other foreign currency assets, 01 September 2023; Reference interbank market interest rates, 11 September 2023; Reference interbank market interest rates, 12 September 2023; Reference interbank market interest rates, 08 September 2023; Reference interbank market interest rates, 07 September 2023; Official reserve assets and other foreign currency assets, 30 August 2023; Monetary survey, August 2023; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 06 September 2023; Reference interbank market interest rates, 04 September 2023; Reference interbank market interest rates, 05 September 2023; Weighted average yields on Government Securities of the RM, August 2023; NBM Money Market Operations, August 2023; Commercial banks activity on the money market, August 2023; Reference interbank market interest rates, 01 September 2023; Official reserve assets and other foreign currency assets, 25 August 2023; Standing Facilities, August 2023; Reference interbank market interest rates, 30 August 2023; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 2 2023; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 1 2023; Memo items, July 2023; Reference interbank market interest rates, 29 August 2023; Reference interbank market interest rates, 28 August 2023; Official reserve assets and other foreign currency assets, 18 August 2023; NBM's activity on the interbank market (data shown according to trade date), July 2023; Contingent short-term net drains on foreign currency assets, July 2023; Official Reserve Assets and other foreign currency assets, July 2023; Predetermined short-term net drains on foreign currency assets, July 2023; Reference interbank market interest rates, 25 August 2023; Non-cash Foreign Exchange Market, July 2023; Reference interbank market interest rates, 23 August 2023; Reference interbank market interest rates, 22 August 2023; Reference interbank market interest rates, 24 August 2023; Cash Foreign Exchange Market, July 2023; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, July 2023; Money Transfers from Abroad in Favor of Individuals (net basis), July 2023; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 21 August 2023; Clasification of credit portofolio of the banking sector (on branches) , July 2023; The structure o f credit portofolio of the banking sector (on branches), July 2023; Foreign exchange market supply and demand, July 2023; The structure of credit portofolio of the banking sector (by currency), July 2023; Foreign exchange assets and liabilities of the licensed banks, July 2023; The structure of credit portofolio of the banking sector (by debtor), July 2023; Information on financial and economic activities of banks, July 2023; Monetary survey, July 2023; Monetary survey, June 2023; Official reserve assets and other foreign currency assets, 11 August 2023; Average interest rates on interbank transactions, July 2023; Average interest rate on interest bearing demand deposits,; The weighted average interest rates and volumes on new attracted deposits,; Weighted average nominal interest rates and volumes on new granted loans,; Weighted average nominal interest rates on loans and deposits balances,; The structure of deposits of the banking sector, July 2023; Income Statement, June 2023; Income Statement, July 2023; Balance Sheet on the banking sector, June 2023; Balance Sheet on the banking sector, July 2023; Reference interbank market interest rates, 18 August 2023; Reference interbank market interest rates, 17 August 2023; Reference interbank market interest rates, 16 August 2023; Required reserves maintained by banks in MDL, June 2023; Required reserves maintained by banks in FCC, June 2023; Reference interbank market interest rates, 15 August 2023; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 14 August 2023; Official reserve assets and other foreign currency assets, 04 August 2023; Reference interbank market interest rates, 11 August 2023; Interest rates on monetary regulation instruments of NBM, 09 August 2023; Reference interbank market interest rates, 10 August 2023; Reference interbank market interest rates, 09 August 2023; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 2 2023; Monetary survey, July 2023; Reference interbank market interest rates, 08 August 2023; Official reserve assets and other foreign currency assets, 31 July 2023; Reference interbank market interest rates, 07 August 2023; NBM's activity on the interbank market (data shown according to trade date), June 2023; Non-cash Foreign Exchange Market, June 2023; Cards issued by payment service providers in the Republic of Moldova, Trimestrul 2 2023; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Reference interbank market interest rates, 04 August 2023; Official reserve assets and other foreign currency assets, 28 July 2023; Reference interbank market interest rates, 17 August 2023; Reference interbank market interest rates, 03 August 2023; Reference interbank market interest rates, 02 August 2023; Commercial banks activity on the money market, July 2023; NBM Money Market Operations, July 2023; Weighted average yields on Government Securities of the RM, July 2023; Standing Facilities, July 2023; The structure o f credit portofolio of the banking sector (on branches), June 2023; Reference interbank market interest rates, 01 August 2023; Reference interbank market interest rates, 31 July 2023; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 28 July 2023; Reference interbank market interest rates, 27 July 2023; Official reserve assets and other foreign currency assets, 21 July 2023; Reference interbank market interest rates, 26 July 2023; Memo items, June 2023; Reference interbank market interest rates, 25 July 2023; Contingent short-term net drains on foreign currency assets, June 2023; Predetermined short-term net drains on foreign currency assets, June 2023; Official Reserve Assets and other foreign currency assets, June 2023; The structure of credit portofolio of the banking sector (by currency), June 2023; Information on financial and economic activities of banks, June 2023; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, June 2023; Clasification of credit portofolio of the banking sector (on branches) , June 2023; Reference interbank market interest rates, 21 July 2023; The structure of credit portofolio of the banking sector (by debtor), June 2023; Cash Foreign Exchange Market, June 2023; Reference interbank market interest rates, 24 July 2023; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), June 2023; The weighted average interest rates and volumes on new attracted deposits,; Weighted average nominal interest rates and volumes on new granted loans,; Weighted average nominal interest rates on loans and deposits balances,; Foreign exchange assets and liabilities of the licensed banks, June 2023; Foreign exchange market supply and demand, June 2023; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 14 July 2023; Monetary survey, June 2023; Income Statement, June 2023; The structure of deposits of the banking sector, June 2023; Weighted average nominal interest rates on loans and deposits balances,; The structure o f credit portofolio of the banking sector (on branches), June 2023; Average interest rates on interbank transactions, June 2023; Reference interbank market interest rates, 20 July 2023; Balance Sheet on the banking sector, June 2023; Required reserves maintained by banks in FCC, May 2023; Reference interbank market interest rates, 19 July 2023; Reference interbank market interest rates, 18 July 2023; The structure o f credit portofolio of the banking sector (on branches), June 2023; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; The structure of credit portofolio of the banking sector (by currency), June 2023; Required reserves maintained by banks in MDL, May 2023; Reference interbank market interest rates, 17 July 2023; Reference interbank market interest rates, 14 July 2023; Official reserve assets and other foreign currency assets, 07 July 2023; Reference interbank market interest rates, 13 July 2023; Reference interbank market interest rates, 12 July 2023; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, March 2023; Foreign exchange assets and liabilities of the licensed banks, May 2023; Reference interbank market interest rates, 11 July 2023; Reference interbank market interest rates, 10 July 2023; Reference interbank market interest rates, 07 July 2023; Reference interbank market interest rates, 06 July 2023; Official reserve assets and other foreign currency assets, 30 June 2023; Reference interbank market interest rates, 05 July 2023; International investment position (BPM6) in analytic presentation, by sector,; Reference interbank market interest rates, 04 July 2023; Commercial banks activity on the money market, June 2023; Monetary survey, June 2023; Standing Facilities, June 2023; Weighted average yields on Government Securities of the RM, June 2023; Reference interbank market interest rates, 03 July 2023; NBM Money Market Operations, June 2023; International investment position (BPM6), standard presentation,; Integrated international investment position statement (BPM6),; International investment position (BPM6) in analytic presentation, by instruments,; International investment position (BPM6) in analytic presentation, by maturity,; Reference interbank market interest rates, 30 June 2023; Average interest rate on interest bearing demand deposits,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Official reserve assets and other foreign currency assets, 23 June 2023; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 29 June 2023; Reference interbank market interest rates, 27 June 2023; Reference interbank market interest rates, 28 June 2023; Memo items, May 2023; Contingent short-term net drains on foreign currency assets, May 2023; Predetermined short-term net drains on foreign currency assets, May 2023; Reference interbank market interest rates, 26 June 2023; Official Reserve Assets and other foreign currency assets, May 2023; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 23 June 2023; Official reserve assets and other foreign currency assets, 16 June 2023; Reference interbank market interest rates, 22 June 2023; Number and amount of transactions carried out through automated remote service systems (ARSS),; Number of users registered in automated remote service systems (ARSS),; Foreign exchange market supply and demand, May 2023; Foreign exchange assets and liabilities of the licensed banks, May 2023; Foreign exchange assets and liabilities of the licensed banks, May 2023; Cash Foreign Exchange Market, May 2023; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, May 2023; Money Transfers from Abroad in Favor of Individuals (net basis), May 2023; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 21 June 2023; Information on financial and economic activities of banks, May 2023; The structure o f credit portofolio of the banking sector (on branches), May 2023; Clasification of credit portofolio of the banking sector (on branches) , May 2023; The structure of credit portofolio of the banking sector (by debtor), May 2023; The structure of credit portofolio of the banking sector (by currency), May 2023; Interest rates on monetary regulation instruments of NBM, 20 June 2023; The structure of deposits of the banking sector, December 2022; The structure of deposits of the banking sector, May 2023; Balance Sheet on the banking sector, December 2022; Income Statement, December 2022; Reference interbank market interest rates, 19 June 2023; Income Statement, May 2023; Balance Sheet on the banking sector, May 2023; Average interest rates on interbank transactions, May 2023; Non-cash Foreign Exchange Market, May 2023; Weighted average nominal interest rates and volumes on new granted loans,; NBM's activity on the interbank market (data shown according to trade date), May 2023; Official reserve assets and other foreign currency assets, 09 June 2023; Required reserves maintained by banks in MDL, April 2023; Reference interbank market interest rates, 20 June 2023; Monetary survey, May 2023; Monetary survey, April 2023; Reference interbank market interest rates, 15 June 2023; Required reserves maintained by banks in FCC, April 2023; Monetary survey, December 2022; Monetary survey, March 2023; Reference interbank market interest rates, 16 June 2023; Reference interbank market interest rates, 13 June 2023; Reference interbank market interest rates, 14 June 2023; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 12 June 2023; Reference interbank market interest rates, 09 June 2023; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 08 June 2023; Reference interbank market interest rates, 07 June 2023; Official reserve assets and other foreign currency assets, 31 May 2023; Commercial banks activity on the money market, May 2023; Reference interbank market interest rates, 06 June 2023; NBM Money Market Operations, May 2023; Weighted average yields on Government Securities of the RM, May 2023; Standing Facilities, May 2023; Reference interbank market interest rates, 05 June 2023; Reference interbank market interest rates, 31 May 2023; Official reserve assets and other foreign currency assets, 26 May 2023; Reference interbank market interest rates, 30 May 2023; Average interest rate on interest bearing demand deposits,; Monetary survey, May 2023; Reference interbank market interest rates, 26 May 2023; Reference interbank market interest rates, 25 May 2023; Official reserve assets and other foreign currency assets, 19 May 2023; Contingent short-term net drains on foreign currency assets, April 2023; Predetermined short-term net drains on foreign currency assets, April 2023; Reference interbank market interest rates, 29 May 2023; Memo items, April 2023; Reference interbank market interest rates, 24 May 2023; NBM's activity on the interbank market (data shown according to trade date), April 2023; Non-cash Foreign Exchange Market, April 2023; Clasification of credit portofolio of the banking sector (on branches) , April 2023; Official Reserve Assets and other foreign currency assets, April 2023; Reference interbank market interest rates, 23 May 2023; The structure of credit portofolio of the banking sector (by currency), April 2023; The structure o f credit portofolio of the banking sector (on branches), April 2023; The structure of credit portofolio of the banking sector (by debtor), April 2023; Information on financial and economic activities of banks, April 2023; Money Transfers from Abroad in Favor of Individuals (net basis), April 2023; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, April 2023; Foreign exchange assets and liabilities of the licensed banks, April 2023; Foreign exchange market supply and demand, April 2023; Cash Foreign Exchange Market, April 2023; Reference interbank market interest rates, 22 May 2023; Monetary survey, September 2022; Monetary survey, December 2022; Monetary survey, November 2022; Monetary survey, October 2022; Monetary survey, January 2023; Monetary survey, August 2022; Monetary survey, February 2023; Monetary survey, March 2023; Monetary survey, April 2023; Weighted average nominal interest rates and volumes on new granted loans,; The weighted average interest rates and volumes on new attracted deposits,; Weighted average nominal interest rates on loans and deposits balances,; Average interest rate on interest bearing demand deposits,; Income Statement, December 2022; Balance Sheet on the banking sector, December 2022; Clasification of credit portofolio of the banking sector (on branches) , April 2023; Income Statement, April 2023; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; The structure of deposits of the banking sector, April 2023; Clasification of credit portofolio of the banking sector (on branches) , April 2023; Balance Sheet on the banking sector, April 2023; Official reserve assets and other foreign currency assets, 12 May 2023; Reference interbank market interest rates, 19 May 2023; Average interest rates on interbank transactions, April 2023; Cards issued by payment service providers in the Republic of Moldova, Trimestrul 1 2023; Reference interbank market interest rates, 18 May 2023; Reference interbank market interest rates, 17 May 2023; Required reserves maintained by banks in FCC, March 2023; Required reserves maintained by banks in MDL, March 2023; Reference interbank market interest rates, 16 May 2023; Average interest rate on interest bearing demand deposits,; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 1 2023; Reference interbank market interest rates, 15 May 2023; Reference interbank market interest rates, 13 May 2023; Official reserve assets and other foreign currency assets, 05 May 2023; Reference interbank market interest rates, 12 May 2023; Interest rates on monetary regulation instruments of NBM, 11 May 2023; Reference interbank market interest rates, 11 May 2023; Reference interbank market interest rates, 10 May 2023; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 28 April 2023; Reference interbank market interest rates, 05 May 2023; Commercial banks activity on the money market, April 2023; Monetary survey,; Reference interbank market interest rates, 04 May 2023; Reference interbank market interest rates, 03 May 2023; NBM Money Market Operations, April 2023; Weighted average yields on Government Securities of the RM, April 2023; Standing Facilities, April 2023; Reference interbank market interest rates, 02 May 2023; Average interest rate on interest bearing demand deposits,; Information on financial and economic activities of banks, March 2023; NBM's activity on the interbank market (data shown according to trade date), March 2023; Non-cash Foreign Exchange Market, March 2023; Reference interbank market interest rates, 28 April 2023; Official reserve assets and other foreign currency assets, 21 April 2023; Reference interbank market interest rates, 27 April 2023; Official Reserve Assets and other foreign currency assets, March 2023; Reference interbank market interest rates, 26 April 2023; Reference interbank market interest rates, 25 April 2023; Memo items, March 2023; Predetermined short-term net drains on foreign currency assets, March 2023; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, March 2023; Contingent short-term net drains on foreign currency assets, March 2023; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), March 2023; Foreign exchange market supply and demand, March 2023; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, December 2022; Average interest rate on interest bearing demand deposits,; The structure of credit portofolio of the banking sector (by currency), March 2023; Cash Foreign Exchange Market, March 2023; Reference interbank market interest rates, 21 April 2023; Foreign exchange assets and liabilities of the licensed banks, March 2023; The structure of credit portofolio of the banking sector (by debtor), March 2023; Official reserve assets and other foreign currency assets, 14 April 2023; Monetary survey,; The structure o f credit portofolio of the banking sector (on branches), March 2023; Information on financial and economic activities of banks, March 2023; Clasification of credit portofolio of the banking sector (on branches) , March 2023; Weighted average nominal interest rates on loans and deposits balances,; The weighted average interest rates and volumes on new attracted deposits,; Average interest rates on interbank transactions, March 2023; Weighted average nominal interest rates and volumes on new granted loans,; Monetary survey,; Reference interbank market interest rates, 20 April 2023; Income Statement, January 2023; Income Statement, December 2022; Balance Sheet on the banking sector, February 2023; Official Reserve Assets and other foreign currency assets, March 2023; Balance Sheet on the banking sector, January 2023; Balance Sheet on the banking sector, December 2022; Income Statement, March 2023; Balance Sheet on the banking sector, March 2023; The structure of deposits of the banking sector, March 2023; Monetary survey,; Reference interbank market interest rates, 19 April 2023; Required reserves maintained by banks in FCC, February 2023; Official reserve assets and other foreign currency assets, 07 April 2023; Required reserves maintained by banks in MDL, February 2023; Reference interbank market interest rates, 18 April 2023; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Monetary survey,; Reference interbank market interest rates, 14 April 2023; Reference interbank market interest rates, 13 April 2023; Cards issued by payment service providers in the Republic of Moldova, 2022; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), 2022; Reference interbank market interest rates, 12 April 2023; Reference interbank market interest rates, 11 April 2023; Monetary survey,; Monetary survey,; Reference interbank market interest rates, 07 April 2023; Reference interbank market interest rates, 10 April 2023; Official reserve assets and other foreign currency assets, 31 March 2023; Reference interbank market interest rates, 05 April 2023; Reference interbank market interest rates, 06 April 2023; Reference interbank market interest rates, 04 April 2023; NBM Money Market Operations, March 2023; Commercial banks activity on the money market, March 2023; Standing Facilities, March 2023; Weighted average yields on Government Securities of the RM, March 2023; Reference interbank market interest rates, 03 April 2023; Number of users registered in automated remote service systems (ARSS),; Average interest rate on interest bearing demand deposits,; Number and amount of transactions carried out through automated remote service systems (ARSS),; International investment position (BPM6) in analytic presentation, by sector,; Integrated international investment position statement (BPM6),; International investment position (BPM6) in analytic presentation, by instruments,; International investment position (BPM6), standard presentation,; International investment position (BPM6) in analytic presentation, by maturity,; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 31 March 2023; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 4 2022; Official reserve assets and other foreign currency assets, 24 March 2023; Reference interbank market interest rates, 30 March 2023; Reference interbank market interest rates, 29 March 2023; Reference interbank market interest rates, 28 March 2023; Reference interbank market interest rates, 27 March 2023; Average interest rate on interest bearing demand deposits,; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Cards issued by payment service providers in the Republic of Moldova, Trimestrul 4 2022; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 3 2022; Cards issued by payment service providers in the Republic of Moldova, Trimestrul 3 2022; Reference interbank market interest rates, 24 March 2023; Contingent short-term net drains on foreign currency assets, February 2023; Predetermined short-term net drains on foreign currency assets, February 2023; Memo items, February 2023; Official reserve assets and other foreign currency assets, 17 March 2023; Official Reserve Assets and other foreign currency assets, February 2023; Reference interbank market interest rates, 23 March 2023; NBM's activity on the interbank market (data shown according to trade date), February 2023; Non-cash Foreign Exchange Market, February 2023; Foreign exchange market supply and demand, February 2023; Reference interbank market interest rates, 22 March 2023; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, February 2023; Money Transfers from Abroad in Favor of Individuals (net basis), February 2023; Money Transfers from Abroad in Favor of Individuals (gross basis),; Cash Foreign Exchange Market, February 2023; Foreign exchange assets and liabilities of the licensed banks, February 2023; The structure o f credit portofolio of the banking sector (on branches), February 2023; The structure of credit portofolio of the banking sector (by debtor), February 2023; Reference interbank market interest rates, 21 March 2023; Interest rates on monetary regulation instruments of NBM, 20 March 2023; The structure of credit portofolio of the banking sector (by currency), February 2023; Clasification of credit portofolio of the banking sector (on branches) , February 2023; Information on financial and economic activities of banks, February 2023; Average interest rate on interest bearing demand deposits,; Average interest rates on interbank transactions, February 2023; Weighted average nominal interest rates and volumes on new granted loans,; The weighted average interest rates and volumes on new attracted deposits,; Weighted average nominal interest rates on loans and deposits balances,; Monetary survey,; Balance Sheet on the banking sector, December 2022; Income Statement, December 2022; The structure of deposits of the banking sector, February 2023; Income Statement, February 2023; Balance Sheet on the banking sector, February 2023; Reference interbank market interest rates, 20 March 2023; Reference interbank market interest rates, 17 March 2023; Official reserve assets and other foreign currency assets, 10 March 2023; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Required reserves maintained by banks in FCC, January 2023; Required reserves maintained by banks in MDL, January 2023; Reference interbank market interest rates, 16 March 2023; Monetary survey,; Reference interbank market interest rates, 15 March 2023; Reference interbank market interest rates, 14 March 2023; Reference interbank market interest rates, 13 March 2023; Reference interbank market interest rates, 10 March 2023; The structure o f credit portofolio of the banking sector (on branches), February 2023; Official reserve assets and other foreign currency assets, 03 March 2023; Reference interbank market interest rates, 09 March 2023; Reference interbank market interest rates, 07 March 2023; Official reserve assets and other foreign currency assets, 28 February 2023; Reference interbank market interest rates, 06 March 2023; Official reserve assets and other foreign currency assets, 24 February 2023; Reference interbank market interest rates, 03 March 2023; Information on financial and economic activities of banks, January 2023; Reference interbank market interest rates, 02 March 2023; Reference interbank market interest rates, 27 February 2023; Monetary survey,; Commercial banks activity on the money market, February 2023; Standing Facilities, February 2023; NBM's activity on the interbank market (data shown according to trade date), January 2023; NBM Money Market Operations, February 2023; Weighted average yields on Government Securities of the RM, February 2023; Reference interbank market interest rates, 01 March 2023; Reference interbank market interest rates, 28 February 2023; Memo items, January 2023; Predetermined short-term net drains on foreign currency assets, January 2023; Contingent short-term net drains on foreign currency assets, January 2023; Non-cash Foreign Exchange Market, January 2023; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 22 February 2023; Reference interbank market interest rates, 24 February 2023; Money Transfers from Abroad in Favor of Individuals (net basis), January 2023; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, January 2023; Official Reserve Assets and other foreign currency assets, January 2023; Official reserve assets and other foreign currency assets, 17 February 2023; Cash Foreign Exchange Market, January 2023; Reference interbank market interest rates, 23 February 2023; Foreign exchange assets and liabilities of the licensed banks, January 2023; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 21 February 2023; The structure of credit portofolio of the banking sector (by debtor), January 2023; Clasification of credit portofolio of the banking sector (on branches) , January 2023; The structure of credit portofolio of the banking sector (by currency), January 2023; Foreign exchange market supply and demand, January 2023; Foreign exchange assets and liabilities of the licensed banks, January 2023; Monetary survey,; Average interest rates on interbank transactions, January 2023; Information on financial and economic activities of banks, January 2023; The weighted average interest rates and volumes on new attracted deposits,; Weighted average nominal interest rates and volumes on new granted loans,; The structure o f credit portofolio of the banking sector (on branches), January 2023; Reference interbank market interest rates, 27 February 2023; Weighted average nominal interest rates on loans and deposits balances,; Average interest rate on interest bearing demand deposits,; Income Statement, December 2022; Balance Sheet on the banking sector, December 2022; The structure of deposits of the banking sector, January 2023; Income Statement, January 2023; Balance Sheet on the banking sector, January 2023; Reference interbank market interest rates, 20 February 2023; Official reserve assets and other foreign currency assets, 10 February 2023; Reference interbank market interest rates, 17 February 2023; Required reserves maintained by banks in MDL, December 2022; Required reserves maintained by banks in FCC, December 2022; Reference interbank market interest rates, 16 February 2023; Reference interbank market interest rates, 15 February 2023; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Monetary survey,; Reference interbank market interest rates, 14 February 2023; Reference interbank market interest rates, 13 February 2023; Reference interbank market interest rates, 10 February 2023; Official reserve assets and other foreign currency assets, 03 February 2023; Reference interbank market interest rates, 09 February 2023; Reference interbank market interest rates, 08 February 2023; Interest rates on monetary regulation instruments of NBM, 07 February 2023; Monetary survey,; Official reserve assets and other foreign currency assets, 31 January 2023; Reference interbank market interest rates, 07 February 2023; Reference interbank market interest rates, 06 February 2023; Official reserve assets and other foreign currency assets, 27 January 2023; Reference interbank market interest rates, 03 February 2023; Reference interbank market interest rates, 02 February 2023; Commercial banks activity on the money market, January 2023; Standing Facilities, January 2023; NBM Money Market Operations, January 2023; Weighted average yields on Government Securities of the RM, January 2023; Reference interbank market interest rates, 01 February 2023; Reference interbank market interest rates, 31 January 2023; Reference interbank market interest rates, 30 January 2023; Reference interbank market interest rates, 27 January 2023; Reference interbank market interest rates, 28 January 2023; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 20 January 2023; Reference interbank market interest rates, 26 January 2023; Reference interbank market interest rates, 25 January 2023; Non-cash Foreign Exchange Market, December 2022; Official Reserve Assets and other foreign currency assets, December 2022; Contingent short-term net drains on foreign currency assets, December 2022; Predetermined short-term net drains on foreign currency assets, December 2022; Memo items, December 2022; Reference interbank market interest rates, 24 January 2023; Cash Foreign Exchange Market, December 2022; NBM's activity on the interbank market (data shown according to trade date), December 2022; Foreign exchange assets and liabilities of the licensed banks, December 2022; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 3 2022; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Cards issued by payment service providers in the Republic of Moldova, Trimestrul 3 2022; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, December 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 23 January 2023; Foreign exchange market supply and demand, December 2022; Clasification of credit portofolio of the banking sector (on branches) , December 2022; The structure o f credit portofolio of the banking sector (on branches), December 2022; The structure of credit portofolio of the banking sector (by debtor), December 2022; Weighted average nominal interest rates on loans and deposits balances,; Money Transfers from Abroad in Favor of Individuals (net basis), December 2022; Information on financial and economic activities of banks, December 2022; Average interest rate on interest bearing demand deposits,; Average interest rates on interbank transactions, December 2022; Weighted average nominal interest rates and volumes on new granted loans,; The structure of credit portofolio of the banking sector (by currency), December 2022; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new attracted deposits,; The structure of deposits of the banking sector, December 2022; Weighted average nominal interest rates and volumes on new granted loans,; Income Statement, December 2022; Monetary survey,; Balance Sheet on the banking sector, December 2022; Reference interbank market interest rates, 20 January 2023; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, September 2022; Official reserve assets and other foreign currency assets, 13 January 2023; Reference interbank market interest rates, 19 January 2023; Reference interbank market interest rates, 17 January 2023; Reference interbank market interest rates, 18 January 2023; Required reserves maintained by banks in MDL, November 2022; Required reserves maintained by banks in FCC, November 2022; Reference interbank market interest rates, 16 January 2023; Reference interbank market interest rates, 13 January 2023; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 06 January 2023; Reference interbank market interest rates, 12 January 2023; Reference interbank market interest rates, 11 January 2023; Reference interbank market interest rates, 10 January 2023; Official reserve assets and other foreign currency assets, 30 December 2022; Reference interbank market interest rates, 06 January 2023; Reference interbank market interest rates, 09 January 2023; Weighted average yields on Government Securities of the RM, December 2022; Reference interbank market interest rates, 05 January 2023; Commercial banks activity on the money market, December 2022; NBM Money Market Operations, December 2022; International investment position (BPM6) in analytic presentation, by maturity,; Standing Facilities, December 2022; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Reference interbank market interest rates, 04 January 2023; Monetary survey,; Reference interbank market interest rates, 03 January 2023; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; International investment position (BPM6) in analytic presentation, by sector,; International investment position (BPM6) in analytic presentation, by instruments,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Integrated international investment position statement (BPM6),; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; International investment position (BPM6), standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 30 December 2022; Official reserve assets and other foreign currency assets, 23 December 2022; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 29 December 2022; Reference interbank market interest rates, 28 December 2022; Reference interbank market interest rates, 27 December 2022; Reference interbank market interest rates, 26 December 2022; Official reserve assets and other foreign currency assets, 16 December 2022; Reference interbank market interest rates, 23 December 2022; Official Reserve Assets and other foreign currency assets, November 2022; Predetermined short-term net drains on foreign currency assets, November 2022; Contingent short-term net drains on foreign currency assets, November 2022; Memo items, November 2022; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 22 December 2022; Non-cash Foreign Exchange Market, November 2022; NBM's activity on the interbank market (data shown according to trade date), November 2022; Money Transfers from Abroad in Favor of Individuals (net basis), November 2022; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, November 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 21 December 2022; Foreign exchange market supply and demand, November 2022; The structure of credit portofolio of the banking sector (by debtor), November 2022; Foreign exchange assets and liabilities of the licensed banks, November 2022; Cash Foreign Exchange Market, November 2022; The structure o f credit portofolio of the banking sector (on branches), November 2022; Clasification of credit portofolio of the banking sector (on branches) , November 2022; The structure of credit portofolio of the banking sector (by currency), November 2022; Information on financial and economic activities of banks, November 2022; Information on financial and economic activities of banks, September 2022; The weighted average interest rates and volumes on new attracted deposits,; Weighted average nominal interest rates on loans and deposits balances,; Weighted average nominal interest rates and volumes on new granted loans,; Average interest rates on interbank transactions, November 2022; Monetary survey,; The structure of deposits of the banking sector, November 2022; Income Statement, November 2022; Official reserve assets and other foreign currency assets, 09 December 2022; Reference interbank market interest rates, 20 December 2022; Balance Sheet on the banking sector, November 2022; Required reserves maintained by banks in MDL, October 2022; Reference interbank market interest rates, 19 December 2022; Reference interbank market interest rates, 14 December 2022; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 13 December 2022; Reference interbank market interest rates, 12 December 2022; Required reserves maintained by banks in FCC, October 2022; Reference interbank market interest rates, 16 December 2022; Reference interbank market interest rates, 15 December 2022; Reference interbank market interest rates, 09 December 2022; Official reserve assets and other foreign currency assets, 02 December 2022; Reference interbank market interest rates, 08 December 2022; Official reserve assets and other foreign currency assets, 30 November 2022; Reference interbank market interest rates, 07 December 2022; Reference interbank market interest rates, 06 December 2022; Interest rates on monetary regulation instruments of NBM, 05 December 2022; Reference interbank market interest rates, 05 December 2022; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 02 December 2022; Official reserve assets and other foreign currency assets, 25 November 2022; Commercial banks activity on the money market, November 2022; Weighted average yields on Government Securities of the RM, November 2022; Standing Facilities, November 2022; NBM Money Market Operations, November 2022; Reference interbank market interest rates, 01 December 2022; Monetary survey,; Reference interbank market interest rates, 30 November 2022; Reference interbank market interest rates, 29 November 2022; Reference interbank market interest rates, 28 November 2022; Official reserve assets and other foreign currency assets, 18 November 2022; Official Reserve Assets and other foreign currency assets, October 2022; Predetermined short-term net drains on foreign currency assets, October 2022; Contingent short-term net drains on foreign currency assets, October 2022; Memo items, October 2022; Reference interbank market interest rates, 25 November 2022; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 12 December 2022; Reference interbank market interest rates, 24 November 2022; NBM's activity on the interbank market (data shown according to trade date), October 2022; Non-cash Foreign Exchange Market, October 2022; Reference interbank market interest rates, 23 November 2022; Reference interbank market interest rates, 22 November 2022; Foreign exchange market supply and demand, October 2022; Cash Foreign Exchange Market, October 2022; Reference interbank market interest rates, 21 November 2022; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, October 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), October 2022; Foreign exchange assets and liabilities of the licensed banks, October 2022; Information on financial and economic activities of banks, October 2022; The structure of credit portofolio of the banking sector (by debtor), October 2022; Balance Sheet on the banking sector, September 2022; Clasification of credit portofolio of the banking sector (on branches) , October 2022; The structure of credit portofolio of the banking sector (by currency), October 2022; Clasification of credit portofolio of the banking sector (on branches) , October 2022; The structure o f credit portofolio of the banking sector (on branches), October 2022; Official reserve assets and other foreign currency assets, 11 November 2022; Balance Sheet on the banking sector, October 2022; Income Statement, October 2022; The structure of deposits of the banking sector, October 2022; Monetary survey,; The weighted average interest rates and volumes on new granted loans,; Average interest rates on interbank transactions, October 2022; Average interest rates related to balances of loans and deposits,; The weighted average interest rates and volumes on new attracted deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 17 November 2022; Reference interbank market interest rates, 18 November 2022; Required reserves maintained by banks in MDL, September 2022; Required reserves maintained by banks in FCC, September 2022; Reference interbank market interest rates, 16 November 2022; Reference interbank market interest rates, 15 November 2022; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 14 November 2022; Monetary survey,; Reference interbank market interest rates, 11 November 2022; Official reserve assets and other foreign currency assets, 04 November 2022; Reference interbank market interest rates, 08 November 2022; Reference interbank market interest rates, 07 November 2022; Official reserve assets and other foreign currency assets, 31 October 2022; Official reserve assets and other foreign currency assets, 28 October 2022; Reference interbank market interest rates, 04 November 2022; Reference interbank market interest rates, 10 November 2022; Reference interbank market interest rates, 09 November 2022; Standing Facilities, October 2022; Weighted average yields on Government Securities of the RM, October 2022; Interest rates on monetary regulation instruments of NBM, 08 November 2022; Reference interbank market interest rates, 03 November 2022; Reference interbank market interest rates, 02 November 2022; Monetary survey,; Commercial banks activity on the money market, October 2022; NBM Money Market Operations, October 2022; Reference interbank market interest rates, 01 November 2022; Reference interbank market interest rates, 31 October 2022; Official reserve assets and other foreign currency assets, 21 October 2022; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, June 2022; Reference interbank market interest rates, 28 October 2022; Memo items, September 2022; Reference interbank market interest rates, 27 October 2022; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 26 October 2022; Reference interbank market interest rates, 25 October 2022; Predetermined short-term net drains on foreign currency assets, September 2022; Contingent short-term net drains on foreign currency assets, September 2022; Official Reserve Assets and other foreign currency assets, September 2022; Reference interbank market interest rates, 24 October 2022; Non-cash Foreign Exchange Market, September 2022; NBM's activity on the interbank market (data shown according to trade date), September 2022; Foreign exchange assets and liabilities of the licensed banks, September 2022; Information on financial and economic activities of banks, September 2022; The structure o f credit portofolio of the banking sector (on branches), September 2022; Clasification of credit portofolio of the banking sector (on branches) , September 2022; The structure of credit portofolio of the banking sector (by currency), September 2022; The structure of credit portofolio of the banking sector (by debtor), September 2022; Foreign exchange assets and liabilities of the licensed banks, September 2022; Cash Foreign Exchange Market, September 2022; Official reserve assets and other foreign currency assets, 13 October 2022; Reference interbank market interest rates, 21 October 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, September 2022; Money Transfers from Abroad in Favor of Individuals (net basis), September 2022; Foreign exchange market supply and demand, September 2022; Average interest rate on interest bearing demand deposits,; The structure of deposits of the banking sector, September 2022; Average interest rate on interest bearing demand deposits,; Income Statement, September 2022; Balance Sheet on the banking sector, September 2022; The weighted average interest rates and volumes on new granted loans,; The weighted average interest rates and volumes on new attracted deposits,; Average interest rates on interbank transactions, September 2022; Average interest rates related to balances of loans and deposits,; Monetary survey,; Monetary survey,; Reference interbank market interest rates, 20 October 2022; Required reserves maintained by banks in FCC, August 2022; Reference interbank market interest rates, 19 October 2022; Reference interbank market interest rates, 18 October 2022; Required reserves maintained by banks in MDL, August 2022; Reference interbank market interest rates, 17 October 2022; Official reserve assets and other foreign currency assets, 07 October 2022; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 2 2022; Reference interbank market interest rates, 10 October 2022; Reference interbank market interest rates, 13 October 2022; Cards issued by payment service providers in the Republic of Moldova, Trimestrul 2 2022; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 30 September 2022; Reference interbank market interest rates, 12 October 2022; Reference interbank market interest rates, 07 October 2022; Reference interbank market interest rates, 11 October 2022; Reference interbank market interest rates, 06 October 2022; Reference interbank market interest rates, 05 October 2022; NBM Money Market Operations, September 2022; Reference interbank market interest rates, 04 October 2022; Commercial banks activity on the money market, September 2022; Weighted average yields on Government Securities of the RM, September 2022; Standing Facilities, September 2022; Reference interbank market interest rates, 03 October 2022; Coordinated Direct Investment Survey by country, 2021; Coordinated Direct Investment Survey by Economic Activities, CEAM-2 (rev.2), stock at year-end, US$ million,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Monetary survey,; International investment position (BPM6) in analytic presentation, by sector,; Coordinated Direct Investment Survey by Economic Activities, CEAM-2 (rev.2), stock at year-end, US$ million,; Integrated international investment position statement (BPM6),; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; International investment position (BPM6) in analytic presentation, by instruments,; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 2 2022; International investment position (BPM6) in analytic presentation, by maturity,; Reference interbank market interest rates, 12 October 2022; Integrated international investment position statement (BPM6),; Integrated international investment position statement (BPM6),; Integrated international investment position statement (BPM6),; International investment position (BPM6), standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 23 September 2022; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 30 September 2022; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Reference interbank market interest rates, 29 September 2022; Coordinated Direct Investment Survey by Economic Activities, CEAM-2 (rev.2), stock at year-end, US$ million,; Reference interbank market interest rates, 28 September 2022; Reference interbank market interest rates, 27 September 2022; Reference interbank market interest rates, 26 September 2022; Reference interbank market interest rates, 23 September 2022; Average interest rate on interest bearing demand deposits,; Memo items, August 2022; Official Reserve Assets and other foreign currency assets, August 2022; Contingent short-term net drains on foreign currency assets, August 2022; Predetermined short-term net drains on foreign currency assets, August 2022; Official reserve assets and other foreign currency assets, 16 September 2022; Reference interbank market interest rates, 22 September 2022; The structure o f credit portofolio of the banking sector (on branches), August 2022; Money Transfers from Abroad in Favor of Individuals (net basis), June 2022; Money Transfers from Abroad in Favor of Individuals (net basis), August 2022; Reference interbank market interest rates, 21 September 2022; Foreign exchange assets and liabilities of the licensed banks, August 2022; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, August 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Foreign exchange market supply and demand, August 2022; Cash Foreign Exchange Market, August 2022; Clasification of credit portofolio of the banking sector (on branches) , August 2022; Information on financial and economic activities of banks, August 2022; The structure of credit portofolio of the banking sector (by currency), August 2022; The structure of credit portofolio of the banking sector (by debtor), August 2022; Average interest rate on interest bearing demand deposits,; Average interest rates on interbank transactions, August 2022; Information on financial and economic activities of banks, June 2022; Average interest rates related to balances of loans and deposits,; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new granted loans,; Monetary survey,; Average interest rate on interest bearing demand deposits,; Balance Sheet on the banking sector, June 2022; The structure of deposits of the banking sector, August 2022; Income Statement, June 2022; Income Statement, August 2022; Balance Sheet on the banking sector, August 2022; Reference interbank market interest rates, 20 September 2022; Non-cash Foreign Exchange Market, August 2022; NBM's activity on the interbank market (data shown according to trade date), August 2022; Reference interbank market interest rates, 19 September 2022; Required reserves maintained by banks in FCC, July 2022; Required reserves maintained by banks in MDL, July 2022; Official reserve assets and other foreign currency assets, 09 September 2022; Reference interbank market interest rates, 16 September 2022; Foreign exchange assets and liabilities of the licensed banks, July 2022; Reference interbank market interest rates, 15 September 2022; Foreign exchange assets and liabilities of the licensed banks, August 2022; Foreign exchange assets and liabilities of the licensed banks, August 2022; Reference interbank market interest rates, 14 September 2022; Interest rates on monetary regulation instruments of NBM, 13 September 2022; Reference interbank market interest rates, 13 September 2022; Reference interbank market interest rates, 12 September 2022; Reference interbank market interest rates, 09 September 2022; Official reserve assets and other foreign currency assets, 02 September 2022; Reference interbank market interest rates, 08 September 2022; Reference interbank market interest rates, 07 September 2022; Official reserve assets and other foreign currency assets, 30 August 2022; Reference interbank market interest rates, 06 September 2022; Reference interbank market interest rates, 05 September 2022; Commercial banks activity on the money market, August 2022; Standing Facilities, August 2022; Reference interbank market interest rates, 02 September 2022; Official reserve assets and other foreign currency assets, 26 August 2022; Reference interbank market interest rates, 01 September 2022; NBM Money Market Operations, August 2022; Weighted average yields on Government Securities of the RM, August 2022; Monetary survey,; Reference interbank market interest rates, 29 August 2022; Reference interbank market interest rates, 30 August 2022; Reference interbank market interest rates, 26 August 2022; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 19 August 2022; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 1 2022; Reference interbank market interest rates, 25 August 2022; Cards issued by payment service providers in the Republic of Moldova, Trimestrul 1 2022; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Contingent short-term net drains on foreign currency assets, July 2022; Memo items, July 2022; Predetermined short-term net drains on foreign currency assets, July 2022; Official Reserve Assets and other foreign currency assets, July 2022; Reference interbank market interest rates, 24 August 2022; The structure o f credit portofolio of the banking sector (on branches), July 2022; Reference interbank market interest rates, 23 August 2022; The structure of credit portofolio of the banking sector (by debtor), July 2022; The structure of credit portofolio of the banking sector (by currency), July 2022; Foreign exchange assets and liabilities of the licensed banks, July 2022; Information on financial and economic activities of banks, July 2022; Clasification of credit portofolio of the banking sector (on branches) , July 2022; Reference interbank market interest rates, 22 August 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), July 2022; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, July 2022; Income Statement, July 2022; Foreign exchange market supply and demand, July 2022; Foreign exchange assets and liabilities of the licensed banks, July 2022; Information on financial and economic activities of banks, July 2022; Cash Foreign Exchange Market, July 2022; Average interest rates related to balances of loans and deposits,; The structure of deposits of the banking sector, July 2022; Balance Sheet on the banking sector, July 2022; The weighted average interest rates and volumes on new granted loans,; Reference interbank market interest rates, 19 August 2022; Monetary survey,; The weighted average interest rates and volumes on new attracted deposits,; Average interest rates on interbank transactions, July 2022; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 12 August 2022; Reference interbank market interest rates, 18 August 2022; Reference interbank market interest rates, 17 August 2022; Required reserves maintained by banks in MDL, June 2022; Non-cash Foreign Exchange Market, July 2022; NBM's activity on the interbank market (data shown according to trade date), July 2022; The structure o f credit portofolio of the banking sector (on branches), July 2022; Required reserves maintained by banks in FCC, June 2022; Reference interbank market interest rates, 16 August 2022; Reference interbank market interest rates, 15 August 2022; Official reserve assets and other foreign currency assets, 05 August 2022; Reference interbank market interest rates, 12 August 2022; Monetary survey,; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 11 August 2022; Reference interbank market interest rates, 10 August 2022; Reference interbank market interest rates, 09 August 2022; Reference interbank market interest rates, 08 August 2022; Reference interbank market interest rates, 05 August 2022; Official reserve assets and other foreign currency assets, 29 July 2022; Interest rates on monetary regulation instruments of NBM, 04 August 2022; Reference interbank market interest rates, 04 August 2022; Reference interbank market interest rates, 03 August 2022; Information on financial and economic activities of banks, June 2022; Reference interbank market interest rates, 02 August 2022; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), 2021; NBM Money Market Operations, July 2022; Weighted average yields on Government Securities of the RM, July 2022; Standing Facilities, July 2022; Monetary survey,; Commercial banks activity on the money market, July 2022; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 01 August 2022; The structure o f credit portofolio of the banking sector (on branches), June 2022; The structure of credit portofolio of the banking sector (by currency), June 2022; Reference interbank market interest rates, 29 July 2022; Official reserve assets and other foreign currency assets, 22 July 2022; Clasification of credit portofolio of the banking sector (on branches) , June 2022; Reference interbank market interest rates, 28 July 2022; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 27 July 2022; Reference interbank market interest rates, 25 July 2022; Memo items, June 2022; Predetermined short-term net drains on foreign currency assets, June 2022; Contingent short-term net drains on foreign currency assets, June 2022; Clasification of credit portofolio of the banking sector (on branches) , June 2022; The structure of credit portofolio of the banking sector (by debtor), June 2022; Reference interbank market interest rates, 26 July 2022; Official reserve assets and other foreign currency assets, 15 July 2022; Reference interbank market interest rates, 22 July 2022; Official Reserve Assets and other foreign currency assets, June 2022; Non-cash Foreign Exchange Market, June 2022; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 4 2021; NBM's activity on the interbank market (data shown according to trade date), June 2022; Information on financial and economic activities of banks, June 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Information on financial and economic activities of banks, June 2022; Foreign exchange assets and liabilities of the licensed banks, June 2022; Reference interbank market interest rates, 21 July 2022; Cash Foreign Exchange Market, June 2022; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, June 2022; Foreign exchange market supply and demand, June 2022; Money Transfers from Abroad in Favor of Individuals (net basis), June 2022; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, March 2022; Reference interbank market interest rates, 20 July 2022; Monetary survey,; The structure of deposits of the banking sector, June 2022; Balance Sheet on the banking sector, June 2022; Income Statement, June 2022; Average interest rate on interest bearing demand deposits,; Average interest rates on interbank transactions, June 2022; The weighted average interest rates and volumes on new attracted deposits,; Average interest rates related to balances of loans and deposits,; The weighted average interest rates and volumes on new granted loans,; Required reserves maintained by banks in FCC, May 2022; Reference interbank market interest rates, 19 July 2022; Required reserves maintained by banks in MDL, May 2022; Reference interbank market interest rates, 18 July 2022; Reference interbank market interest rates, 15 July 2022; Official reserve assets and other foreign currency assets, 01 July 2022; Official reserve assets and other foreign currency assets, 08 July 2022; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 14 July 2022; Foreign exchange assets and liabilities of the licensed banks, June 2022; Foreign exchange assets and liabilities of the licensed banks, May 2022; Reference interbank market interest rates, 13 July 2022; Reference interbank market interest rates, 12 July 2022; Reference interbank market interest rates, 11 July 2022; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 30 June 2022; Reference interbank market interest rates, 08 July 2022; Reference interbank market interest rates, 07 July 2022; Reference interbank market interest rates, 06 July 2022; Reference interbank market interest rates, 05 July 2022; Monetary survey,; Weighted average yields on Government Securities of the RM, June 2022; NBM Money Market Operations, June 2022; Standing Facilities, June 2022; Reference interbank market interest rates, 04 July 2022; Reference interbank market interest rates, 01 July 2022; Official reserve assets and other foreign currency assets, 24 June 2022; Commercial banks activity on the money market, June 2022; Reference interbank market interest rates, 30 June 2022; International investment position (BPM6) in analytic presentation, by maturity,; International investment position (BPM6) in analytic presentation, by instruments,; International investment position (BPM6), standard presentation,; International investment position (BPM6) in analytic presentation, by sector,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Integrated international investment position statement (BPM6),; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Reference interbank market interest rates, 29 June 2022; Reference interbank market interest rates, 28 June 2022; Contingent short-term net drains on foreign currency assets, May 2022; Memo items, May 2022; Reference interbank market interest rates, 27 June 2022; Official reserve assets and other foreign currency assets, 17 June 2022; Reference interbank market interest rates, 24 June 2022; Average interest rate on interest bearing demand deposits,; Predetermined short-term net drains on foreign currency assets, May 2022; Official Reserve Assets and other foreign currency assets, May 2022; Reference interbank market interest rates, 23 June 2022; Reference interbank market interest rates, 01 July 2022; Reference interbank market interest rates, 22 June 2022; Reference interbank market interest rates, 21 June 2022; Foreign exchange assets and liabilities of the licensed banks, May 2022; Cash Foreign Exchange Market, May 2022; Foreign exchange market supply and demand, May 2022; Foreign exchange assets and liabilities of the licensed banks, May 2022; Money Transfers from Abroad in Favor of Individuals (net basis), May 2022; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, May 2022; Required reserves maintained by banks in MDL, April 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Information on financial and economic activities of banks, March 2022; Information on financial and economic activities of banks, May 2022; Information on financial and economic activities of banks, May 2022; Clasification of credit portofolio of the banking sector (on branches) , May 2022; Clasification of credit portofolio of the banking sector (on branches) , May 2022; The structure of credit portofolio of the banking sector (by debtor), May 2022; The structure of credit portofolio of the banking sector (by currency), May 2022; The structure o f credit portofolio of the banking sector (on branches), May 2022; Income Statement, December 2021; Balance Sheet on the banking sector, December 2021; The structure of deposits of the banking sector, May 2022; Average interest rates on interbank transactions, May 2022; Income Statement, May 2022; Balance Sheet on the banking sector, May 2022; The weighted average interest rates and volumes on new attracted deposits,; Average interest rates related to balances of loans and deposits,; Monetary survey,; The weighted average interest rates and volumes on new granted loans,; Reference interbank market interest rates, 20 June 2022; Reference interbank market interest rates, 17 June 2022; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Required reserves maintained by banks in FCC, April 2022; Reference interbank market interest rates, 16 June 2022; NBM's activity on the interbank market (data shown according to trade date), May 2022; Non-cash Foreign Exchange Market, May 2022; Reference interbank market interest rates, 15 June 2022; Reference interbank market interest rates, 14 June 2022; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 10 June 2022; Reference interbank market interest rates, 13 June 2022; Official reserve assets and other foreign currency assets, 03 June 2022; Reference interbank market interest rates, 10 June 2022; Reference interbank market interest rates, 08 June 2022; Reference interbank market interest rates, 09 June 2022; Reference interbank market interest rates, 07 June 2022; Official reserve assets and other foreign currency assets, 31 May 2022; Reference interbank market interest rates, 06 June 2022; Commercial banks activity on the money market, May 2022; Official reserve assets and other foreign currency assets, 27 May 2022; Interest rates on monetary regulation instruments of NBM, 03 June 2022; Reference interbank market interest rates, 03 June 2022; Reference interbank market interest rates, 02 June 2022; Monetary survey,; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Cards issued by payment service providers in the Republic of Moldova, 2021; Reference interbank market interest rates, 27 May 2022; Standing Facilities, May 2022; NBM Money Market Operations, May 2022; Reference interbank market interest rates, 26 May 2022; Weighted average yields on Government Securities of the RM, May 2022; Reference interbank market interest rates, 01 June 2022; Reference interbank market interest rates, 31 May 2022; Reference interbank market interest rates, 25 May 2022; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 30 May 2022; Contingent short-term net drains on foreign currency assets, April 2022; Memo items, April 2022; Official reserve assets and other foreign currency assets, 20 May 2022; Predetermined short-term net drains on foreign currency assets, April 2022; Reference interbank market interest rates, 13 June 2022; Reference interbank market interest rates, 23 May 2022; Clasification of credit portofolio of the banking sector (on branches) , April 2022; The structure o f credit portofolio of the banking sector (on branches), April 2022; Official Reserve Assets and other foreign currency assets, April 2022; Reference interbank market interest rates, 24 May 2022; The structure of credit portofolio of the banking sector (by currency), April 2022; Information on financial and economic activities of banks, April 2022; Average interest rates related to balances of loans and deposits,; The structure of credit portofolio of the banking sector (by debtor), April 2022; Reference interbank market interest rates, 02 June 2022; Average interest rate on interest bearing demand deposits,; Information on financial and economic activities of banks, December 2021; Average interest rates on interbank transactions, April 2022; Reference interbank market interest rates, 20 May 2022; The weighted average interest rates and volumes on new attracted deposits,; Monetary survey,; The weighted average interest rates and volumes on new granted loans,; Cash Foreign Exchange Market, April 2022; Foreign exchange market supply and demand, April 2022; Money Transfers from Abroad in Favor of Individuals (net basis), April 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, April 2022; Reference interbank market interest rates, 26 May 2022; Foreign exchange assets and liabilities of the licensed banks, April 2022; NBM's activity on the interbank market (data shown according to trade date), April 2022; Official reserve assets and other foreign currency assets, 13 May 2022; Non-cash Foreign Exchange Market, April 2022; Reference interbank market interest rates, 19 May 2022; Reference interbank market interest rates, 18 May 2022; Reference interbank market interest rates, 17 May 2022; Required reserves maintained by banks in MDL, March 2022; Required reserves maintained by banks in FCC, March 2022; Reference interbank market interest rates, 16 May 2022; Monetary survey,; Reference interbank market interest rates, 13 May 2022; Official reserve assets and other foreign currency assets, 06 May 2022; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 12 May 2022; Reference interbank market interest rates, 11 May 2022; Reference interbank market interest rates, 10 May 2022; Reference interbank market interest rates, 06 May 2022; Interest rates on monetary regulation instruments of NBM, 05 May 2022; Official reserve assets and other foreign currency assets, 29 April 2022; Reference interbank market interest rates, 05 May 2022; Reference interbank market interest rates, 04 May 2022; Weighted average yields on Government Securities of the RM, April 2022; NBM Money Market Operations, April 2022; Commercial banks activity on the money market, April 2022; Standing Facilities, April 2022; Reference interbank market interest rates, 03 May 2022; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 29 April 2022; Official reserve assets and other foreign currency assets, 22 April 2022; Reference interbank market interest rates, 28 April 2022; Reference interbank market interest rates, 27 April 2022; Reference interbank market interest rates, 26 April 2022; Average interest rate on interest bearing demand deposits,; Memo items, March 2022; Non-cash Foreign Exchange Market, March 2022; NBM's activity on the interbank market (data shown according to trade date), March 2022; Official reserve assets and other foreign currency assets, 15 April 2022; Reference interbank market interest rates, 22 April 2022; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, March 2022; Contingent short-term net drains on foreign currency assets, March 2022; Official Reserve Assets and other foreign currency assets, March 2022; Predetermined short-term net drains on foreign currency assets, March 2022; Reference interbank market interest rates, 21 April 2022; Money Transfers from Abroad in Favor of Individuals (net basis), March 2022; Foreign exchange market supply and demand, March 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Cash Foreign Exchange Market, March 2022; Foreign exchange assets and liabilities of the licensed banks, March 2022; The structure of credit portofolio of the banking sector (by debtor), March 2022; The structure o f credit portofolio of the banking sector (on branches), March 2022; The structure of credit portofolio of the banking sector (by currency), March 2022; Clasification of credit portofolio of the banking sector (on branches) , March 2022; Clasification of credit portofolio of the banking sector (on branches) , March 2022; Information on financial and economic activities of banks, March 2022; Information on financial and economic activities of banks, March 2022; Monetary survey,; Average interest rates on interbank transactions, March 2022; Information on financial and economic activities of banks, February 2022; The weighted average interest rates and volumes on new granted loans,; Average interest rates related to balances of loans and deposits,; The weighted average interest rates and volumes on new attracted deposits,; Information on financial and economic activities of banks, January 2022; Information on financial and economic activities of banks, January 2022; Reference interbank market interest rates, 20 April 2022; Cash Foreign Exchange Market, February 2022; Reference interbank market interest rates, 19 April 2022; Required reserves maintained by banks in MDL, February 2022; Reference interbank market interest rates, 18 April 2022; Required reserves maintained by banks in FCC, February 2022; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 08 April 2022; Reference interbank market interest rates, 14 April 2022; Monetary survey,; Reference interbank market interest rates, 15 April 2022; Reference interbank market interest rates, 13 April 2022; Reference interbank market interest rates, 12 April 2022; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, December 2021; Reference interbank market interest rates, 08 April 2022; Reference interbank market interest rates, 11 April 2022; Official reserve assets and other foreign currency assets, 31 March 2022; Official reserve assets and other foreign currency assets, 01 April 2022; Reference interbank market interest rates, 07 April 2022; Reference interbank market interest rates, 05 April 2022; Reference interbank market interest rates, 06 April 2022; The structure of credit portofolio of the banking sector (by debtor), February 2022; Reference interbank market interest rates, 04 April 2022; Weighted average yields on Government Securities of the RM, March 2022; NBM Money Market Operations, March 2022; Commercial banks activity on the money market, March 2022; Average interest rate on interest bearing demand deposits,; Standing Facilities, March 2022; Reference interbank market interest rates, 01 April 2022; Official reserve assets and other foreign currency assets, 25 March 2022; International investment position (BPM6) in analytic presentation, by sector,; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; International investment position (BPM6) in analytic presentation, by instruments,; Integrated international investment position statement (BPM6),; International investment position (BPM6) in analytic presentation, by maturity,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; International investment position (BPM6), standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Reference interbank market interest rates, 30 March 2022; Memo items, February 2022; Reference interbank market interest rates, 31 March 2022; Reference interbank market interest rates, 29 March 2022; Reference interbank market interest rates, 28 March 2022; Reference interbank market interest rates, 25 March 2022; Predetermined short-term net drains on foreign currency assets, February 2022; Average interest rate on interest bearing demand deposits,; Official Reserve Assets and other foreign currency assets, February 2022; Contingent short-term net drains on foreign currency assets, February 2022; Reference interbank market interest rates, 24 March 2022; Official reserve assets and other foreign currency assets, 18 March 2022; Reference interbank market interest rates, 22 March 2022; Reference interbank market interest rates, 23 March 2022; Non-cash Foreign Exchange Market, November 2021; Information on financial and economic activities of banks, February 2022; Official reserve assets and other foreign currency assets, 11 March 2022; Non-cash Foreign Exchange Market, February 2022; NBM's activity on the interbank market (data shown according to trade date), February 2022; Foreign exchange assets and liabilities of the licensed banks, February 2022; Reference interbank market interest rates, 21 March 2022; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, February 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), February 2022; Information on financial and economic activities of banks, January 2022; Foreign exchange market supply and demand, February 2022; Average interest rates on interbank transactions, February 2022; Average interest rates related to balances of loans and deposits,; The weighted average interest rates and volumes on new attracted deposits,; Reference interbank market interest rates, 18 March 2022; Average interest rate on interest bearing demand deposits,; Income Statement, December 2021; Balance Sheet on the banking sector, December 2021; Monetary survey,; Balance Sheet on the banking sector, February 2022; The structure of credit portofolio of the banking sector (by currency), February 2022; The structure of credit portofolio of the banking sector (by debtor), February 2022; The structure of deposits of the banking sector, February 2022; The weighted average interest rates and volumes on new granted loans,; Income Statement, February 2022; The structure o f credit portofolio of the banking sector (on branches), February 2022; Clasification of credit portofolio of the banking sector (on branches) , February 2022; Clasification of credit portofolio of the banking sector (on branches) , February 2022; Reference interbank market interest rates, 17 March 2022; Required reserves maintained by banks in FCC, January 2022; Required reserves maintained by banks in MDL, January 2022; Reference interbank market interest rates, 16 March 2022; Interest rates on monetary regulation instruments of NBM, 16 March 2022; Monetary survey,; Reference interbank market interest rates, 15 March 2022; Reference interbank market interest rates, 14 March 2022; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 11 March 2022; Official reserve assets and other foreign currency assets, 04 March 2022; Reference interbank market interest rates, 10 March 2022; Reference interbank market interest rates, 09 March 2022; Reference interbank market interest rates, 07 March 2022; Official reserve assets and other foreign currency assets, 28 February 2022; Official reserve assets and other foreign currency assets, 25 February 2022; Reference interbank market interest rates, 04 March 2022; Reference interbank market interest rates, 03 March 2022; Weighted average yields on Government Securities of the RM, February 2022; NBM Money Market Operations, February 2022; Standing Facilities, February 2022; Commercial banks activity on the money market, February 2022; Reference interbank market interest rates, 02 March 2022; Reference interbank market interest rates, 01 March 2022; Reference interbank market interest rates, 28 February 2022; Memo items, January 2022; Official reserve assets and other foreign currency assets, 18 February 2022; Information on financial and economic activities of banks, January 2022; Information on financial and economic activities of banks, January 2022; The structure of credit portofolio of the banking sector (by debtor), January 2022; Reference interbank market interest rates, 25 February 2022; The structure of credit portofolio of the banking sector (by currency), January 2022; Average interest rate on interest bearing demand deposits,; Official Reserve Assets and other foreign currency assets, January 2022; Predetermined short-term net drains on foreign currency assets, January 2022; Contingent short-term net drains on foreign currency assets, January 2022; The structure o f credit portofolio of the banking sector (on branches), January 2022; The structure o f credit portofolio of the banking sector (on branches), January 2022; Clasification of credit portofolio of the banking sector (on branches) , January 2022; Clasification of credit portofolio of the banking sector (on branches) , January 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 24 February 2022; Reference interbank market interest rates, 23 February 2022; Foreign exchange assets and liabilities of the licensed banks, January 2022; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, January 2022; Reference interbank market interest rates, 22 February 2022; Money Transfers from Abroad in Favor of Individuals (net basis), January 2022; Reference interbank market interest rates, 21 February 2022; Foreign exchange market supply and demand, January 2022; Foreign exchange assets and liabilities of the licensed banks, January 2022; Cash Foreign Exchange Market, January 2022; Reference interbank market interest rates, 28 February 2022; The weighted average interest rates and volumes on new granted loans,; Reference interbank market interest rates, 18 February 2022; Income Statement, January 2022; Monetary survey,; The weighted average interest rates and volumes on new attracted deposits,; Average interest rates related to balances of loans and deposits,; Average interest rates on interbank transactions, January 2022; Average interest rate on interest bearing demand deposits,; The structure of deposits of the banking sector, January 2022; Balance Sheet on the banking sector, January 2022; Official reserve assets and other foreign currency assets, 11 February 2022; Interest rates on monetary regulation instruments of NBM, 15 February 2022; Reference interbank market interest rates, 15 February 2022; NBM's activity on the interbank market (data shown according to trade date), January 2022; Non-cash Foreign Exchange Market, January 2022; Reference interbank market interest rates, 17 February 2022; Monetary survey,; Required reserves maintained by banks in FCC, December 2021; Reference interbank market interest rates, 14 February 2022; Required reserves maintained by banks in MDL, December 2021; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 16 February 2022; Reference interbank market interest rates, 11 February 2022; Official reserve assets and other foreign currency assets, 04 February 2022; Reference interbank market interest rates, 10 February 2022; Reference interbank market interest rates, 09 February 2022; Reference interbank market interest rates, 08 February 2022; Reference interbank market interest rates, 07 February 2022; Official reserve assets and other foreign currency assets, 31 January 2022; Official reserve assets and other foreign currency assets, 28 January 2022; Monetary survey,; Reference interbank market interest rates, 04 February 2022; Weighted average yields on Government Securities of the RM, January 2022; Reference interbank market interest rates, 03 February 2022; NBM Money Market Operations, January 2022; Predetermined short-term net drains on foreign currency assets, November 2021; Commercial banks activity on the money market, January 2022; Standing Facilities, January 2022; Reference interbank market interest rates, 02 February 2022; Reference interbank market interest rates, 01 February 2022; Reference interbank market interest rates, 31 January 2022; Reference interbank market interest rates, 16 February 2022; Official reserve assets and other foreign currency assets, 21 January 2022; Reference interbank market interest rates, 28 January 2022; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 27 January 2022; Reference interbank market interest rates, 26 January 2022; Reference interbank market interest rates, 25 January 2022; Memo items, December 2021; Contingent short-term net drains on foreign currency assets, December 2021; Predetermined short-term net drains on foreign currency assets, December 2021; Official Reserve Assets and other foreign currency assets, December 2021; Reference interbank market interest rates, 24 January 2022; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, December 2021; NBM's activity on the interbank market (data shown according to trade date), December 2021; Non-cash Foreign Exchange Market, December 2021; Money Transfers from Abroad in Favor of Individuals (net basis), December 2021; Reference interbank market interest rates, 21 January 2022; Foreign exchange assets and liabilities of the licensed banks, December 2021; Foreign exchange market supply and demand, December 2021; Cash Foreign Exchange Market, December 2021; Official reserve assets and other foreign currency assets, 14 January 2022; The structure o f credit portofolio of the banking sector (on branches), December 2021; Clasification of credit portofolio of the banking sector (on branches) , December 2021; The structure of credit portofolio of the banking sector (by debtor), December 2021; Information on financial and economic activities of banks, December 2021; The structure of credit portofolio of the banking sector (by currency), December 2021; Information on financial and economic activities of banks, December 2021; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new granted loans,; Income Statement, December 2021; Reference interbank market interest rates, 20 January 2022; Average interest rates related to balances of loans and deposits,; Average interest rate on interest bearing demand deposits,; Monetary survey,; The structure of deposits of the banking sector, December 2021; Balance Sheet on the banking sector, December 2021; Money Transfers from Abroad in Favor of Individuals (gross basis),; The weighted average interest rates and volumes on new granted loans,; Average interest rates on interbank transactions, December 2021; The weighted average interest rates and volumes on new attracted deposits,; Reference interbank market interest rates, 19 January 2022; Required reserves maintained by banks in FCC, November 2021; Required reserves maintained by banks in MDL, November 2021; Reference interbank market interest rates, 17 January 2022; Reference interbank market interest rates, 18 January 2022; Reference interbank market interest rates, 14 January 2022; International investment position (BPM6) in analytic presentation, by sector,; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 06 January 2022; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, July 2021; Interest rates on monetary regulation instruments of NBM, 13 January 2022; Reference interbank market interest rates, 12 January 2022; Reference interbank market interest rates, 13 January 2022; Official reserve assets and other foreign currency assets, 31 December 2021; Reference interbank market interest rates, 11 January 2022; Reference interbank market interest rates, 10 January 2022; Reference interbank market interest rates, 06 January 2022; Reference interbank market interest rates, 04 January 2022; Reference interbank market interest rates, 05 January 2022; NBM Money Market Operations, December 2021; Standing Facilities, December 2021; Weighted average yields on Government Securities of the RM, December 2021; Commercial banks activity on the money market, December 2021; Reference interbank market interest rates, 03 January 2022; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 31 December 2021; Official reserve assets and other foreign currency assets, 24 December 2021; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; International investment position (BPM6) in analytic presentation, by instruments,; International investment position (BPM6) in analytic presentation, by maturity,; Integrated international investment position statement (BPM6),; International investment position (BPM6), standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 30 December 2021; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Reference interbank market interest rates, 29 December 2021; Reference interbank market interest rates, 28 December 2021; Cards issued by payment service providers in the Republic of Moldova, Trimestrul 3 2021; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 3 2021; Predetermined short-term net drains on foreign currency assets, November 2021; International investment position (BPM6), standard presentation,; Reference interbank market interest rates, 27 December 2021; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 17 December 2021; Reference interbank market interest rates, 24 December 2021; Contingent short-term net drains on foreign currency assets, November 2021; Memo items, November 2021; Information on financial and economic activities of banks, November 2021; Official Reserve Assets and other foreign currency assets, November 2021; The structure of credit portofolio of the banking sector (by currency), November 2021; Information on financial and economic activities of banks, November 2021; The structure of credit portofolio of the banking sector (by debtor), November 2021; Information on financial and economic activities of banks, September 2021; Clasification of credit portofolio of the banking sector (on branches) , November 2021; The structure o f credit portofolio of the banking sector (on branches), November 2021; Clasification of credit portofolio of the banking sector (on branches) , November 2021; International investment position (BPM6), standard presentation,; Reference interbank market interest rates, 23 December 2021; Foreign exchange assets and liabilities of the licensed banks, October 2021; Reference interbank market interest rates, 22 December 2021; Money Transfers from Abroad in Favor of Individuals (net basis), November 2021; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, November 2021; Reference interbank market interest rates, 21 December 2021; Foreign exchange assets and liabilities of the licensed banks, November 2021; Foreign exchange market supply and demand, November 2021; Cash Foreign Exchange Market, November 2021; Required reserves maintained by banks in FCC, October 2021; Monetary survey,; Average interest rate on interest bearing demand deposits,; Average interest rates related to balances of loans and deposits,; The weighted average interest rates and volumes on new granted loans,; Average interest rates on interbank transactions, November 2021; The weighted average interest rates and volumes on new attracted deposits,; Income Statement, November 2021; The structure of deposits of the banking sector, November 2021; Reference interbank market interest rates, 20 December 2021; Non-cash Foreign Exchange Market, November 2021; NBM's activity on the interbank market (data shown according to trade date), November 2021; Reference interbank market interest rates, 17 December 2021; Required reserves maintained by banks in MDL, October 2021; Reference interbank market interest rates, 16 December 2021; Balance Sheet on the banking sector, November 2021; Reference interbank market interest rates, 15 December 2021; Reference interbank market interest rates, 14 December 2021; Official reserve assets and other foreign currency assets, 10 December 2021; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 13 December 2021; Reference interbank market interest rates, 10 December 2021; Official reserve assets and other foreign currency assets, 03 December 2021; Reference interbank market interest rates, 09 December 2021; Reference interbank market interest rates, 08 December 2021; Monetary survey,; Reference interbank market interest rates, 07 December 2021; Official reserve assets and other foreign currency assets, 30 November 2021; Reference interbank market interest rates, 06 December 2021; Official reserve assets and other foreign currency assets, 26 November 2021; Interest rates on monetary regulation instruments of NBM, 03 December 2021; Reference interbank market interest rates, 03 December 2021; Reference interbank market interest rates, 02 December 2021; NBM Money Market Operations, November 2021; Standing Facilities, November 2021; Commercial banks activity on the money market, November 2021; Weighted average yields on Government Securities of the RM, November 2021; Reference interbank market interest rates, 01 December 2021; Reference interbank market interest rates, 16 December 2021; Reference interbank market interest rates, 30 November 2021; Reference interbank market interest rates, 29 November 2021; International investment position (BPM6) in analytic presentation, by instruments,; Reference interbank market interest rates, 26 November 2021; Official reserve assets and other foreign currency assets, 19 November 2021; Average interest rate on interest bearing demand deposits,; Contingent short-term net drains on foreign currency assets, October 2021; Reference interbank market interest rates, 25 November 2021; Memo items, October 2021; Predetermined short-term net drains on foreign currency assets, October 2021; Official Reserve Assets and other foreign currency assets, October 2021; The structure of credit portofolio of the banking sector (by debtor), October 2021; The structure o f credit portofolio of the banking sector (on branches), October 2021; Reference interbank market interest rates, 24 November 2021; Reference interbank market interest rates, 23 November 2021; Information on financial and economic activities of banks, October 2021; The structure of credit portofolio of the banking sector (by currency), October 2021; Clasification of credit portofolio of the banking sector (on branches) , October 2021; Clasification of credit portofolio of the banking sector (on branches) , October 2021; Cash Foreign Exchange Market, October 2021; Foreign exchange market supply and demand, October 2021; Foreign exchange assets and liabilities of the licensed banks, October 2021; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, October 2021; Money Transfers from Abroad in Favor of Individuals (net basis), October 2021; Average interest rates related to balances of loans and deposits,; The weighted average interest rates and volumes on new granted loans,; Average interest rate on interest bearing demand deposits,; Average interest rates on interbank transactions, October 2021; NBM's activity on the interbank market (data shown according to trade date), October 2021; The weighted average interest rates and volumes on new attracted deposits,; Monetary survey,; Income Statement, October 2021; The structure of deposits of the banking sector, October 2021; Balance Sheet on the banking sector, October 2021; Official reserve assets and other foreign currency assets, 12 November 2021; Non-cash Foreign Exchange Market, October 2021; Information on financial and economic activities of banks, October 2021; Required reserves maintained by banks in FCC, September 2021; Required reserves maintained by banks in MDL, September 2021; Reference interbank market interest rates, 17 November 2021; Reference interbank market interest rates, 16 November 2021; Reference interbank market interest rates, 22 November 2021; Reference interbank market interest rates, 15 November 2021; Reference interbank market interest rates, 19 November 2021; Official reserve assets and other foreign currency assets, 05 November 2021; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 11 November 2021; Reference interbank market interest rates, 10 November 2021; Reference interbank market interest rates, 08 November 2021; Reference interbank market interest rates, 09 November 2021; Reference interbank market interest rates, 12 November 2021; Official reserve assets and other foreign currency assets, 29 October 2021; Reference interbank market interest rates, 05 November 2021; Reference interbank market interest rates, 04 November 2021; Reference interbank market interest rates, 03 November 2021; NBM Money Market Operations, October 2021; Reference interbank market interest rates, 02 November 2021; Monetary survey,; Commercial banks activity on the money market, October 2021; Weighted average yields on Government Securities of the RM, October 2021; Standing Facilities, October 2021; Reference interbank market interest rates, 01 November 2021; Average interest rate on interest bearing demand deposits,; Interest rates on monetary regulation instruments of NBM, 29 October 2021; Official reserve assets and other foreign currency assets, 22 October 2021; Reference interbank market interest rates, 29 October 2021; Reference interbank market interest rates, 28 October 2021; Memo items, September 2021; Reference interbank market interest rates, 27 October 2021; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, April 2021; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, April 2021; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 26 October 2021; Reference interbank market interest rates, 25 October 2021; Contingent short-term net drains on foreign currency assets, September 2021; Predetermined short-term net drains on foreign currency assets, September 2021; Money Transfers from Abroad in Favor of Individuals (net basis), September 2021; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, September 2021; Official Reserve Assets and other foreign currency assets, September 2021; Official reserve assets and other foreign currency assets, 15 October 2021; Foreign exchange assets and liabilities of the licensed banks, August 2021; Reference interbank market interest rates, 22 October 2021; Reference interbank market interest rates, 03 November 2021; Cash Foreign Exchange Market, September 2021; Money Transfers from Abroad in Favor of Individuals (gross basis),; Foreign exchange assets and liabilities of the licensed banks, September 2021; Reference interbank market interest rates, 21 October 2021; The structure o f credit portofolio of the banking sector (on branches), September 2021; Information on financial and economic activities of banks, September 2021; Non-cash Foreign Exchange Market, September 2021; Foreign exchange market supply and demand, September 2021; NBM's activity on the interbank market (data shown according to trade date), September 2021; Clasification of credit portofolio of the banking sector (on branches) , September 2021; The structure of credit portofolio of the banking sector (by debtor), September 2021; The structure of credit portofolio of the banking sector (by currency), September 2021; Average interest rates related to balances of loans and deposits,; Average interest rates on interbank transactions, September 2021; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new granted loans,; The structure of deposits of the banking sector, September 2021; Balance Sheet on the banking sector, September 2021; Income Statement, September 2021; Monetary survey,; Reference interbank market interest rates, 20 October 2021; Reference interbank market interest rates, 18 October 2021; Reference interbank market interest rates, 19 October 2021; Required reserves maintained by banks in MDL, August 2021; Required reserves maintained by banks in FCC, August 2021; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 08 October 2021; Reference interbank market interest rates, 15 October 2021; Reference interbank market interest rates, 13 October 2021; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 11 October 2021; Reference interbank market interest rates, 12 October 2021; Official reserve assets and other foreign currency assets, 01 October 2021; Official reserve assets and other foreign currency assets, 30 September 2021; Reference interbank market interest rates, 07 October 2021; Reference interbank market interest rates, 06 October 2021; Interest rates on monetary regulation instruments of NBM, 05 October 2021; Reference interbank market interest rates, 05 October 2021; Standing Facilities, September 2021; Commercial banks activity on the money market, September 2021; Reference interbank market interest rates, 04 October 2021; NBM Money Market Operations, September 2021; Weighted average yields on Government Securities of the RM, September 2021; Official reserve assets and other foreign currency assets, 24 September 2021; Monetary survey,; Reference interbank market interest rates, 01 October 2021; Average interest rate on interest bearing demand deposits,; International investment position (BPM6) in analytic presentation, by maturity,; Integrated international investment position statement (BPM6),; Integrated international investment position statement (BPM6),; Integrated international investment position statement (BPM6),; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Coordinated Direct Investment Survey by country, 2020; Coordinated Direct Investment Survey by Economic Activities, CEAM-2 (rev.2), stock at year-end, US$ million,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; International investment position (BPM6), standard presentation,; International investment position (BPM6), standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Reference interbank market interest rates, 30 September 2021; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 29 September 2021; Official reserve assets and other foreign currency assets, 17 September 2021; Reference interbank market interest rates, 27 September 2021; Reference interbank market interest rates, 28 September 2021; Memo items, August 2021; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Predetermined short-term net drains on foreign currency assets, August 2021; Contingent short-term net drains on foreign currency assets, August 2021; Official Reserve Assets and other foreign currency assets, August 2021; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Average interest rate on interest bearing demand deposits,; Information on financial and economic activities of banks, August 2021; Reference interbank market interest rates, 23 September 2021; Reference interbank market interest rates, 24 September 2021; Reference interbank market interest rates, 22 September 2021; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, August 2021; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), August 2021; Non-cash Foreign Exchange Market, August 2021; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 21 September 2021; Cash Foreign Exchange Market, August 2021; Foreign exchange assets and liabilities of the licensed banks, August 2021; Foreign exchange market supply and demand, August 2021; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Clasification of credit portofolio of the banking sector (on branches) , August 2021; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; The structure of credit portofolio of the banking sector (by debtor), August 2021; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; The structure o f credit portofolio of the banking sector (on branches), August 2021; The structure of credit portofolio of the banking sector (by currency), August 2021; NBM's activity on the interbank market (data shown according to trade date), August 2021; Average interest rates on interbank transactions, August 2021; The structure of deposits of the banking sector, August 2021; Income Statement, August 2021; Balance Sheet on the banking sector, August 2021; Monetary survey,; Reference interbank market interest rates, 20 September 2021; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Average interest rates related to balances of loans and deposits,; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new granted loans,; Official reserve assets and other foreign currency assets, 10 September 2021; Reference interbank market interest rates, 17 September 2021; Average interest rate on interest bearing demand deposits,; Information on financial and economic activities of banks, August 2021; Information on financial and economic activities of banks, August 2021; Required reserves maintained by banks in MDL, July 2021; Required reserves maintained by banks in FCC, July 2021; Reference interbank market interest rates, 16 September 2021; Reference interbank market interest rates, 15 September 2021; Cards issued by payment service providers in the Republic of Moldova, Trimestrul 2 2021; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 2 2021; Reference interbank market interest rates, 14 September 2021; Reference interbank market interest rates, 13 September 2021; Official reserve assets and other foreign currency assets, 03 September 2021; Reference interbank market interest rates, 10 September 2021; Reference interbank market interest rates, 09 September 2021; Weighted average yields on Government Securities of the RM, August 2021; Reference interbank market interest rates, 08 September 2021; Reference interbank market interest rates, 07 September 2021; Interest rates on monetary regulation instruments of NBM, 06 September 2021; Reference interbank market interest rates, 06 September 2021; Monetary survey,; Reference interbank market interest rates, 03 September 2021; NBM Money Market Operations, August 2021; Commercial banks activity on the money market, August 2021; Official reserve assets and other foreign currency assets, 26 August 2021; Standing Facilities, August 2021; Memo items, July 2021; Official reserve assets and other foreign currency assets, 20 August 2021; Reference interbank market interest rates, 02 September 2021; Predetermined short-term net drains on foreign currency assets, July 2021; Reference interbank market interest rates, 16 September 2021; Reference interbank market interest rates, 01 September 2021; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 26 August 2021; Reference interbank market interest rates, 25 August 2021; Contingent short-term net drains on foreign currency assets, July 2021; Clasification of credit portofolio of the banking sector (on branches) , July 2021; Official Reserve Assets and other foreign currency assets, July 2021; Clasification of credit portofolio of the banking sector (on branches) , July 2021; Information on financial and economic activities of banks, June 2021; The structure o f credit portofolio of the banking sector (on branches), July 2021; The structure of credit portofolio of the banking sector (by debtor), July 2021; Reference interbank market interest rates, 24 August 2021; Reference interbank market interest rates, 23 August 2021; Money Transfers from Abroad in Favor of Individuals (net basis), July 2021; The structure of credit portofolio of the banking sector (by currency), July 2021; Information on financial and economic activities of banks, July 2021; Information on financial and economic activities of banks, July 2021; Reference interbank market interest rates, 21 August 2021; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, July 2021; Money Transfers from Abroad in Favor of Individuals (gross basis),; The structure of deposits of the banking sector, July 2021; Income Statement, July 2021; Balance Sheet on the banking sector, July 2021; Balance Sheet on the banking sector, July 2021; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new granted loans,; NBM's activity on the interbank market (data shown according to trade date), July 2021; Average interest rate on interest bearing demand deposits,; Average interest rates related to balances of loans and deposits,; Average interest rates on interbank transactions, July 2021; Non-cash Foreign Exchange Market, July 2021; Monetary survey,; Official reserve assets and other foreign currency assets, 13 August 2021; Cash Foreign Exchange Market, July 2021; Foreign exchange market supply and demand, July 2021; Foreign exchange assets and liabilities of the licensed banks, July 2021; Foreign exchange assets and liabilities of the licensed banks, June 2021; Reference interbank market interest rates, 19 August 2021; Reference interbank market interest rates, 20 August 2021; Required reserves maintained by banks in FCC, June 2021; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 18 August 2021; Official reserve assets and other foreign currency assets, 06 August 2021; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 17 August 2021; Reference interbank market interest rates, 13 August 2021; Required reserves maintained by banks in MDL, June 2021; Reference interbank market interest rates, 16 August 2021; Reference interbank market interest rates, 11 August 2021; Reference interbank market interest rates, 12 August 2021; Reference interbank market interest rates, 10 August 2021; Reference interbank market interest rates, 09 August 2021; Monetary survey,; Official reserve assets and other foreign currency assets, 30 July 2021; Reference interbank market interest rates, 06 August 2021; Reference interbank market interest rates, 04 August 2021; Reference interbank market interest rates, 05 August 2021; Commercial banks activity on the money market, July 2021; Reference interbank market interest rates, 03 August 2021; Standing Facilities, July 2021; Reference interbank market interest rates, 02 August 2021; Weighted average yields on Government Securities of the RM, July 2021; NBM Money Market Operations, July 2021; Reference interbank market interest rates, 30 July 2021; Interest rates on monetary regulation instruments of NBM, 30 July 2021; Official reserve assets and other foreign currency assets, 23 July 2021; The structure o f credit portofolio of the banking sector (on branches), December 2020; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 29 July 2021; The structure of credit portofolio of the banking sector (by debtor), December 2020; Clasification of credit portofolio of the banking sector (on branches) , December 2020; The structure of credit portofolio of the banking sector (by currency), December 2020; Reference interbank market interest rates, 28 July 2021; Reference interbank market interest rates, 13 August 2021; Reference interbank market interest rates, 27 July 2021; Reference interbank market interest rates, 26 July 2021; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 16 July 2021; Reference interbank market interest rates, 23 July 2021; Memo items, June 2021; Contingent short-term net drains on foreign currency assets, June 2021; Predetermined short-term net drains on foreign currency assets, June 2021; Official Reserve Assets and other foreign currency assets, June 2021; Reference interbank market interest rates, 22 July 2021; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, June 2021; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), June 2021; Reference interbank market interest rates, 21 July 2021; The structure o f credit portofolio of the banking sector (on branches), June 2021; Information on financial and economic activities of banks, June 2021; Clasification of credit portofolio of the banking sector (on branches) , June 2021; The structure of credit portofolio of the banking sector (by currency), June 2021; Clasification of credit portofolio of the banking sector (on branches) , June 2021; The structure of credit portofolio of the banking sector (by debtor), June 2021; Required reserves maintained by banks in MDL, May 2021; Required reserves maintained by banks in FCC, May 2021; Foreign exchange assets and liabilities of the licensed banks, June 2021; Cash Foreign Exchange Market, June 2021; Foreign exchange market supply and demand, June 2021; Average interest rates related to balances of loans and deposits,; Monetary survey,; The weighted average interest rates and volumes on new granted loans,; Reference interbank market interest rates, 20 July 2021; The weighted average interest rates and volumes on new attracted deposits,; Average interest rates on interbank transactions, June 2021; The structure of deposits of the banking sector, June 2021; Income Statement, June 2021; Balance Sheet on the banking sector, June 2021; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, January 2021; Reference interbank market interest rates, 19 July 2021; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 16 July 2021; Official reserve assets and other foreign currency assets, 09 July 2021; Non-cash Foreign Exchange Market, January 2021; Non-cash Foreign Exchange Market, June 2021; Reference interbank market interest rates, 15 July 2021; NBM's activity on the interbank market (data shown according to trade date), June 2021; Reference interbank market interest rates, 14 July 2021; Reference interbank market interest rates, 13 July 2021; Reference interbank market interest rates, 12 July 2021; Reference interbank market interest rates, 09 July 2021; Official reserve assets and other foreign currency assets, 02 July 2021; Reference interbank market interest rates, 08 July 2021; Monetary survey,; Reference interbank market interest rates, 07 July 2021; Official reserve assets and other foreign currency assets, 30 June 2021; Reference interbank market interest rates, 06 July 2021; Reference interbank market interest rates, 05 July 2021; Cards issued by payment service providers in the Republic of Moldova, Trimestrul 1 2021; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 1 2021; The structure o f credit portofolio of the banking sector (on branches), May 2021; Official reserve assets and other foreign currency assets, 25 June 2021; Reference interbank market interest rates, 02 July 2021; Average interest rate on interest bearing demand deposits,; Weighted average yields on Government Securities of the RM, June 2021; NBM Money Market Operations, June 2021; Commercial banks activity on the money market, June 2021; Standing Facilities, June 2021; Integrated international investment position statement (BPM6),; International investment position (BPM6) in analytic presentation, by maturity,; Reference interbank market interest rates, 01 July 2021; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; International investment position (BPM6), standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 30 June 2021; Reference interbank market interest rates, 29 June 2021; Contingent short-term net drains on foreign currency assets, May 2021; Memo items, May 2021; Reference interbank market interest rates, 28 June 2021; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Official Reserve Assets and other foreign currency assets, May 2021; Predetermined short-term net drains on foreign currency assets, May 2021; Official reserve assets and other foreign currency assets, 18 June 2021; Reference interbank market interest rates, 25 June 2021; Reference interbank market interest rates, 24 June 2021; The structure o f credit portofolio of the banking sector (on branches), May 2021; Reference interbank market interest rates, 23 June 2021; Money Transfers from Abroad in Favor of Individuals (net basis), May 2021; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, May 2021; Reference interbank market interest rates, 22 June 2021; Balance Sheet on the banking sector, May 2021; Income Statement, May 2021; Information on financial and economic activities of banks, May 2021; Clasification of credit portofolio of the banking sector (on branches) , May 2021; The structure of credit portofolio of the banking sector (by currency), May 2021; The structure of credit portofolio of the banking sector (by debtor), May 2021; Information on financial and economic activities of banks, March 2021; Reference interbank market interest rates, 29 June 2021; Reference interbank market interest rates, 21 June 2021; The structure of deposits of the banking sector, May 2021; The weighted average interest rates and volumes on new granted loans,; Information on financial and economic activities of banks, May 2021; Foreign exchange market supply and demand, May 2021; Cash Foreign Exchange Market, May 2021; Foreign exchange assets and liabilities of the licensed banks, May 2021; Average interest rates related to balances of loans and deposits,; Average interest rate on interest bearing demand deposits,; Average interest rates on interbank transactions, May 2021; The weighted average interest rates and volumes on new attracted deposits,; Monetary survey,; Official reserve assets and other foreign currency assets, 11 June 2021; Reference interbank market interest rates, 18 June 2021; NBM's activity on the interbank market (data shown according to trade date), May 2021; Non-cash Foreign Exchange Market, May 2021; Reference interbank market interest rates, 16 June 2021; Reference interbank market interest rates, 17 June 2021; Required reserves maintained by banks in MDL, April 2021; Required reserves maintained by banks in FCC, April 2021; Reference interbank market interest rates, 15 June 2021; Monetary survey,; Reference interbank market interest rates, 14 June 2021; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 11 June 2021; Official reserve assets and other foreign currency assets, 04 June 2021; Reference interbank market interest rates, 10 June 2021; Interest rates on monetary regulation instruments of NBM, 08 June 2021; Reference interbank market interest rates, 09 June 2021; Reference interbank market interest rates, 08 June 2021; Reference interbank market interest rates, 07 June 2021; Official reserve assets and other foreign currency assets, 31 May 2021; Official reserve assets and other foreign currency assets, 28 May 2021; Reference interbank market interest rates, 04 June 2021; Reference interbank market interest rates, 02 June 2021; Reference interbank market interest rates, 03 June 2021; NBM Money Market Operations, May 2021; Standing Facilities, May 2021; Weighted average yields on Government Securities of the RM, May 2021; Commercial banks activity on the money market, May 2021; Reference interbank market interest rates, 01 June 2021; Reference interbank market interest rates, 31 May 2021; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 28 May 2021; Official reserve assets and other foreign currency assets, 21 May 2021; Reference interbank market interest rates, 27 May 2021; Information on financial and economic activities of banks, April 2021; Reference interbank market interest rates, 26 May 2021; Reference interbank market interest rates, 25 May 2021; Contingent short-term net drains on foreign currency assets, April 2021; Memo items, April 2021; Predetermined short-term net drains on foreign currency assets, April 2021; Official Reserve Assets and other foreign currency assets, April 2021; Reference interbank market interest rates, 24 May 2021; Foreign exchange market supply and demand, April 2021; Foreign exchange assets and liabilities of the licensed banks, April 2021; Reference interbank market interest rates, 21 May 2021; Cash Foreign Exchange Market, April 2021; Money Transfers from Abroad in Favor of Individuals (net basis), April 2021; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, April 2021; Money Transfers from Abroad in Favor of Individuals (gross basis),; Foreign exchange assets and liabilities of the licensed banks, April 2021; Official reserve assets and other foreign currency assets, 14 May 2021; Monetary survey,; Average interest rate on interest bearing demand deposits,; Information on financial and economic activities of banks, December 2020; The structure o f credit portofolio of the banking sector (on branches), April 2021; The structure of credit portofolio of the banking sector (by debtor), April 2021; The structure of credit portofolio of the banking sector (by currency), April 2021; Clasification of credit portofolio of the banking sector (on branches) , April 2021; Average interest rates related to balances of loans and deposits,; Average interest rates on interbank transactions, April 2021; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new granted loans,; Reference interbank market interest rates, 20 May 2021; The structure of deposits of the banking sector, April 2021; Information on financial and economic activities of banks, April 2021; Balance Sheet on the banking sector, April 2021; Income Statement, April 2021; Reference interbank market interest rates, 19 May 2021; Reference interbank market interest rates, 18 May 2021; NBM's activity on the interbank market (data shown according to trade date), April 2021; Non-cash Foreign Exchange Market, April 2021; Required reserves maintained by banks in MDL, March 2021; Required reserves maintained by banks in FCC, March 2021; Reference interbank market interest rates, 14 May 2021; Reference interbank market interest rates, 17 May 2021; Official reserve assets and other foreign currency assets, 07 May 2021; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Monetary survey,; Reference interbank market interest rates, 13 May 2021; Reference interbank market interest rates, 12 May 2021; Reference interbank market interest rates, 11 May 2021; Reference interbank market interest rates, 07 May 2021; Official reserve assets and other foreign currency assets, 30 April 2021; Standing Facilities, April 2021; Reference interbank market interest rates, 06 May 2021; Commercial banks activity on the money market, April 2021; NBM Money Market Operations, April 2021; Weighted average yields on Government Securities of the RM, April 2021; Reference interbank market interest rates, 05 May 2021; Reference interbank market interest rates, 04 May 2021; Average interest rate on interest bearing demand deposits,; Interest rates on monetary regulation instruments of NBM, 30 April 2021; Reference interbank market interest rates, 30 April 2021; Official reserve assets and other foreign currency assets, 23 April 2021; Reference interbank market interest rates, 29 April 2021; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, October 2020; Average interest rate on interest bearing demand deposits,; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Reference interbank market interest rates, 28 April 2021; Reference interbank market interest rates, 27 April 2021; Reference interbank market interest rates, 26 April 2021; Official reserve assets and other foreign currency assets, 16 April 2021; Cards issued by payment service providers in the Republic of Moldova, 2020; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), 2020; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, March 2021; Memo items, March 2021; Contingent short-term net drains on foreign currency assets, March 2021; Predetermined short-term net drains on foreign currency assets, March 2021; Reference interbank market interest rates, 23 April 2021; Official Reserve Assets and other foreign currency assets, March 2021; Non-cash Foreign Exchange Market, March 2021; Reference interbank market interest rates, 22 April 2021; Foreign exchange market supply and demand, March 2021; Money Transfers from Abroad in Favor of Individuals (net basis), March 2021; Money Transfers from Abroad in Favor of Individuals (gross basis),; NBM's activity on the interbank market (data shown according to trade date), March 2021; The structure of credit portofolio of the banking sector (by debtor), March 2021; Information on financial and economic activities of banks, March 2021; The structure o f credit portofolio of the banking sector (on branches), March 2021; Foreign exchange assets and liabilities of the licensed banks, March 2021; Cash Foreign Exchange Market, March 2021; Reference interbank market interest rates, 21 April 2021; Clasification of credit portofolio of the banking sector (on branches) , March 2021; Clasification of credit portofolio of the banking sector (on branches) , March 2021; The structure of credit portofolio of the banking sector (by currency), March 2021; The structure of deposits of the banking sector, March 2021; Balance Sheet on the banking sector, March 2021; Income Statement, March 2021; The weighted average interest rates and volumes on new granted loans,; Monetary survey,; The weighted average interest rates and volumes on new attracted deposits,; Average interest rates related to balances of loans and deposits,; Average interest rates on interbank transactions, March 2021; Reference interbank market interest rates, 20 April 2021; Reference interbank market interest rates, 19 April 2021; Average interest rate on interest bearing demand deposits,; Required reserves maintained by banks in MDL, February 2021; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 09 April 2021; Required reserves maintained by banks in FCC, February 2021; Reference interbank market interest rates, 16 April 2021; Reference interbank market interest rates, 15 April 2021; Reference interbank market interest rates, 14 April 2021; Reference interbank market interest rates, 13 April 2021; Reference interbank market interest rates, 12 April 2021; Official reserve assets and other foreign currency assets, 02 April 2021; Reference interbank market interest rates, 08 April 2021; Reference interbank market interest rates, 09 April 2021; Official reserve assets and other foreign currency assets, 31 March 2021; Reference interbank market interest rates, 07 April 2021; Reference interbank market interest rates, 06 April 2021; Interest rates on monetary regulation instruments of NBM, 05 April 2021; Reference interbank market interest rates, 05 April 2021; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 26 March 2021; Reference interbank market interest rates, 02 April 2021; Weighted average yields on Government Securities of the RM, March 2021; Reference interbank market interest rates, 01 April 2021; Monetary survey,; Commercial banks activity on the money market, March 2021; NBM Money Market Operations, March 2021; Standing Facilities, March 2021; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 31 March 2021; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Integrated international investment position statement (BPM6),; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; International investment position (BPM6), standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 29 March 2021; Contingent short-term net drains on foreign currency assets, February 2021; Memo items, February 2021; Reference interbank market interest rates, 30 March 2021; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 26 March 2021; Official reserve assets and other foreign currency assets, 19 March 2021; Reference interbank market interest rates, 23 March 2021; Official Reserve Assets and other foreign currency assets, February 2021; Predetermined short-term net drains on foreign currency assets, February 2021; Reference interbank market interest rates, 25 March 2021; Reference interbank market interest rates, 24 March 2021; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Non-cash Foreign Exchange Market, February 2021; NBM's activity on the interbank market (data shown according to trade date), February 2021; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Information on financial and economic activities of banks, February 2021; The structure o f credit portofolio of the banking sector (on branches), February 2021; Clasification of credit portofolio of the banking sector (on branches) , February 2021; The structure of credit portofolio of the banking sector (by currency), February 2021; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), February 2021; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, February 2021; Reference interbank market interest rates, 22 March 2021; Foreign exchange assets and liabilities of the licensed banks, February 2021; Cash Foreign Exchange Market, February 2021; Foreign exchange market supply and demand, February 2021; The structure of credit portofolio of the banking sector (by debtor), February 2021; Average interest rates on interbank transactions, February 2021; Average interest rate on interest bearing demand deposits,; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new granted loans,; Average interest rates related to balances of loans and deposits,; Reference interbank market interest rates, 19 March 2021; Official reserve assets and other foreign currency assets, 12 March 2021; Monetary survey,; Income Statement, February 2021; The structure of deposits of the banking sector, February 2021; Balance Sheet on the banking sector, February 2021; Reference interbank market interest rates, 18 March 2021; Reference interbank market interest rates, 16 March 2021; Reference interbank market interest rates, 17 March 2021; Required reserves maintained by banks in FCC, January 2021; Required reserves maintained by banks in MDL, January 2021; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 05 March 2021; Reference interbank market interest rates, 12 March 2021; Reference interbank market interest rates, 05 March 2021; Official reserve assets and other foreign currency assets, 26 February 2021; Reference interbank market interest rates, 04 March 2021; Reference interbank market interest rates, 10 March 2021; Interest rates on monetary regulation instruments of NBM, 05 March 2021; Reference interbank market interest rates, 09 March 2021; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 11 March 2021; Commercial banks activity on the money market, February 2021; Reference interbank market interest rates, 02 March 2021; Standing Facilities, February 2021; Reference interbank market interest rates, 03 March 2021; Standing Facilities, October 2020; NBM Money Market Operations, February 2021; Weighted average yields on Government Securities of the RM, February 2021; Predetermined short-term net drains on foreign currency assets, January 2021; Reference interbank market interest rates, 01 March 2021; Official Reserve Assets and other foreign currency assets, January 2021; Official reserve assets and other foreign currency assets, 19 February 2021; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 26 February 2021; Monetary survey,; Information on financial and economic activities of banks, January 2021; Contingent short-term net drains on foreign currency assets, January 2021; Reference interbank market interest rates, 25 February 2021; Memo items, January 2021; Reference interbank market interest rates, 24 February 2021; Reference interbank market interest rates, 15 March 2021; Clasification of credit portofolio of the banking sector (on branches) , January 2021; The structure o f credit portofolio of the banking sector (on branches), January 2021; Information on financial and economic activities of banks, December 2020; The structure of credit portofolio of the banking sector (by currency), January 2021; Clasification of credit portofolio of the banking sector (on branches) , January 2021; The structure of credit portofolio of the banking sector (by debtor), January 2021; Balance Sheet on the banking sector, January 2021; Reference interbank market interest rates, 19 February 2021; Average interest rates related to balances of loans and deposits,; Reference interbank market interest rates, 18 February 2021; Cash Foreign Exchange Market, January 2021; Foreign exchange assets and liabilities of the licensed banks, January 2021; Foreign exchange market supply and demand, January 2021; Income Statement, January 2021; Reference interbank market interest rates, 17 February 2021; Reference interbank market interest rates, 22 February 2021; Average interest rates on interbank transactions, January 2021; The structure of deposits of the banking sector, January 2021; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new granted loans,; Official reserve assets and other foreign currency assets, 12 February 2021; Reference interbank market interest rates, 23 February 2021; Monetary survey,; Reference interbank market interest rates, 25 February 2021; Average interest rate on interest bearing demand deposits,; Required reserves maintained by banks in MDL, December 2020; Official reserve assets and other foreign currency assets, 05 February 2021; Required reserves maintained by banks in FCC, December 2020; Reference interbank market interest rates, 16 February 2021; Reference interbank market interest rates, 15 February 2021; Average interest rate on interest bearing demand deposits,; NBM's activity on the interbank market (data shown according to trade date), January 2021; Non-cash Foreign Exchange Market, January 2021; Reference interbank market interest rates, 11 February 2021; Reference interbank market interest rates, 12 February 2021; Reference interbank market interest rates, 09 February 2021; Reference interbank market interest rates, 10 February 2021; Reference interbank market interest rates, 08 February 2021; Reference interbank market interest rates, 05 February 2021; Official reserve assets and other foreign currency assets, 29 January 2021; Reference interbank market interest rates, 04 February 2021; Reference interbank market interest rates, 03 February 2021; Average interest rate on interest bearing demand deposits,; NBM Money Market Operations, January 2021; Weighted average yields on Government Securities of the RM, January 2021; Commercial banks activity on the money market, January 2021; Reference interbank market interest rates, 02 February 2021; Standing Facilities, January 2021; Monetary survey,; Reference interbank market interest rates, 01 February 2021; Interest rates on monetary regulation instruments of NBM, 29 January 2021; Official reserve assets and other foreign currency assets, 22 January 2021; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 29 January 2021; Reference interbank market interest rates, 28 January 2021; Reference interbank market interest rates, 27 January 2021; Clasification of credit portofolio of the banking sector (on branches) , December 2020; Information on financial and economic activities of banks, December 2020; Clasification of credit portofolio of the banking sector (on branches) , December 2020; The structure of credit portofolio of the banking sector (by debtor), December 2020; Reference interbank market interest rates, 26 January 2021; The structure o f credit portofolio of the banking sector (on branches), December 2020; Reference interbank market interest rates, 25 January 2021; Official Reserve Assets and other foreign currency assets, December 2020; Money Transfers from Abroad in Favor of Individuals (net basis), December 2020; Contingent short-term net drains on foreign currency assets, December 2020; Memo items, December 2020; The structure of credit portofolio of the banking sector (by currency), December 2020; Predetermined short-term net drains on foreign currency assets, December 2020; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, December 2020; Reference interbank market interest rates, 22 January 2021; Official reserve assets and other foreign currency assets, 15 January 2021; Non-cash Foreign Exchange Market, December 2020; NBM's activity on the interbank market (data shown according to trade date), December 2020; Cash Foreign Exchange Market, December 2020; Foreign exchange assets and liabilities of the licensed banks, December 2020; Required reserves maintained by banks in MDL, November 2020; Required reserves maintained by banks in FCC, November 2020; Foreign exchange market supply and demand, December 2020; Reference interbank market interest rates, 21 January 2021; Income Statement, December 2020; The structure of deposits of the banking sector, December 2020; The annual weighted average interest rates on new loans and deposits attracted and associated volumes, 2020; The weighted average interest rates and volumes on new granted loans,; Reference interbank market interest rates, 25 January 2021; Average interest rates related to balances of loans and deposits,; Average interest rates on interbank transactions, December 2020; Balance Sheet on the banking sector, December 2020; The weighted average interest rates and volumes on new attracted deposits,; Monetary survey,; Reference interbank market interest rates, 15 January 2021; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 14 January 2021; Reference interbank market interest rates, 20 January 2021; Reference interbank market interest rates, 19 January 2021; Official reserve assets and other foreign currency assets, 06 January 2021; Reference interbank market interest rates, 13 January 2021; Reference interbank market interest rates, 18 January 2021; Reference interbank market interest rates, 12 January 2021; Official reserve assets and other foreign currency assets, 31 December 2020; Reference interbank market interest rates, 11 January 2021; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 3 2020; Cards issued by payment service providers in the Republic of Moldova, Trimestrul 3 2020; Number and amount of transactions carried out with payment cards from the Republic of Moldova,; Reference interbank market interest rates, 06 January 2021; Commercial banks activity on the money market, December 2020; Weighted average yields on Government Securities of the RM, December 2020; NBM Money Market Operations, December 2020; Reference interbank market interest rates, 05 January 2021; Standing Facilities, December 2020; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 04 January 2021; Official reserve assets and other foreign currency assets, 24 December 2020; Reference interbank market interest rates, 31 December 2020; Reference interbank market interest rates, 30 December 2020; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Monetary survey,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Integrated international investment position statement (BPM6),; International investment position (BPM6), standard presentation,; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Reference interbank market interest rates, 29 December 2020; Official reserve assets and other foreign currency assets, 18 December 2020; Reference interbank market interest rates, 28 December 2020; Average interest rate on interest bearing demand deposits,; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, November 2020; Money Transfers from Abroad in Favor of Individuals (net basis), November 2020; Predetermined short-term net drains on foreign currency assets, November 2020; Official Reserve Assets and other foreign currency assets, November 2020; Contingent short-term net drains on foreign currency assets, November 2020; Memo items, November 2020; Reference interbank market interest rates, 24 December 2020; Reference interbank market interest rates, 23 December 2020; Reference interbank market interest rates, 22 December 2020; Average interest rate on interest bearing demand deposits,; Information on financial and economic activities of banks, September 2020; Information on financial and economic activities of banks, November 2020; The structure of credit portofolio of the banking sector (by currency), November 2020; The structure of credit portofolio of the banking sector (by debtor), November 2020; The structure o f credit portofolio of the banking sector (on branches), November 2020; Clasification of credit portofolio of the banking sector (on branches) , November 2020; Reference interbank market interest rates, 21 December 2020; The weighted average interest rates and volumes on new attracted deposits,; Balance Sheet on the banking sector, November 2020; Reference interbank market interest rates, 18 December 2020; The structure of deposits of the banking sector, November 2020; Income Statement, November 2020; Foreign exchange market supply and demand, November 2020; Cash Foreign Exchange Market, November 2020; Foreign exchange assets and liabilities of the licensed banks, November 2020; Average interest rates related to balances of loans and deposits,; Monetary survey,; NBM's activity on the interbank market (data shown according to trade date), November 2020; Non-cash Foreign Exchange Market, November 2020; Official reserve assets and other foreign currency assets, 11 December 2020; Average interest rates on interbank transactions, November 2020; The weighted average interest rates and volumes on new granted loans,; Required reserves maintained by banks in FCC, October 2020; Reference interbank market interest rates, 17 December 2020; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 16 December 2020; Required reserves maintained by banks in MDL, October 2020; Official reserve assets and other foreign currency assets, 04 December 2020; Reference interbank market interest rates, 11 December 2020; Reference interbank market interest rates, 15 December 2020; Reference interbank market interest rates, 14 December 2020; Reference interbank market interest rates, 08 December 2020; Reference interbank market interest rates, 07 December 2020; Official reserve assets and other foreign currency assets, 30 November 2020; Reference interbank market interest rates, 04 December 2020; Official reserve assets and other foreign currency assets, 27 November 2020; Reference interbank market interest rates, 03 December 2020; Reference interbank market interest rates, 10 December 2020; Reference interbank market interest rates, 09 December 2020; Interest rates on monetary regulation instruments of NBM, 09 December 2020; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; NBM Money Market Operations, November 2020; Standing Facilities, November 2020; Weighted average yields on Government Securities of the RM, November 2020; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Reference interbank market interest rates, 02 December 2020; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 01 December 2020; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Commercial banks activity on the money market, November 2020; Reference interbank market interest rates, 30 November 2020; Official reserve assets and other foreign currency assets, 20 November 2020; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 27 November 2020; Reference interbank market interest rates, 26 November 2020; Contingent short-term net drains on foreign currency assets, October 2020; Memo items, October 2020; Money Transfers from Abroad in Favor of Individuals (net basis), October 2020; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, October 2020; Money Transfers from Abroad in Favor of Individuals (gross basis),; Official Reserve Assets and other foreign currency assets, October 2020; Predetermined short-term net drains on foreign currency assets, October 2020; Reference interbank market interest rates, 25 November 2020; Information on financial and economic activities of banks, August 2020; Information on financial and economic activities of banks, September 2020; Reference interbank market interest rates, 23 November 2020; Information on financial and economic activities of banks, October 2020; Reference interbank market interest rates, 24 November 2020; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; The structure o f credit portofolio of the banking sector (on branches), October 2020; Income Statement, October 2020; The structure of credit portofolio of the banking sector (by currency), October 2020; The structure of credit portofolio of the banking sector (by debtor), October 2020; Clasification of credit portofolio of the banking sector (on branches) , October 2020; Clasification of credit portofolio of the banking sector (on branches) , October 2020; Official reserve assets and other foreign currency assets, 13 November 2020; Foreign exchange assets and liabilities of the licensed banks, October 2020; The structure of deposits of the banking sector, October 2020; Information on financial and economic activities of banks, August 2020; Balance Sheet on the banking sector, October 2020; The weighted average interest rates and volumes on new granted loans,; Foreign exchange assets and liabilities of the licensed banks, October 2020; The weighted average interest rates and volumes on new attracted deposits,; Monetary survey,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 20 November 2020; Reference interbank market interest rates, 10 November 2020; Monetary survey,; Commercial banks activity on the money market, October 2020; Official reserve assets and other foreign currency assets, 06 November 2020; Reference interbank market interest rates, 30 October 2020; Standing Facilities, October 2020; Reference interbank market interest rates, 17 November 2020; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 09 November 2020; Reference interbank market interest rates, 29 October 2020; Required reserves maintained by banks in MDL, September 2020; Average interest rate on interest bearing demand deposits,; Required reserves maintained by banks in FCC, September 2020; Interest rates on monetary regulation instruments of NBM, 06 November 2020; Weighted average yields on Government Securities of the RM, October 2020; Reference interbank market interest rates, 13 November 2020; NBM Money Market Operations, October 2020; Information on financial and economic activities of banks, June 2020; Information on financial and economic activities of banks, September 2020; Official reserve assets and other foreign currency assets, 30 October 2020; Reference interbank market interest rates, 03 November 2020; The structure of credit portofolio of the banking sector (by currency), September 2020; Reference interbank market interest rates, 16 November 2020; Reference interbank market interest rates, 28 October 2020; Reference interbank market interest rates, 05 November 2020; Reference interbank market interest rates, 02 November 2020; Reference interbank market interest rates, 12 November 2020; NBM's activity on the interbank market (data shown according to trade date), October 2020; Non-cash Foreign Exchange Market, October 2020; Reference interbank market interest rates, 04 November 2020; Reference interbank market interest rates, 11 November 2020; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 23 October 2020; Reference interbank market interest rates, 27 October 2020; Reference interbank market interest rates, 26 October 2020; Average interest rate on interest bearing demand deposits,; Balance Sheet on the banking sector, September 2020; Income Statement, September 2020; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, September 2020; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), September 2020; Contingent short-term net drains on foreign currency assets, September 2020; Memo items, September 2020; Predetermined short-term net drains on foreign currency assets, September 2020; Official reserve assets and other foreign currency assets, 16 October 2020; Official Reserve Assets and other foreign currency assets, September 2020; Reference interbank market interest rates, 23 October 2020; The structure of credit portofolio of the banking sector (by debtor), September 2020; The structure o f credit portofolio of the banking sector (on branches), September 2020; Clasification of credit portofolio of the banking sector (on branches) , September 2020; Reference interbank market interest rates, 22 October 2020; Reference interbank market interest rates, 21 October 2020; Foreign exchange market supply and demand, September 2020; Non-cash Foreign Exchange Market, September 2020; Foreign exchange assets and liabilities of the licensed banks, September 2020; Foreign exchange assets and liabilities of the licensed banks, August 2020; NBM's activity on the interbank market (data shown according to trade date), September 2020; Average interest rates on interbank transactions, September 2020; Information on financial and economic activities of banks, September 2020; Cash Foreign Exchange Market, September 2020; The structure of credit portofolio of the banking sector (by currency), September 2020; The structure of deposits of the banking sector, September 2020; Monetary survey,; Average interest rates related to balances of loans and deposits,; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new granted loans,; Reference interbank market interest rates, 20 October 2020; Income Statement, September 2020; Balance Sheet on the banking sector, September 2020; Reference interbank market interest rates, 19 October 2020; Required reserves maintained by banks in MDL, August 2020; Required reserves maintained by banks in FCC, August 2020; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 16 October 2020; Official reserve assets and other foreign currency assets, 09 October 2020; Reference interbank market interest rates, 15 October 2020; Reference interbank market interest rates, 13 October 2020; Reference interbank market interest rates, 12 October 2020; Official reserve assets and other foreign currency assets, 02 October 2020; Reference interbank market interest rates, 09 October 2020; Reference interbank market interest rates, 08 October 2020; Reference interbank market interest rates, 07 October 2020; Official reserve assets and other foreign currency assets, 30 September 2020; Reference interbank market interest rates, 06 October 2020; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 05 October 2020; Official reserve assets and other foreign currency assets, 25 September 2020; Commercial banks activity on the money market, September 2020; Standing Facilities, September 2020; Weighted average yields on Government Securities of the RM, September 2020; NBM Money Market Operations, September 2020; Coordinated Direct Investment Survey by Economic Activities(CEAM rev.2),; Monetary survey,; Coordinated Direct Investment Survey by country, 2019; Reference interbank market interest rates, 02 October 2020; Coordinated Direct Investment Survey by country, 2019; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Reference interbank market interest rates, 01 October 2020; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Coordinated Direct Investment Survey by Economic Activities, CEAM-2 (rev.2), stock at year-end, US$ million,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; International investment position (BPM6), standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; International investment position (BPM6), standard presentation,; Reference interbank market interest rates, 30 September 2020; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; International Investment position (BPM6), standard components and additional details,; International Investment position (BPM6), standard components and additional details,; Reference interbank market interest rates, 29 September 2020; Reference interbank market interest rates, 28 September 2020; Official reserve assets and other foreign currency assets, 18 September 2020; Information regarding the activity of payment service providers with payment cards from the Republic of Moldova (per provider), Trimestrul 2 2020; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Reference interbank market interest rates, 25 September 2020; Memo items, August 2020; Contingent short-term net drains on foreign currency assets, August 2020; Official Reserve Assets and other foreign currency assets, August 2020; Predetermined short-term net drains on foreign currency assets, August 2020; Average interest rate on interest bearing demand deposits,; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), August 2020; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 24 September 2020; Reference interbank market interest rates, 23 September 2020; Information on financial and economic activities of banks, August 2020; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, August 2020; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; The structure o f credit portofolio of the banking sector (on branches), August 2020; Clasification of credit portofolio of the banking sector (on branches) , August 2020; The structure of credit portofolio of the banking sector (by currency), August 2020; Reference interbank market interest rates, 22 September 2020; The structure of credit portofolio of the banking sector (by debtor), August 2020; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Monetary survey,; Foreign exchange market supply and demand, August 2020; Cash Foreign Exchange Market, August 2020; Foreign exchange assets and liabilities of the licensed banks, August 2020; Reference interbank market interest rates, 21 September 2020; Average interest rate on interest bearing demand deposits,; Average interest rates on interbank transactions, August 2020; The weighted average interest rates and volumes on new granted loans,; Average interest rates related to balances of loans and deposits,; The weighted average interest rates and volumes on new attracted deposits,; Foreign exchange assets and liabilities of the licensed banks, August 2020; The structure of deposits of the banking sector, August 2020; Income Statement, August 2020; Balance Sheet on the banking sector, August 2020; Official reserve assets and other foreign currency assets, 11 September 2020; Reference interbank market interest rates, 18 September 2020; Reference interbank market interest rates, 17 September 2020; Reference interbank market interest rates, 16 September 2020; Required reserves maintained by banks in FCC, July 2020; Required reserves maintained by banks in MDL, July 2020; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 15 September 2020; Reference interbank market interest rates, 14 September 2020; Non-cash Foreign Exchange Market, August 2020; NBM's activity on the interbank market (data shown according to trade date), August 2020; Reference interbank market interest rates, 11 September 2020; Official reserve assets and other foreign currency assets, 04 September 2020; Reference interbank market interest rates, 04 September 2020; Reference interbank market interest rates, 10 September 2020; Interest rates on monetary regulation instruments of NBM, 09 September 2020; Reference interbank market interest rates, 03 September 2020; Reference interbank market interest rates, 09 September 2020; Reference interbank market interest rates, 08 September 2020; Reference interbank market interest rates, 07 September 2020; Reference interbank market interest rates, 02 September 2020; Official reserve assets and other foreign currency assets, 26 August 2020; Monetary survey,; Reference interbank market interest rates, 01 September 2020; Weighted average yields on Government Securities of the RM, August 2020; Commercial banks activity on the money market, August 2020; Average interest rate on interest bearing demand deposits,; Standing Facilities, August 2020; Official reserve assets and other foreign currency assets, 21 August 2020; NBM Money Market Operations, August 2020; Information on financial and economic activities of banks, July 2020; Reference interbank market interest rates, 26 August 2020; Reference interbank market interest rates, 25 August 2020; Official Reserve Assets and other foreign currency assets, July 2020; Predetermined short-term net drains on foreign currency assets, July 2020; Contingent short-term net drains on foreign currency assets, July 2020; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, July 2020; Memo items, July 2020; Money Transfers from Abroad in Favor of Individuals (net basis), July 2020; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 24 August 2020; Reference interbank market interest rates, 22 August 2020; Official reserve assets and other foreign currency assets, 14 August 2020; Reference interbank market interest rates, 21 August 2020; Foreign exchange assets and liabilities of the licensed banks, July 2020; Average interest rate on interest bearing demand deposits,; The structure of credit portofolio of the banking sector (by currency), July 2020; Cash Foreign Exchange Market, July 2020; Foreign exchange market supply and demand, July 2020; Clasification of credit portofolio of the banking sector (on branches) , July 2020; The structure o f credit portofolio of the banking sector (on branches), July 2020; The structure of credit portofolio of the banking sector (by debtor), July 2020; The structure of deposits of the banking sector, July 2020; The weighted average interest rates and volumes on new granted loans,; Income Statement, July 2020; Balance Sheet on the banking sector, July 2020; Reference interbank market interest rates, 20 August 2020; Average interest rates related to balances of loans and deposits,; The weighted average interest rates and volumes on new attracted deposits,; Monetary survey,; Information on financial and economic activities of banks, July 2020; Reference interbank market interest rates, 19 August 2020; Average interest rates on interbank transactions, July 2020; Reference interbank market interest rates, 18 August 2020; Required reserves maintained by banks in FCC, June 2020; Required reserves maintained by banks in MDL, June 2020; Reference interbank market interest rates, 17 August 2020; Non-cash Foreign Exchange Market, July 2020; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; NBM's activity on the interbank market (data shown according to trade date), July 2020; Official reserve assets and other foreign currency assets, 07 August 2020; Reference interbank market interest rates, 14 August 2020; Reference interbank market interest rates, 13 August 2020; Reference interbank market interest rates, 12 August 2020; Reference interbank market interest rates, 11 August 2020; Reference interbank market interest rates, 10 August 2020; Official reserve assets and other foreign currency assets, 31 July 2020; Reference interbank market interest rates, 07 August 2020; Interest rates on monetary regulation instruments of NBM, 06 August 2020; Reference interbank market interest rates, 06 August 2020; Standing Facilities, July 2020; Commercial banks activity on the money market, July 2020; Weighted average yields on Government Securities of the RM, July 2020; NBM Money Market Operations, July 2020; Reference interbank market interest rates, 05 August 2020; International investment position (BPM6), standard presentation,; Reference interbank market interest rates, 04 August 2020; Reference interbank market interest rates, 03 August 2020; Reference interbank market interest rates, 31 July 2020; Average interest rate on interest bearing demand deposits,; Monetary survey,; Reference interbank market interest rates, 30 July 2020; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, January 2020; Reference interbank market interest rates, 29 July 2020; Reference interbank market interest rates, 28 July 2020; Reference interbank market interest rates, 27 July 2020; Official reserve assets and other foreign currency assets, 24 July 2020; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, June 2020; Official reserve assets and other foreign currency assets, 17 July 2020; Money Transfers from Abroad in Favor of Individuals (net basis), June 2020; Reference interbank market interest rates, 24 July 2020; Contingent short-term net drains on foreign currency assets, June 2020; Predetermined short-term net drains on foreign currency assets, June 2020; Memo items, June 2020; Official Reserve Assets and other foreign currency assets, June 2020; Reference interbank market interest rates, 23 July 2020; Reference interbank market interest rates, 22 July 2020; Reference interbank market interest rates, 21 July 2020; Foreign exchange market supply and demand, June 2020; Cash Foreign Exchange Market, June 2020; Average interest rate on interest bearing demand deposits,; Foreign exchange assets and liabilities of the licensed banks, June 2020; Non-cash Foreign Exchange Market, June 2020; NBM's activity on the interbank market (data shown according to trade date), June 2020; Income Statement, June 2020; Balance Sheet on the banking sector, June 2020; The structure of deposits of the banking sector, June 2020; Foreign exchange assets and liabilities of the licensed banks, June 2020; Clasification of credit portofolio of the banking sector (on branches) , June 2020; Average interest rate on interest bearing demand deposits,; Information on financial and economic activities of banks, June 2020; Average interest rate on interest bearing demand deposits,; The structure o f credit portofolio of the banking sector (on branches), June 2020; The structure of credit portofolio of the banking sector (by currency), June 2020; The structure of credit portofolio of the banking sector (by debtor), June 2020; The weighted average interest rates and volumes on new attracted deposits,; Monetary survey,; The weighted average interest rates and volumes on new granted loans,; Average interest rates on interbank transactions, June 2020; Reference interbank market interest rates, 20 July 2020; Average interest rates related to balances of loans and deposits,; Official reserve assets and other foreign currency assets, 10 July 2020; Required reserves maintained by banks in FCC, May 2020; Reference interbank market interest rates, 17 July 2020; Required reserves maintained by banks in MDL, May 2020; Reference interbank market interest rates, 16 July 2020; Reference interbank market interest rates, 15 July 2020; Reference interbank market interest rates, 14 July 2020; Reference interbank market interest rates, 13 July 2020; Reference interbank market interest rates, 10 July 2020; Official reserve assets and other foreign currency assets, 03 July 2020; Reference interbank market interest rates, 09 July 2020; Reference interbank market interest rates, 08 July 2020; Reference interbank market interest rates, 07 July 2020; Official reserve assets and other foreign currency assets, 30 June 2020; Reference interbank market interest rates, 06 July 2020; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 26 June 2020; Reference interbank market interest rates, 03 July 2020; Commercial banks activity on the money market, June 2020; Standing Facilities, June 2020; NBM Money Market Operations, June 2020; Weighted average yields on Government Securities of the RM, June 2020; Reference interbank market interest rates, 02 July 2020; Monetary survey,; Reference interbank market interest rates, 01 July 2020; Reference interbank market interest rates, 29 June 2020; Reference interbank market interest rates, 30 June 2020; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Foreign exchange assets and liabilities of the licensed banks, May 2020; Official reserve assets and other foreign currency assets, 19 June 2020; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; International Investment position (BPM6), standard components and additional details,; Reference interbank market interest rates, 26 June 2020; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Average interest rate on interest bearing demand deposits,; Predetermined short-term net drains on foreign currency assets, May 2020; Contingent short-term net drains on foreign currency assets, May 2020; Memo items, May 2020; Reference interbank market interest rates, 25 June 2020; Information on financial and economic activities of banks, March 2020; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Official Reserve Assets and other foreign currency assets, May 2020; Money Transfers from Abroad in Favor of Individuals (net basis), May 2020; Information on financial and economic activities of banks, May 2020; The structure of credit portofolio of the banking sector (by debtor), May 2020; Information on financial and economic activities of banks, April 2020; Reference interbank market interest rates, 24 June 2020; Reference interbank market interest rates, 23 June 2020; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, May 2020; Foreign exchange market supply and demand, May 2020; Clasification of credit portofolio of the banking sector (on branches) , May 2020; The structure o f credit portofolio of the banking sector (on branches), May 2020; The structure of credit portofolio of the banking sector (by currency), May 2020; Reference interbank market interest rates, 22 June 2020; Average interest rate on interest bearing demand deposits,; Income Statement, May 2020; Official reserve assets and other foreign currency assets, 12 June 2020; Cash Foreign Exchange Market, May 2020; Average interest rate on interest bearing demand deposits,; Foreign exchange assets and liabilities of the licensed banks, May 2020; Foreign exchange assets and liabilities of the licensed banks, May 2020; Average interest rates related to balances of loans and deposits,; Reference interbank market interest rates, 19 June 2020; The weighted average interest rates and volumes on new granted loans,; Average interest rates on interbank transactions, May 2020; The weighted average interest rates and volumes on new attracted deposits,; Balance Sheet on the banking sector, May 2020; The structure of deposits of the banking sector, May 2020; Reference interbank market interest rates, 18 June 2020; Monetary survey,; Reference interbank market interest rates, 16 June 2020; Reference interbank market interest rates, 17 June 2020; Required reserves maintained by banks in FCC, April 2020; Required reserves maintained by banks in MDL, April 2020; Non-cash Foreign Exchange Market, May 2020; NBM's activity on the interbank market (data shown according to trade date), May 2020; Reference interbank market interest rates, 15 June 2020; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 05 June 2020; Reference interbank market interest rates, 12 June 2020; Interest rates on monetary regulation instruments of NBM, 11 June 2020; Reference interbank market interest rates, 11 June 2020; Reference interbank market interest rates, 10 June 2020; Reference interbank market interest rates, 09 June 2020; Reference interbank market interest rates, 05 June 2020; Official reserve assets and other foreign currency assets, 29 May 2020; Reference interbank market interest rates, 04 June 2020; Reference interbank market interest rates, 03 June 2020; NBM Money Market Operations, May 2020; Weighted average yields on Government Securities of the RM, May 2020; Reference interbank market interest rates, 02 June 2020; Information on financial and economic activities of banks, April 2020; Monetary survey,; Commercial banks activity on the money market, May 2020; Standing Facilities, May 2020; Reference interbank market interest rates, 01 June 2020; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 22 May 2020; Memo items, April 2020; Reference interbank market interest rates, 29 May 2020; Reference interbank market interest rates, 28 May 2020; Reference interbank market interest rates, 27 May 2020; Reference interbank market interest rates, 26 May 2020; Official Reserve Assets and other foreign currency assets, April 2020; Predetermined short-term net drains on foreign currency assets, April 2020; Contingent short-term net drains on foreign currency assets, April 2020; Reference interbank market interest rates, 25 May 2020; Reference interbank market interest rates, 22 May 2020; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, April 2020; Money Transfers from Abroad in Favor of Individuals (net basis), April 2020; Foreign exchange assets and liabilities of the licensed banks, April 2020; Foreign exchange assets and liabilities of the licensed banks, March 2020; Average interest rate on interest bearing demand deposits,; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 15 May 2020; Reference interbank market interest rates, 21 May 2020; The structure of credit portofolio of the banking sector (by currency), April 2020; The structure o f credit portofolio of the banking sector (on branches), April 2020; Foreign exchange market supply and demand, April 2020; Cash Foreign Exchange Market, April 2020; Information on financial and economic activities of banks, April 2020; The structure of credit portofolio of the banking sector (by debtor), April 2020; Clasification of credit portofolio of the banking sector (on branches) , April 2020; The weighted average interest rates and volumes on new granted loans,; Average interest rate on interest bearing demand deposits,; Balance Sheet on the banking sector, April 2020; Average interest rates on interbank transactions, April 2020; The weighted average interest rates and volumes on new attracted deposits,; Monetary survey,; The structure of deposits of the banking sector, April 2020; Income Statement, April 2020; Reference interbank market interest rates, 20 May 2020; Average interest rates related to balances of loans and deposits,; Non-cash Foreign Exchange Market, April 2020; NBM's activity on the interbank market (data shown according to trade date), April 2020; Required reserves maintained by banks in MDL, March 2020; Required reserves maintained by banks in FCC, March 2020; Reference interbank market interest rates, 19 May 2020; Reference interbank market interest rates, 18 May 2020; Official reserve assets and other foreign currency assets, 08 May 2020; Reference interbank market interest rates, 15 May 2020; Reference interbank market interest rates, 14 May 2020; Information on financial and economic activities of banks, April 2020; Interest rates on monetary regulation instruments of NBM, 11 May 2020; Reference interbank market interest rates, 12 May 2020; Reference interbank market interest rates, 13 May 2020; Required reserves maintained by banks in FCC, January 2020; Required reserves maintained by banks in FCC, February 2020; Reference interbank market interest rates, 11 May 2020; Reference interbank market interest rates, 08 May 2020; The weighted average interest rates and volumes on new granted loans,; The weighted average interest rates and volumes on new granted loans,; Average interest rate on interest bearing demand deposits,; Standing Facilities, April 2020; Reference interbank market interest rates, 07 May 2020; Official reserve assets and other foreign currency assets, 30 April 2020; Reference interbank market interest rates, 06 May 2020; Reference interbank market interest rates, 05 May 2020; NBM Money Market Operations, April 2020; Commercial banks activity on the money market, April 2020; Weighted average yields on Government Securities of the RM, April 2020; Reference interbank market interest rates, 04 May 2020; Official reserve assets and other foreign currency assets, 24 April 2020; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 30 April 2020; Money Transfers from Abroad in Favor of Individuals (gross basis),; Predetermined short-term net drains on foreign currency assets, March 2020; Reference interbank market interest rates, 29 April 2020; Official Reserve Assets and other foreign currency assets, March 2020; Reference interbank market interest rates, 28 April 2020; Money Transfers from Abroad in Favor of Individuals (net basis), March 2020; Reference interbank market interest rates, 27 April 2020; Official reserve assets and other foreign currency assets, 17 April 2020; Reference interbank market interest rates, 24 April 2020; Contingent short-term net drains on foreign currency assets, March 2020; Memo items, March 2020; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, March 2020; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 23 April 2020; Reference interbank market interest rates, 22 April 2020; Foreign exchange assets and liabilities of the licensed banks, March 2020; Cash Foreign Exchange Market, March 2020; Foreign exchange market supply and demand, March 2020; Information on financial and economic activities of banks, March 2020; Clasification of credit portofolio of the banking sector (on branches) , March 2020; The structure o f credit portofolio of the banking sector (on branches), March 2020; The structure of credit portofolio of the banking sector (by currency), March 2020; Income Statement, March 2020; The structure of credit portofolio of the banking sector (by debtor), March 2020; Reference interbank market interest rates, 21 April 2020; Balance Sheet on the banking sector, March 2020; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new granted loans,; Official reserve assets and other foreign currency assets, 10 April 2020; The structure of deposits of the banking sector, March 2020; Monetary survey,; Reference interbank market interest rates, 17 April 2020; Non-cash Foreign Exchange Market, November 2019; Average interest rates on interbank transactions, March 2020; Average interest rates related to balances of loans and deposits,; Non-cash Foreign Exchange Market, July 2019; Required reserves maintained by banks in FCC, February 2020; Required reserves maintained by banks in MDL, February 2020; Reference interbank market interest rates, 16 April 2020; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 14 April 2020; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, October 2019; Reference interbank market interest rates, 15 April 2020; Average interest rate on interest bearing demand deposits,; Non-cash Foreign Exchange Market, December 2019; Non-cash Foreign Exchange Market, August 2019; Non-cash Foreign Exchange Market, March 2020; Reference interbank market interest rates, 09 April 2020; NBM's activity on the interbank market (data shown according to trade date), March 2020; Reference interbank market interest rates, 08 April 2020; Reference interbank market interest rates, 07 April 2020; Official reserve assets and other foreign currency assets, 31 March 2020; Reference interbank market interest rates, 13 April 2020; Reference interbank market interest rates, 10 April 2020; Official reserve assets and other foreign currency assets, 03 April 2020; Balance Sheet on the banking sector, March 2020; Balance Sheet on the banking sector, March 2020; Official reserve assets and other foreign currency assets, 27 March 2020; Reference interbank market interest rates, 06 April 2020; Reference interbank market interest rates, 03 April 2020; Average interest rate on interest bearing demand deposits,; Monetary survey,; Reference interbank market interest rates, 02 April 2020; NBM Money Market Operations, March 2020; Standing Facilities, March 2020; Weighted average yields on Government Securities of the RM, March 2020; Commercial banks activity on the money market, March 2020; Reference interbank market interest rates, 01 April 2020; Reference interbank market interest rates, 31 March 2020; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Foreign exchange market supply and demand, February 2020; Average interest rate on interest bearing demand deposits,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; International Investment position (BPM6), standard components and additional details,; Reference interbank market interest rates, 30 March 2020; Predetermined short-term net drains on foreign currency assets, February 2020; Memo items, February 2020; Contingent short-term net drains on foreign currency assets, February 2020; Reference interbank market interest rates, 26 March 2020; Reference interbank market interest rates, 27 March 2020; Official reserve assets and other foreign currency assets, 20 March 2020; Reference interbank market interest rates, 25 March 2020; Official Reserve Assets and other foreign currency assets, February 2020; Money Transfers from Abroad in Favor of Individuals (net basis), February 2020; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, February 2020; Money Transfers from Abroad in Favor of Individuals (gross basis),; Information on financial and economic activities of banks, February 2020; Reference interbank market interest rates, 24 March 2020; Reference interbank market interest rates, 23 March 2020; Clasification of credit portofolio of the banking sector (on branches) , February 2020; The structure of credit portofolio of the banking sector (by currency), February 2020; The structure of credit portofolio of the banking sector (by debtor), February 2020; The structure o f credit portofolio of the banking sector (on branches), February 2020; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance Sheet on the banking sector, February 2020; Average interest rates related to balances of loans and deposits,; Reference interbank market interest rates, 20 March 2020; Foreign exchange assets and liabilities of the licensed banks, February 2020; Official reserve assets and other foreign currency assets, 13 March 2020; Cash Foreign Exchange Market, February 2020; Interest rates on monetary regulation instruments of NBM, 20 March 2020; Monetary survey,; The structure of deposits of the banking sector, February 2020; Income Statement, February 2020; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new granted loans,; Required reserves maintained by banks in MDL, January 2020; Average interest rates on interbank transactions, February 2020; Average interest rate on interest bearing demand deposits,; Required reserves maintained by banks in FCC, January 2020; Non-cash Foreign Exchange Market, February 2020; Reference interbank market interest rates, 19 March 2020; Foreign exchange market supply and demand, February 2020; Reference interbank market interest rates, 17 March 2020; Reference interbank market interest rates, 18 March 2020; Cash Foreign Exchange Market, February 2020; NBM's activity on the interbank market (data shown according to trade date), February 2020; Reference interbank market interest rates, 16 March 2020; Reference interbank market interest rates, 13 March 2020; Official reserve assets and other foreign currency assets, 06 March 2020; Reference interbank market interest rates, 12 March 2020; Reference interbank market interest rates, 11 March 2020; Interest rates on monetary regulation instruments of NBM, 04 March 2020; Reference interbank market interest rates, 04 March 2020; Reference interbank market interest rates, 10 March 2020; Reference interbank market interest rates, 05 March 2020; Reference interbank market interest rates, 06 March 2020; Reference interbank market interest rates, 09 March 2020; Official reserve assets and other foreign currency assets, 28 February 2020; Standing Facilities, February 2020; NBM Money Market Operations, February 2020; Commercial banks activity on the money market, February 2020; Weighted average yields on Government Securities of the RM, February 2020; Reference interbank market interest rates, 03 March 2020; Monetary survey,; Memo items, January 2020; Official reserve assets and other foreign currency assets, 21 February 2020; Reference interbank market interest rates, 02 March 2020; Reference interbank market interest rates, 26 February 2020; Reference interbank market interest rates, 27 February 2020; Reference interbank market interest rates, 28 February 2020; Reference interbank market interest rates, 25 February 2020; Information on financial and economic activities of banks, January 2020; Contingent short-term net drains on foreign currency assets, January 2020; NBM's activity on the interbank market (data shown according to trade date), January 2020; Money Transfers from Abroad in Favor of Individuals (net basis), January 2020; Official Reserve Assets and other foreign currency assets, January 2020; Non-cash Foreign Exchange Market, January 2020; Predetermined short-term net drains on foreign currency assets, January 2020; Reference interbank market interest rates, 24 February 2020; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, January 2020; Money Transfers from Abroad in Favor of Individuals (gross basis),; Average interest rate on interest bearing demand deposits,; Official reserve assets and other foreign currency assets, 14 February 2020; Reference interbank market interest rates, 21 February 2020; Foreign exchange assets and liabilities of the licensed banks, January 2020; Foreign exchange market supply and demand, January 2020; Average interest rates related to balances of loans and deposits,; Cash Foreign Exchange Market, January 2020; Information on financial and economic activities of banks, January 2020; Income Statement, January 2020; Income Statement, January 2020; The structure of credit portofolio of the banking sector (by debtor), January 2020; The structure o f credit portofolio of the banking sector (on branches), January 2020; Clasification of credit portofolio of the banking sector (on branches) , January 2020; Balance Sheet on the banking sector, January 2020; The weighted average interest rates and volumes on new attracted deposits,; The structure of credit portofolio of the banking sector (by currency), January 2020; Average interest rates on interbank transactions, January 2020; Monetary survey,; The structure of deposits of the banking sector, January 2020; The weighted average interest rates and volumes on new granted loans,; Reference interbank market interest rates, 20 February 2020; Reference interbank market interest rates, 19 February 2020; Reference interbank market interest rates, 18 February 2020; Required reserves maintained by banks in MDL, December 2019; Reference interbank market interest rates, 17 February 2020; Monetary survey,; Information on financial and economic activities of banks, January 2020; Official reserve assets and other foreign currency assets, 07 February 2020; Average interest rate on interest bearing demand deposits,; Reference interbank market interest rates, 14 February 2020; Reference interbank market interest rates, 13 February 2020; Reference interbank market interest rates, 12 February 2020; Reference interbank market interest rates, 10 February 2020; Reference interbank market interest rates, 11 February 2020; Reference interbank market interest rates, 06 February 2020; Official reserve assets and other foreign currency assets, 31 January 2020; Reference interbank market interest rates, 05 February 2020; Weighted average yields on Government Securities of the RM, January 2020; Reference interbank market interest rates, 04 February 2020; Standing Facilities, January 2020; Commercial banks activity on the money market, January 2020; Reference interbank market interest rates, 03 February 2020; Official reserve assets and other foreign currency assets, 24 January 2020; Reference interbank market interest rates, 31 January 2020; NBM Money Market Operations, January 2020; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, July 2019; Average interest rate on interest bearing demand deposits,; Interest rates on monetary regulation instruments of NBM, 29 January 2020; Reference interbank market interest rates, 30 January 2020; Reference interbank market interest rates, 29 January 2020; Reference interbank market interest rates, 28 January 2020; Reference interbank market interest rates, 27 January 2020; Predetermined short-term net drains on foreign currency assets, December 2019; Memo items, December 2019; Contingent short-term net drains on foreign currency assets, December 2019; Official Reserve Assets and other foreign currency assets, December 2019; Official reserve assets and other foreign currency assets, 17 January 2020; Reference interbank market interest rates, 23 January 2020; Reference interbank market interest rates, 24 January 2020; Foreign exchange assets and liabilities of the licensed banks, December 2019; Non-cash Foreign Exchange Market, December 2019; Money Transfers from Abroad in Favor of Individuals (net basis), December 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, December 2019; NBM's activity on the interbank market (data shown according to trade date), December 2019; Required reserves maintained by banks in FCC, December 2019; The structure o f credit portofolio of the banking sector (on branches), December 2019; Information on financial and economic activities of banks, December 2019; Clasification of credit portofolio of the banking sector (on branches) , December 2019; Reference interbank market interest rates, 22 January 2020; Foreign exchange market supply and demand, December 2019; Cash Foreign Exchange Market, December 2019; Reference interbank market interest rates, 21 January 2020; The structure of credit portofolio of the banking sector (by debtor), December 2019; The structure of credit portofolio of the banking sector (by currency), December 2019; Monetary survey,; The annual weighted average interest rates on new loans and deposits attracted and associated volumes, 2019; The structure of deposits of the banking sector, December 2019; Income Statement, December 2019; Balance Sheet on the banking sector, December 2019; The weighted average interest rates and volumes on new attracted deposits,; Average interest rates related to balances of loans and deposits,; The weighted average interest rates and volumes on new granted loans,; Average interest rates on interbank transactions, December 2019; Reference interbank market interest rates, 20 January 2020; Required reserves maintained by banks in MDL, November 2019; Official reserve assets and other foreign currency assets, 10 January 2020; Reference interbank market interest rates, 17 January 2020; Reference interbank market interest rates, 15 January 2020; Reference interbank market interest rates, 16 January 2020; Reference interbank market interest rates, 14 January 2020; Reference interbank market interest rates, 13 January 2020; Average interest rate on interest bearing demand deposits, December 2019; Commercial banks activity on the money market, December 2019; Reference interbank market interest rates, 11 January 2020; Official reserve assets and other foreign currency assets, 03 January 2020; Reference interbank market interest rates, 10 January 2020; Official reserve assets and other foreign currency assets, 31 December 2019; Official reserve assets and other foreign currency assets, 27 December 2019; Reference interbank market interest rates, 09 January 2020; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Reference interbank market interest rates, 03 January 2020; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Standing Facilities, December 2019; NBM Money Market Operations, December 2019; Weighted average yields on Government Securities of the RM, December 2019; Reference interbank market interest rates, 02 January 2020; Monetary survey,; Reference interbank market interest rates, 31 December 2019; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; International Investment position (BPM6), standard components and additional details,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Average interest rate on interest bearing demand deposits, December 2019; Reference interbank market interest rates, 27 December 2019; Reference interbank market interest rates, 30 December 2019; Official reserve assets and other foreign currency assets, 20 December 2019; Reference interbank market interest rates, 26 December 2019; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, November 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), November 2019; Official Reserve Assets and other foreign currency assets, November 2019; Predetermined short-term net drains on foreign currency assets, November 2019; Contingent short-term net drains on foreign currency assets, November 2019; Memo items, November 2019; Required reserves maintained by banks in FCC, November 2019; Reference interbank market interest rates, 24 December 2019; Cash Foreign Exchange Market, November 2019; Reference interbank market interest rates, 23 December 2019; Information on financial and economic activities of banks, June 2019; Information on financial and economic activities of banks, November 2019; Foreign exchange assets and liabilities of the licensed banks, November 2019; Foreign exchange assets and liabilities of the licensed banks, November 2019; Foreign exchange market supply and demand, November 2019; Average interest rates on interbank transactions, November 2019; Average interest rates related to balances of loans and deposits,; Information on financial and economic activities of banks, September 2019; Official reserve assets and other foreign currency assets, 13 December 2019; The weighted average interest rates and volumes on new attracted deposits,; The weighted average interest rates and volumes on new granted loans,; Clasification of credit portofolio of the banking sector (on branches) , November 2019; Average interest rates related to balances of loans and deposits,; The structure of credit portofolio of the banking sector (by debtor), November 2019; The structure of credit portofolio of the banking sector (by currency), November 2019; The structure o f credit portofolio of the banking sector (on branches), November 2019; Balance Sheet on the banking sector, November 2019; Average interest rate on interest bearing demand deposits, December 2019; Monetary survey, November 2019; The structure of deposits of the banking sector, November 2019; Income Statement, November 2019; Reference interbank market interest rates, 19 December 2019; Reference interbank market interest rates, 20 December 2019; NBM's activity on the interbank market (data shown according to trade date), November 2019; Non-cash Foreign Exchange Market, November 2019; Reference interbank market interest rates, 18 December 2019; Reference interbank market interest rates, 17 December 2019; Required reserves maintained by banks in MDL, October 2019; Cash Foreign Exchange Market, November 2019; Reference interbank market interest rates, 16 December 2019; Average interest rate on interest bearing demand deposits, December 2019; Average interest rate on interest bearing demand deposits, November 2019; Reference interbank market interest rates, 13 December 2019; Official reserve assets and other foreign currency assets, 06 December 2019; Reference interbank market interest rates, 12 December 2019; Reference interbank market interest rates, 11 December 2019; Interest rates on monetary regulation instruments of NBM, 11 December 2019; Reference interbank market interest rates, 03 December 2019; Reference interbank market interest rates, 10 December 2019; Reference interbank market interest rates, 09 December 2019; Reference interbank market interest rates, 05 December 2019; Official reserve assets and other foreign currency assets, 29 November 2019; Reference interbank market interest rates, 06 December 2019; Reference interbank market interest rates, 04 December 2019; Commercial banks activity on the money market, November 2019; NBM Money Market Operations, November 2019; Standing Facilities, November 2019; Monetary survey, November 2019; Weighted average yields on Government Securities of the RM, November 2019; Reference interbank market interest rates, 02 December 2019; Reference interbank market interest rates, 29 November 2019; Official reserve assets and other foreign currency assets, 22 November 2019; Non-cash Foreign Exchange Market, October 2019; NBM's activity on the interbank market (data shown according to trade date), October 2019; Average interest rate on interest bearing demand deposits, November 2019; Reference interbank market interest rates, 28 November 2019; Reference interbank market interest rates, 27 November 2019; Predetermined short-term net drains on foreign currency assets, October 2019; Contingent short-term net drains on foreign currency assets, October 2019; Reference interbank market interest rates, 26 November 2019; Reference interbank market interest rates, 25 November 2019; Official Reserve Assets and other foreign currency assets, October 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), October 2019; Average interest rate on interest bearing demand deposits, November 2019; Interest rates on monetary regulation instruments of NBM, 11 December 2019; Memo items, October 2019; Foreign exchange assets and liabilities of the licensed banks, October 2019; Foreign exchange market supply and demand, October 2019; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, October 2019; Reference interbank market interest rates, 22 November 2019; Foreign exchange assets and liabilities of the licensed banks, October 2019; Cash Foreign Exchange Market, October 2019; The structure of credit portofolio of the banking sector (by debtor), October 2019; The structure o f credit portofolio of the banking sector (on branches), October 2019; Clasification of credit portofolio of the banking sector (on branches) , October 2019; Official reserve assets and other foreign currency assets, 15 November 2019; Required reserves maintained by banks in FCC, October 2019; Average interest rates on interbank transactions, October 2019; Reference interbank market interest rates, 21 November 2019; Interest rates related to balances of loans and deposits, October 2019; The structure of deposits of the banking sector, October 2019; The structure of credit portofolio of the banking sector (by currency), October 2019; Monetary survey, October 2019; Information on financial and economic activities of banks, October 2019; Reference interbank market interest rates, 20 November 2019; The weighted average interest rates on new loans and deposits attracted and associated volumes, October 2019; Income Statement, October 2019; Balance Sheet on the banking sector, October 2019; Reference interbank market interest rates, 19 November 2019; Required reserves maintained by banks in MDL, September 2019; Reference interbank market interest rates, 18 November 2019; Average interest rate on interest bearing demand deposits, October 2019; Average interest rate on interest bearing demand deposits, November 2019; Official reserve assets and other foreign currency assets, 08 November 2019; Reference interbank market interest rates, 15 November 2019; Reference interbank market interest rates, 14 November 2019; Reference interbank market interest rates, 13 November 2019; Activity indicators within card payment systems of the Republic of Moldova, Trimestrul 3 2019; Reference interbank market interest rates, 12 November 2019; Reference interbank market interest rates, 11 November 2019; Reference interbank market interest rates, 08 November 2019; Official reserve assets and other foreign currency assets, 01 November 2019; Official reserve assets and other foreign currency assets, 31 October 2019; Reference interbank market interest rates, 07 November 2019; Reference interbank market interest rates, 06 November 2019; NBM Money Market Operations, October 2019; Standing Facilities, October 2019; Commercial banks activity on the money market, October 2019; Weighted average yields on Government Securities of the RM, October 2019; Monetary survey, October 2019; Reference interbank market interest rates, 05 November 2019; Reference interbank market interest rates, 04 November 2019; Reference interbank market interest rates, 01 November 2019; Average interest rate on interest bearing demand deposits, October 2019; Official reserve assets and other foreign currency assets, 25 October 2019; Official reserve assets and other foreign currency assets, 11 October 2019; Reference interbank market interest rates, 31 October 2019; Memo items, September 2019; Interest rates on monetary regulation instruments of NBM, 30 October 2019; Reference interbank market interest rates, 30 October 2019; Reference interbank market interest rates, 25 October 2019; Reference interbank market interest rates, 29 October 2019; Reference interbank market interest rates, 28 October 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Official reserve assets and other foreign currency assets, 18 October 2019; Average interest rate on interest bearing demand deposits, October 2019; Predetermined short-term net drains on foreign currency assets, September 2019; Contingent short-term net drains on foreign currency assets, September 2019; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, September 2019; Non-cash Foreign Exchange Market, September 2019; Required reserves maintained by banks in MDL, August 2019; NBM's activity on the interbank market (data shown according to trade date), September 2019; Money Transfers from Abroad in Favor of Individuals (net basis), September 2019; Official Reserve Assets and other foreign currency assets, September 2019; NBM Money Market Operations, October 2019; Reference interbank market interest rates, 24 October 2019; Reference interbank market interest rates, 23 October 2019; Required reserves maintained by banks in FCC, September 2019; Foreign exchange assets and liabilities of the licensed banks, August 2019; Foreign exchange assets and liabilities of the licensed banks, September 2019; Foreign exchange market supply and demand, September 2019; Cash Foreign Exchange Market, September 2019; Reference interbank market interest rates, 22 October 2019; Clasification of credit portofolio of the banking sector (on branches) , September 2019; The structure of credit portofolio of the banking sector (by debtor), September 2019; The structure of credit portofolio of the banking sector (by currency), September 2019; Information on financial and economic activities of banks, September 2019; The structure o f credit portofolio of the banking sector (on branches), September 2019; Reference interbank market interest rates, 21 October 2019; The weighted average interest rates on new loans and deposits attracted and associated volumes, September 2019; Interest rates related to balances of loans and deposits, September 2019; Balance Sheet on the banking sector, September 2019; The structure of deposits of the banking sector, September 2019; Income Statement, September 2019; Average interest rates on interbank transactions, September 2019; Average interest rate on interest bearing demand deposits, October 2019; Reference interbank market interest rates, 18 October 2019; Required reserves maintained by banks in MDL, July 2019; Reference interbank market interest rates, 17 October 2019; Reference interbank market interest rates, 16 October 2019; Reference interbank market interest rates, 11 October 2019; Reference interbank market interest rates, 15 October 2019; Reference interbank market interest rates, 09 October 2019; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, April 2019; Monetary survey, September 2019; Monetary survey, June 2019; Average interest rate on interest bearing demand deposits, October 2019; Average interest rate on interest bearing demand deposits, September 2019; Reference interbank market interest rates, 08 October 2019; Official reserve assets and other foreign currency assets, 04 October 2019; Reference interbank market interest rates, 10 October 2019; NBM Money Market Operations, September 2019; Official reserve assets and other foreign currency assets, 30 September 2019; Reference interbank market interest rates, 07 October 2019; Standing Facilities, September 2019; Commercial banks activity on the money market, September 2019; Weighted average yields on Government Securities of the RM, September 2019; Reference interbank market interest rates, 04 October 2019; Official reserve assets and other foreign currency assets, 27 September 2019; Reference interbank market interest rates, 01 October 2019; Reference interbank market interest rates, 02 October 2019; Reference interbank market interest rates, 30 September 2019; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Monetary survey, September 2019; International Investment position (BPM6), standard components and additional details,; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Monetary survey, June 2019; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Average interest rate on interest bearing demand deposits, September 2019; Reference interbank market interest rates, 27 September 2019; Official reserve assets and other foreign currency assets, 20 September 2019; Required reserves maintained by banks in FCC, August 2019; Reference interbank market interest rates, 26 September 2019; Memo items, August 2019; Contingent short-term net drains on foreign currency assets, August 2019; Money Transfers from Abroad in Favor of Individuals (net basis), August 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Official Reserve Assets and other foreign currency assets, August 2019; Predetermined short-term net drains on foreign currency assets, August 2019; Reference interbank market interest rates, 25 September 2019; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, August 2019; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 24 September 2019; Reference interbank market interest rates, 23 September 2019; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Foreign exchange market supply and demand, August 2019; Cash Foreign Exchange Market, August 2019; Foreign exchange assets and liabilities of the licensed banks, August 2019; Information on financial and economic activities of banks, June 2019; Information on financial and economic activities of banks, July 2019; The structure of credit portofolio of the banking sector (by debtor), August 2019; The structure o f credit portofolio of the banking sector (on branches), August 2019; Income Statement, August 2019; The structure of credit portofolio of the banking sector (by currency), August 2019; Clasification of credit portofolio of the banking sector (on branches) , August 2019; Information on financial and economic activities of banks, August 2019; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Average interest rate on interest bearing demand deposits, August 2019; Average interest rate on interest bearing demand deposits, September 2019; Official reserve assets and other foreign currency assets, 13 September 2019; The structure of deposits of the banking sector, August 2019; Reference interbank market interest rates, 20 September 2019; Balance Sheet on the banking sector, August 2019; Interest rates related to balances of loans and deposits, August 2019; Monetary survey, August 2019; Average interest rates on interbank transactions, August 2019; Reference interbank market interest rates, 19 September 2019; NBM's activity on the interbank market (data shown according to trade date), August 2019; Non-cash Foreign Exchange Market, August 2019; Reference interbank market interest rates, 18 September 2019; Monetary survey, July 2019; Required reserves maintained by banks in MDL, July 2019; Reference interbank market interest rates, 17 September 2019; The weighted average interest rates on new loans and deposits attracted and associated volumes, August 2019; Reference interbank market interest rates, 16 September 2019; Average interest rate on interest bearing demand deposits, August 2019; Average interest rate on interest bearing demand deposits, September 2019; Official reserve assets and other foreign currency assets, 06 September 2019; Reference interbank market interest rates, 13 September 2019; Reference interbank market interest rates, 11 September 2019; Interest rates on monetary regulation instruments of NBM, 11 September 2019; Reference interbank market interest rates, 12 September 2019; Reference interbank market interest rates, 10 September 2019; Reference interbank market interest rates, 09 September 2019; Official reserve assets and other foreign currency assets, 30 August 2019; Reference interbank market interest rates, 06 September 2019; Reference interbank market interest rates, 05 September 2019; Reference interbank market interest rates, 04 September 2019; Commercial banks activity on the money market, August 2019; Weighted average yields on Government Securities of the RM, August 2019; Standing Facilities, August 2019; NBM Money Market Operations, August 2019; Reference interbank market interest rates, 03 September 2019; Monetary survey, August 2019; Reference interbank market interest rates, 02 September 2019; Official reserve assets and other foreign currency assets, 23 August 2019; Average interest rate on interest bearing demand deposits, August 2019; Official Reserve Assets and other foreign currency assets, July 2019; Predetermined short-term net drains on foreign currency assets, July 2019; Reference interbank market interest rates, 29 August 2019; Reference interbank market interest rates, 30 August 2019; Reference interbank market interest rates, 28 August 2019; Average interest rate on interest bearing demand deposits, August 2019; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, July 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Memo items, July 2019; Contingent short-term net drains on foreign currency assets, July 2019; Reference interbank market interest rates, 23 August 2019; Cash Foreign Exchange Market, July 2019; Foreign exchange assets and liabilities of the licensed banks, July 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), July 2019; Official reserve assets and other foreign currency assets, 16 August 2019; Reference interbank market interest rates, 22 August 2019; Clasification of credit portofolio of the banking sector (on branches) , July 2019; Information on financial and economic activities of banks, June 2019; Foreign exchange market supply and demand, July 2019; Required reserves maintained by banks in FCC, July 2019; The weighted average interest rates on new loans and deposits attracted and associated volumes, July 2019; Reference interbank market interest rates, 21 August 2019; The structure of credit portofolio of the banking sector (by currency), July 2019; The structure of credit portofolio of the banking sector (by debtor), July 2019; Information on financial and economic activities of banks, July 2019; The structure o f credit portofolio of the banking sector (on branches), July 2019; Interest rates related to balances of loans and deposits, July 2019; Average interest rates on interbank transactions, July 2019; Income Statement, July 2019; Balance Sheet on the banking sector, July 2019; The structure of deposits of the banking sector, July 2019; Average interest rate on interest bearing demand deposits, August 2019; Monetary survey, July 2019; Reference interbank market interest rates, 20 August 2019; Average interest rate on interest bearing demand deposits, July 2019; The weighted average interest rates on new loans and deposits attracted and associated volumes, July 2019; Reference interbank market interest rates, 19 August 2019; Official reserve assets and other foreign currency assets, 09 August 2019; NBM's activity on the interbank market (data shown according to trade date), July 2019; Non-cash Foreign Exchange Market, July 2019; Reference interbank market interest rates, 17 August 2019; Required reserves maintained by banks in MDL, June 2019; Reference interbank market interest rates, 16 August 2019; Reference interbank market interest rates, 15 August 2019; Official reserve assets and other foreign currency assets, 02 August 2019; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 2 2019; Reference interbank market interest rates, 13 August 2019; Reference interbank market interest rates, 14 August 2019; Reference interbank market interest rates, 12 August 2019; Reference interbank market interest rates, 05 August 2019; Average interest rate on interest bearing demand deposits, July 2019; Reference interbank market interest rates, 09 August 2019; Official reserve assets and other foreign currency assets, 26 July 2019; Official reserve assets and other foreign currency assets, 31 July 2019; Reference interbank market interest rates, 08 August 2019; Reference interbank market interest rates, 02 August 2019; Weighted average yields on Government Securities of the RM, July 2019; Reference interbank market interest rates, 07 August 2019; Reference interbank market interest rates, 06 August 2019; Interest rates on monetary regulation instruments of NBM, 31 July 2019; Monetary survey, July 2019; Reference interbank market interest rates, 31 July 2019; Reference interbank market interest rates, 30 July 2019; NBM Money Market Operations, July 2019; Official reserve assets and other foreign currency assets, 19 July 2019; Commercial banks activity on the money market, July 2019; Reference interbank market interest rates, 26 July 2019; Standing Facilities, July 2019; Official reserve assets and other foreign currency assets, 09 August 2019; Reference interbank market interest rates, 01 August 2019; Money Transfers from Abroad in Favor of Individuals (net basis), June 2019; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, June 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Monetary survey, July 2019; Reference interbank market interest rates, 29 July 2019; Predetermined short-term net drains on foreign currency assets, June 2019; Contingent short-term net drains on foreign currency assets, June 2019; Average interest rate on interest bearing demand deposits, July 2019; Official Reserve Assets and other foreign currency assets, June 2019; Reference interbank market interest rates, 24 July 2019; Memo items, June 2019; Reference interbank market interest rates, 23 July 2019; Reference interbank market interest rates, 25 July 2019; NBM's activity on the interbank market (data shown according to trade date), June 2019; Non-cash Foreign Exchange Market, June 2019; Information on financial and economic activities of banks, June 2019; The structure of credit portofolio of the banking sector (by debtor), June 2019; Required reserves maintained by banks in FCC, June 2019; Clasification of credit portofolio of the banking sector (on branches) , June 2019; Clasification of credit portofolio of the banking sector (on branches) , June 2019; Reference interbank market interest rates, 01 August 2019; Cash Foreign Exchange Market, June 2019; The structure of credit portofolio of the banking sector (by currency), June 2019; The structure o f credit portofolio of the banking sector (on branches), June 2019; Foreign exchange market supply and demand, June 2019; Reference interbank market interest rates, 29 July 2019; Reference interbank market interest rates, 22 July 2019; Interest rates related to balances of loans and deposits, June 2019; Reference interbank market interest rates, 19 July 2019; Foreign exchange assets and liabilities of the licensed banks, June 2019; Monetary survey, June 2019; Average interest rate on interest bearing demand deposits, July 2019; The weighted average interest rates on new loans and deposits attracted and associated volumes, June 2019; The structure of deposits of the banking sector, June 2019; Required reserves maintained by banks in MDL, May 2019; Average interest rates on interbank transactions, June 2019; Reference interbank market interest rates, 17 July 2019; Income Statement, June 2019; Balance Sheet on the banking sector, June 2019; Reference interbank market interest rates, 16 July 2019; Information on financial and economic activities of banks, June 2019; Official reserve assets and other foreign currency assets, 12 July 2019; Information on financial and economic activities of banks, June 2019; Information on financial and economic activities of banks, June 2019; Reference interbank market interest rates, 18 July 2019; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, January 2019; Average interest rate on interest bearing demand deposits, June 2019; Average interest rate on interest bearing demand deposits, July 2019; Reference interbank market interest rates, 15 July 2019; Official reserve assets and other foreign currency assets, 05 July 2019; Reference interbank market interest rates, 12 July 2019; Reference interbank market interest rates, 11 July 2019; Reference interbank market interest rates, 10 July 2019; Reference interbank market interest rates, 09 July 2019; Commercial banks activity on the money market, June 2019; Reference interbank market interest rates, 08 July 2019; Official reserve assets and other foreign currency assets, 28 June 2019; Reference interbank market interest rates, 05 July 2019; Monetary survey, June 2019; Reference interbank market interest rates, 04 July 2019; Reference interbank market interest rates, 03 July 2019; Reference interbank market interest rates, 02 July 2019; NBM Money Market Operations, June 2019; Weighted average yields on Government Securities of the RM, June 2019; Standing Facilities, June 2019; Reference interbank market interest rates, 01 July 2019; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Average interest rate on interest bearing demand deposits, June 2019; Official reserve assets and other foreign currency assets, 21 June 2019; Reference interbank market interest rates, 28 June 2019; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; International Investment position (BPM6), standard components and additional details,; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Reference interbank market interest rates, 27 June 2019; Memo items, May 2019; Contingent short-term net drains on foreign currency assets, May 2019; Reference interbank market interest rates, 26 June 2019; Money Transfers from Abroad in Favor of Individuals (net basis), May 2019; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, May 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Official Reserve Assets and other foreign currency assets, May 2019; Predetermined short-term net drains on foreign currency assets, May 2019; Cash Foreign Exchange Market, May 2019; Reference interbank market interest rates, 25 June 2019; Reference interbank market interest rates, 24 June 2019; Average interest rate on interest bearing demand deposits, June 2019; The structure of credit portofolio of the banking sector (by debtor), May 2019; Reference interbank market interest rates, 21 June 2019; Official reserve assets and other foreign currency assets, 14 June 2019; Required reserves maintained by banks in FCC, May 2019; The structure o f credit portofolio of the banking sector (on branches), May 2019; Foreign exchange market supply and demand, May 2019; Clasification of credit portofolio of the banking sector (on branches) , May 2019; The structure of credit portofolio of the banking sector (by currency), May 2019; Information on financial and economic activities of banks, May 2019; The structure of deposits of the banking sector, May 2019; Income Statement, May 2019; Balance Sheet on the banking sector, May 2019; Reference interbank market interest rates, 27 June 2019; Monetary survey, May 2019; The weighted average interest rates on new loans and deposits attracted and associated volumes, May 2019; Interest rates related to balances of loans and deposits, May 2019; Average interest rates on interbank transactions, May 2019; Reference interbank market interest rates, 20 June 2019; Interest rates on monetary regulation instruments of NBM, 19 June 2019; Reference interbank market interest rates, 19 June 2019; Foreign exchange assets and liabilities of the licensed banks, May 2019; Non-cash Foreign Exchange Market, May 2019; Required reserves maintained by banks in MDL, April 2019; NBM's activity on the interbank market (data shown according to trade date), May 2019; Reference interbank market interest rates, 18 June 2019; Reference interbank market interest rates, 17 June 2019; Average interest rate on interest bearing demand deposits, June 2019; Average interest rate on interest bearing demand deposits, May 2019; Official reserve assets and other foreign currency assets, 07 June 2019; Reference interbank market interest rates, 14 June 2019; Reference interbank market interest rates, 13 June 2019; Reference interbank market interest rates, 11 June 2019; Reference interbank market interest rates, 12 June 2019; Reference interbank market interest rates, 10 June 2019; Reference interbank market interest rates, 07 June 2019; Official reserve assets and other foreign currency assets, 31 May 2019; Commercial banks activity on the money market, May 2019; Reference interbank market interest rates, 06 June 2019; Reference interbank market interest rates, 05 June 2019; Standing Facilities, May 2019; Weighted average yields on Government Securities of the RM, May 2019; NBM Money Market Operations, May 2019; Reference interbank market interest rates, 04 June 2019; Monetary survey, May 2019; Reference interbank market interest rates, 03 June 2019; Average interest rate on interest bearing demand deposits, May 2019; Reference interbank market interest rates, 31 May 2019; Official reserve assets and other foreign currency assets, 24 May 2019; Reference interbank market interest rates, 30 May 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 29 May 2019; Reference interbank market interest rates, 28 May 2019; Reference interbank market interest rates, 27 May 2019; Required reserves maintained by banks in FCC, April 2019; Memo items, April 2019; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, April 2019; Money Transfers from Abroad in Favor of Individuals (net basis), April 2019; Official reserve assets and other foreign currency assets, 17 May 2019; Average interest rate on interest bearing demand deposits, May 2019; Reference interbank market interest rates, 24 May 2019; Non-cash Foreign Exchange Market, April 2019; Official Reserve Assets and other foreign currency assets, April 2019; Predetermined short-term net drains on foreign currency assets, April 2019; Contingent short-term net drains on foreign currency assets, April 2019; Reference interbank market interest rates, 23 May 2019; Foreign exchange assets and liabilities of the licensed banks, April 2019; Reference interbank market interest rates, 22 May 2019; Clasification of credit portofolio of the banking sector (on branches) , April 2019; Information on financial and economic activities of banks, April 2019; The structure of credit portofolio of the banking sector (by debtor), April 2019; NBM's activity on the interbank market (data shown according to trade date), April 2019; Foreign exchange market supply and demand, April 2019; Cash Foreign Exchange Market, April 2019; Reference interbank market interest rates, 21 May 2019; Monetary survey, December 2018; The structure of credit portofolio of the banking sector (by currency), April 2019; The structure o f credit portofolio of the banking sector (on branches), April 2019; The structure of deposits of the banking sector, April 2019; Income Statement, April 2019; Balance Sheet on the banking sector, April 2019; Monetary survey, April 2019; Monetary survey, March 2019; The weighted average interest rates on new loans and deposits attracted and associated volumes, April 2019; Average interest rates on interbank transactions, April 2019; Interest rates related to balances of loans and deposits, April 2019; Reference interbank market interest rates, 20 May 2019; Required reserves maintained by banks in MDL, March 2019; Reference interbank market interest rates, 18 May 2019; Reference interbank market interest rates, 17 May 2019; Reference interbank market interest rates, 16 May 2019; Official reserve assets and other foreign currency assets, 08 May 2019; Average interest rate on interest bearing demand deposits, April 2019; Average interest rate on interest bearing demand deposits, May 2019; Reference interbank market interest rates, 15 May 2019; Reference interbank market interest rates, 14 May 2019; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 1 2019; Reference interbank market interest rates, 13 May 2019; Official reserve assets and other foreign currency assets, 03 May 2019; Reference interbank market interest rates, 08 May 2019; Interest rates on monetary regulation instruments of NBM, 07 May 2019; Reference interbank market interest rates, 07 May 2019; Official reserve assets and other foreign currency assets, 26 April 2019; NBM Money Market Operations, April 2019; Weighted average yields on Government Securities of the RM, April 2019; Commercial banks activity on the money market, April 2019; Standing Facilities, April 2019; Reference interbank market interest rates, 03 May 2019; Main aggregates of the balance of payments current account (BPM6), seasonally adjusted, October 2018; Reference interbank market interest rates, 20 May 2019; Contingent short-term net drains on foreign currency assets, March 2019; Reference interbank market interest rates, 02 May 2019; Monetary survey, April 2019; Memo items, March 2019; Average interest rate on interest bearing demand deposits, April 2019; Reference interbank market interest rates, 26 April 2019; Official reserve assets and other foreign currency assets, 19 April 2019; Predetermined short-term net drains on foreign currency assets, March 2019; Official Reserve Assets and other foreign currency assets, March 2019; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, March 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), March 2019; Reference interbank market interest rates, 25 April 2019; Information on financial and economic activities of banks, March 2019; The structure of credit portofolio of the banking sector (by currency), March 2019; Clasification of credit portofolio of the banking sector (on branches) , March 2019; Reference interbank market interest rates, 24 April 2019; Required reserves maintained by banks in FCC, March 2019; Required reserves maintained by banks in MDL, February 2019; Reference interbank market interest rates, 23 April 2019; The structure o f credit portofolio of the banking sector (on branches), March 2019; The structure of credit portofolio of the banking sector (by debtor), March 2019; Information on financial and economic activities of banks, February 2019; Foreign exchange market supply and demand, March 2019; Reference interbank market interest rates, 22 April 2019; NBM's activity on the interbank market (data shown according to trade date), March 2019; Non-cash Foreign Exchange Market, March 2019; Foreign exchange assets and liabilities of the licensed banks, March 2019; Cash Foreign Exchange Market, March 2019; Interest rates related to balances of loans and deposits, March 2019; The structure of deposits of the banking sector, March 2019; Income Statement, March 2019; Monetary survey, March 2019; The weighted average interest rates on new loans and deposits attracted and associated volumes, March 2019; Balance Sheet on the banking sector, March 2019; Reference interbank market interest rates, 19 April 2019; Official reserve assets and other foreign currency assets, 12 April 2019; Reference interbank market interest rates, 18 April 2019; Reference interbank market interest rates, 17 April 2019; Reference interbank market interest rates, 16 April 2019; Average interest rates on interbank transactions, March 2019; Reference interbank market interest rates, 13 April 2019; Reference interbank market interest rates, 15 April 2019; Average interest rate on interest bearing demand deposits, April 2019; Average interest rate on interest bearing demand deposits, April 2019; Average interest rate on interest bearing demand deposits, March 2019; Official reserve assets and other foreign currency assets, 05 April 2019; Reference interbank market interest rates, 12 April 2019; Reference interbank market interest rates, 11 April 2019; Reference interbank market interest rates, 10 April 2019; Reference interbank market interest rates, 09 April 2019; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Reference interbank market interest rates, 08 April 2019; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Official reserve assets and other foreign currency assets, 29 March 2019; Reference interbank market interest rates, 05 April 2019; Reference interbank market interest rates, 04 April 2019; Reference interbank market interest rates, 03 April 2019; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; International Investment position (BPM6), standard components and additional details,; Reference interbank market interest rates, 01 April 2019; Monetary survey, March 2019; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Reference interbank market interest rates, 02 April 2019; Weighted average yields on Government Securities of the RM, March 2019; Standing Facilities, March 2019; NBM Money Market Operations, March 2019; Balance of payments of the Republic of Moldova (BPM6) in analytical presentation,; Commercial banks activity on the money market, March 2019; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Official reserve assets and other foreign currency assets, 22 March 2019; Reference interbank market interest rates, 28 March 2019; Reference interbank market interest rates, 27 March 2019; Reference interbank market interest rates, 26 March 2019; Average interest rate on interest bearing demand deposits, March 2019; Reference interbank market interest rates, 29 March 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), February 2019; International Investment position (BPM6), standard components and additional details,; International Investment position (BPM6), standard components and additional details,; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, February 2019; Official Reserve Assets and other foreign currency assets, February 2019; Predetermined short-term net drains on foreign currency assets, February 2019; Contingent short-term net drains on foreign currency assets, February 2019; Memo items, February 2019; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Foreign exchange market supply and demand, February 2019; Cash Foreign Exchange Market, February 2019; Information on financial and economic activities of banks, December 2018; Information on financial and economic activities of banks, February 2019; Information on financial and economic activities of banks, January 2019; The weighted average interest rates on new loans and deposits attracted and associated volumes, February 2019; Average interest rate on interest bearing demand deposits, March 2019; Foreign exchange assets and liabilities of the licensed banks, February 2019; Required reserves maintained by banks in MDL, January 2019; Average interest rates on interbank transactions, February 2019; NBM's activity on the interbank market (data shown according to trade date), February 2019; Required reserves maintained by banks in FCC, February 2019; Non-cash Foreign Exchange Market, February 2019; Reference interbank market interest rates, 22 March 2019; Reference interbank market interest rates, 25 March 2019; Interest rates related to balances of loans and deposits, February 2019; Monetary survey, February 2019; Reference interbank market interest rates, 21 March 2019; The structure of deposits of the banking sector, February 2019; Official reserve assets and other foreign currency assets, 15 March 2019; Cash Foreign Exchange Market, December 2018; Income Statement, February 2019; Balance Sheet on the banking sector, February 2019; The structure o f credit portofolio of the banking sector (on branches), February 2019; Clasification of credit portofolio of the banking sector (on branches) , February 2019; The structure of credit portofolio of the banking sector (by currency), February 2019; The structure of credit portofolio of the banking sector (by debtor), February 2019; Reference interbank market interest rates, 20 March 2019; Reference interbank market interest rates, 19 March 2019; Reference interbank market interest rates, 18 March 2019; Average interest rate on interest bearing demand deposits, February 2019; Average interest rate on interest bearing demand deposits, March 2019; Reference interbank market interest rates, 15 March 2019; Official reserve assets and other foreign currency assets, 07 March 2019; Interest rates on monetary regulation instruments of NBM, 14 March 2019; Reference interbank market interest rates, 14 March 2019; Reference interbank market interest rates, 13 March 2019; Reference interbank market interest rates, 12 March 2019; Reference interbank market interest rates, 11 March 2019; The weighted average interest rates on new loans and deposits attracted and associated volumes, February 2019; Official reserve assets and other foreign currency assets, 01 March 2019; Reference interbank market interest rates, 07 March 2019; Official reserve assets and other foreign currency assets, 28 February 2019; Commercial banks activity on the money market, February 2019; Reference interbank market interest rates, 06 March 2019; Reference interbank market interest rates, 05 March 2019; Reference interbank market interest rates, 04 March 2019; Weighted average yields on Government Securities of the RM, February 2019; Standing Facilities, February 2019; NBM Money Market Operations, February 2019; Reference interbank market interest rates, 01 March 2019; Average interest rate on interest bearing demand deposits, February 2019; Monetary survey, February 2019; Official reserve assets and other foreign currency assets, 22 February 2019; Reference interbank market interest rates, 28 February 2019; Reference interbank market interest rates, 27 February 2019; Reference interbank market interest rates, 25 February 2019; Reference interbank market interest rates, 26 February 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, January 2019; Money Transfers from Abroad in Favor of Individuals (net basis), January 2019; Predetermined short-term net drains on foreign currency assets, January 2019; Memo items, January 2019; Contingent short-term net drains on foreign currency assets, January 2019; Official Reserve Assets and other foreign currency assets, January 2019; Average interest rate on interest bearing demand deposits, February 2019; Non-cash Foreign Exchange Market, January 2019; NBM's activity on the interbank market (data shown according to trade date), January 2019; Reference interbank market interest rates, 22 February 2019; Official reserve assets and other foreign currency assets, 15 February 2019; Foreign exchange market supply and demand, January 2019; Foreign exchange assets and liabilities of the licensed banks, January 2019; Foreign exchange assets and liabilities of the licensed banks, January 2019; Cash Foreign Exchange Market, January 2019; Required reserves maintained by banks in FCC, January 2019; Required reserves maintained by banks in MDL, December 2018; Reference interbank market interest rates, 21 February 2019; The structure o f credit portofolio of the banking sector (on branches), January 2019; Clasification of credit portofolio of the banking sector (on branches) , December 2018; Information on financial and economic activities of banks, January 2019; Average interest rates on interbank transactions, January 2019; Monetary survey, January 2019; Clasification of credit portofolio of the banking sector (on branches) , January 2019; The structure of credit portofolio of the banking sector (by currency), January 2019; The structure of credit portofolio of the banking sector (by debtor), January 2019; Interest rates related to balances of loans and deposits, January 2019; The structure of deposits of the banking sector, January 2019; Income Statement, January 2019; Balance Sheet on the banking sector, January 2019; Balance Sheet on the banking sector, January 2019; The weighted average interest rates on new loans and deposits attracted and associated volumes, January 2019; Reference interbank market interest rates, 20 February 2019; Reference interbank market interest rates, 19 February 2019; Reference interbank market interest rates, 18 February 2019; Average interest rate on interest bearing demand deposits, January 2019; Average interest rate on interest bearing demand deposits, February 2019; Reference interbank market interest rates, 15 February 2019; Official reserve assets and other foreign currency assets, 08 February 2019; Activity indicators within card payments system of the Republic of Moldova , 2018; Reference interbank market interest rates, 14 February 2019; Commercial banks activity on the money market, January 2019; Reference interbank market interest rates, 13 February 2019; Reference interbank market interest rates, 12 February 2019; Reference interbank market interest rates, 08 February 2019; Official reserve assets and other foreign currency assets, 01 February 2019; Official reserve assets and other foreign currency assets, 31 January 2019; Reference interbank market interest rates, 07 February 2019; Reference interbank market interest rates, 11 February 2019; Interest rates on monetary regulation instruments of NBM, 06 February 2019; Reference interbank market interest rates, 06 February 2019; Reference interbank market interest rates, 05 February 2019; Reference interbank market interest rates, 04 February 2019; NBM Money Market Operations, January 2019; Standing Facilities, January 2019; Average interest rate on interest bearing demand deposits, January 2019; Official reserve assets and other foreign currency assets, 25 January 2019; Reference interbank market interest rates, 31 January 2019; Reference interbank market interest rates, 30 January 2019; Reference interbank market interest rates, 29 January 2019; Reference interbank market interest rates, 28 January 2019; Weighted average yields on Government Securities of the RM, January 2019; Reference interbank market interest rates, 01 February 2019; Monetary survey, January 2019; Official Reserve Assets and other foreign currency assets, December 2018; Memo items, December 2018; Average interest rate on interest bearing demand deposits, January 2019; Contingent short-term net drains on foreign currency assets, December 2018; Predetermined short-term net drains on foreign currency assets, December 2018; Reference interbank market interest rates, 25 January 2019; Reference interbank market interest rates, 12 February 2019; Reference interbank market interest rates, 11 February 2019; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, December 2018; Reference interbank market interest rates, 11 February 2019; Official reserve assets and other foreign currency assets, 18 January 2019; Information on financial and economic activities of banks, June 2018; Information on financial and economic activities of banks, March 2018; Information on financial and economic activities of banks, September 2018; NBM's activity on the interbank market (data shown according to trade date), December 2018; Non-cash Foreign Exchange Market, December 2018; Money Transfers from Abroad in Favor of Individuals (net basis), December 2018; Reference interbank market interest rates, 24 January 2019; Reference interbank market interest rates, 23 January 2019; Information on financial and economic activities of banks, December 2018; Required reserves maintained by banks in MDL, November 2018; Clasification of credit portofolio of the banking sector (on branches) , December 2018; The structure of credit portofolio of the banking sector (by debtor), December 2018; The structure of credit portofolio of the banking sector (by currency), December 2018; Required reserves maintained by banks in FCC, December 2018; Information on financial and economic activities of banks, December 2017; Reference interbank market interest rates, 28 January 2019; The structure o f credit portofolio of the banking sector (on branches), December 2018; Reference interbank market interest rates, 22 January 2019; Foreign exchange market supply and demand, December 2018; Foreign exchange assets and liabilities of the licensed banks, December 2018; Cash Foreign Exchange Market, December 2018; Monetary survey, December 2018; Reference interbank market interest rates, 21 January 2019; Average interest rate on interest bearing demand deposits, January 2019; The structure of deposits of the banking sector, December 2018; The weighted average interest rates on new loans and deposits attracted and associated volumes, December 2018; Balance Sheet on the banking sector, December 2018; Income Statement, December 2018; Official reserve assets and other foreign currency assets, 11 January 2019; Average interest rates on interbank transactions, December 2018; Reference interbank market interest rates, 18 January 2019; Reference interbank market interest rates, 17 January 2019; Commercial banks activity on the money market, December 2018; Interest rates related to balances of loans and deposits, December 2018; Reference interbank market interest rates, 16 January 2019; Reference interbank market interest rates, 14 January 2019; Reference interbank market interest rates, 11 January 2019; Official reserve assets and other foreign currency assets, 04 January 2019; Reference interbank market interest rates, 10 January 2019; Reference interbank market interest rates, 09 January 2019; Reference interbank market interest rates, 15 January 2019; Reference interbank market interest rates, 03 January 2019; Average interest rate on interest bearing demand deposits, December 2018; NBM Money Market Operations, December 2018; Weighted average yields on Government Securities of the RM, December 2018; Standing Facilities, December 2018; International Investment position (BPM6), standard components and additional details,; Reference interbank market interest rates, 02 January 2019; Reference interbank market interest rates, 04 January 2019; Official reserve assets and other foreign currency assets, 28 December 2018; Monetary survey, December 2018; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Reference interbank market interest rates, 28 December 2018; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Official reserve assets and other foreign currency assets, 21 December 2018; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, November 2018; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), November 2018; Reference interbank market interest rates, 27 December 2018; Memo items, November 2018; Required reserves maintained by banks in FCC, November 2018; Reference interbank market interest rates, 26 December 2018; Average interest rate on interest bearing demand deposits, December 2018; Foreign exchange assets and liabilities of the licensed banks, November 2018; Reference interbank market interest rates, 21 December 2018; Contingent short-term net drains on foreign currency assets, November 2018; Predetermined short-term net drains on foreign currency assets, November 2018; Official Reserve Assets and other foreign currency assets, November 2018; Average interest rates on interbank transactions, November 2018; Official reserve assets and other foreign currency assets, 14 December 2018; Foreign exchange market supply and demand, November 2018; Cash Foreign Exchange Market, November 2018; The structure of credit portofolio of the banking sector (by currency), November 2018; The structure of credit portofolio of the banking sector (by debtor), November 2018; The structure o f credit portofolio of the banking sector (on branches), November 2018; Interest rates related to balances of loans and deposits, November 2018; Clasification of credit portofolio of the banking sector (on branches) , November 2018; The weighted average interest rates on new loans and deposits attracted and associated volumes, November 2018; Reference interbank market interest rates, 20 December 2018; The structure of deposits of the banking sector, November 2018; Balance Sheet on the banking sector, November 2018; Income Statement, November 2018; Required reserves maintained by banks in MDL, October 2018; Monetary survey, November 2018; Information on financial and economic activities of banks, November 2018; NBM's activity on the interbank market (data shown according to trade date), November 2018; Non-cash Foreign Exchange Market, November 2018; Reference interbank market interest rates, 19 December 2018; Reference interbank market interest rates, 18 December 2018; Foreign exchange assets and liabilities of the licensed banks, October 2018; Reference interbank market interest rates, 17 December 2018; Average interest rate on interest bearing demand deposits, November 2018; Reference interbank market interest rates, 15 December 2018; Reference interbank market interest rates, 14 December 2018; Official reserve assets and other foreign currency assets, 07 December 2018; Reference interbank market interest rates, 13 December 2018; Reference interbank market interest rates, 12 December 2018; Interest rates on monetary regulation instruments of NBM, 12 December 2018; Reference interbank market interest rates, 11 December 2018; Reference interbank market interest rates, 10 December 2018; Official reserve assets and other foreign currency assets, 30 November 2018; Reference interbank market interest rates, 08 December 2018; Reference interbank market interest rates, 07 December 2018; Reference interbank market interest rates, 06 December 2018; Reference interbank market interest rates, 05 December 2018; Weighted average yields on Government Securities of the RM, November 2018; Reference interbank market interest rates, 04 December 2018; NBM Money Market Operations, November 2018; Standing Facilities, November 2018; Monetary survey, November 2018; Reference interbank market interest rates, 03 December 2018; Average interest rate on interest bearing demand deposits, November 2018; Official reserve assets and other foreign currency assets, 23 November 2018; Reference interbank market interest rates, 30 November 2018; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, October 2018; Reference interbank market interest rates, 28 November 2018; Reference interbank market interest rates, 29 November 2018; Reference interbank market interest rates, 27 November 2018; Predetermined short-term net drains on foreign currency assets, October 2018; Money Transfers from Abroad in Favor of Individuals (net basis), October 2018; Money Transfers from Abroad in Favor of Individuals (gross basis),; Commercial banks activity on the money market, January 2018; Reference interbank market interest rates, 26 November 2018; Average interest rate on interest bearing demand deposits, November 2018; Contingent short-term net drains on foreign currency assets, October 2018; Official Reserve Assets and other foreign currency assets, October 2018; Memo items, October 2018; Reference interbank market interest rates, 23 November 2018; Official reserve assets and other foreign currency assets, 16 November 2018; Information on financial and economic activities of banks, October 2018; Reference interbank market interest rates, 22 November 2018; Cash Foreign Exchange Market, October 2018; Required reserves maintained by banks in FCC, October 2018; Foreign exchange assets and liabilities of the licensed banks, October 2018; Foreign exchange market supply and demand, October 2018; Required reserves maintained by banks in MDL, September 2018; The structure of credit portofolio of the banking sector (by currency), October 2018; Clasification of credit portofolio of the banking sector (on branches) , October 2018; Non-cash Foreign Exchange Market, October 2018; Reference interbank market interest rates, 21 November 2018; Reference interbank market interest rates, 30 November 2018; NBM's activity on the interbank market (data shown according to trade date), October 2018; Income Statement, October 2018; Balance Sheet on the banking sector, October 2018; The structure of credit portofolio of the banking sector (by debtor), October 2018; The structure o f credit portofolio of the banking sector (on branches), October 2018; Average interest rates on interbank transactions, October 2018; Interest rates related to balances of loans and deposits, October 2018; The weighted average interest rates on new loans and deposits attracted and associated volumes, October 2018; The structure of deposits of the banking sector, October 2018; Monetary survey, October 2018; Monetary survey, December 2017; Reference interbank market interest rates, 20 November 2018; Reference interbank market interest rates, 19 November 2018; Average interest rate on interest bearing demand deposits, November 2018; Reference interbank market interest rates, 16 November 2018; Average interest rate on interest bearing demand deposits, October 2018; Reference interbank market interest rates, 15 November 2018; Official reserve assets and other foreign currency assets, 09 November 2018; Reference interbank market interest rates, 14 November 2018; Information on financial and economic activities of banks, October 2018; Reference interbank market interest rates, 13 November 2018; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 3 2018; Reference interbank market interest rates, 09 November 2018; Reference interbank market interest rates, 12 November 2018; Official reserve assets and other foreign currency assets, 02 November 2018; Reference interbank market interest rates, 08 November 2018; Official reserve assets and other foreign currency assets, 31 October 2018; Reference interbank market interest rates, 07 November 2018; Reference interbank market interest rates, 06 November 2018; Reference interbank market interest rates, 05 November 2018; Average interest rate on interest bearing demand deposits, October 2018; Standing Facilities, October 2018; Official reserve assets and other foreign currency assets, 26 October 2018; Weighted average yields on Government Securities of the RM, October 2018; NBM Money Market Operations, October 2018; Reference interbank market interest rates, 01 November 2018; Interest rates on monetary regulation instruments of NBM, 31 October 2018; Average interest rate on interest bearing demand deposits, October 2018; Reference interbank market interest rates, 31 October 2018; Reference interbank market interest rates, 30 October 2018; Reference interbank market interest rates, 29 October 2018; Reference interbank market interest rates, 26 October 2018; Monetary survey, October 2018; Official Reserve Assets and other foreign currency assets, September 2018; Predetermined short-term net drains on foreign currency assets, September 2018; Money Transfers from Abroad in Favor of Individuals (net basis), September 2018; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, September 2018; Official reserve assets and other foreign currency assets, 19 October 2018; Memo items, September 2018; Contingent short-term net drains on foreign currency assets, September 2018; Reference interbank market interest rates, 24 October 2018; Reference interbank market interest rates, 25 October 2018; Reference interbank market interest rates, 23 October 2018; Required reserves maintained by banks in FCC, September 2018; Required reserves maintained by banks in MDL, August 2018; NBM's activity on the interbank market (data shown according to trade date), September 2018; Non-cash Foreign Exchange Market, September 2018; Reference interbank market interest rates, 22 October 2018; Cash Foreign Exchange Market, September 2018; Foreign exchange market supply and demand, September 2018; Information on financial and economic activities of banks, September 2018; The structure of credit portofolio of the banking sector (by currency), September 2018; Clasification of credit portofolio of the banking sector (on branches) , September 2018; The structure o f credit portofolio of the banking sector (on branches), September 2018; The structure of credit portofolio of the banking sector (by debtor), September 2018; Reference interbank market interest rates, 20 October 2018; Average interest rate on interest bearing demand deposits, September 2018; Interest rates related to balances of loans and deposits, September 2018; Average interest rate on interest bearing demand deposits, September 2018; Monetary survey, September 2018; Income Statement, September 2018; The structure of deposits of the banking sector, September 2018; Balance Sheet on the banking sector, September 2018; The weighted average interest rates on new loans and deposits attracted and associated volumes, September 2018; Average interest rates on interbank transactions, September 2018; Reference interbank market interest rates, 19 October 2018; Official reserve assets and other foreign currency assets, 12 October 2018; Reference interbank market interest rates, 18 October 2018; Reference interbank market interest rates, 17 October 2018; Reference interbank market interest rates, 16 October 2018; Reference interbank market interest rates, 15 October 2018; Reference interbank market interest rates, 08 October 2018; Foreign exchange assets and liabilities of the licensed banks, September 2018; Reference interbank market interest rates, 12 October 2018; Official reserve assets and other foreign currency assets, 05 October 2018; Official reserve assets and other foreign currency assets, 28 September 2018; Reference interbank market interest rates, 11 October 2018; Reference interbank market interest rates, 10 October 2018; Reference interbank market interest rates, 09 October 2018; Reference interbank market interest rates, 02 October 2018; Standing Facilities, September 2018; NBM Money Market Operations, September 2018; Weighted average yields on Government Securities of the RM, September 2018; Official reserve assets and other foreign currency assets, 29 September 2018; Reference interbank market interest rates, 05 October 2018; Reference interbank market interest rates, 04 October 2018; Average interest rate on interest bearing demand deposits, September 2018; Average interest rate on interest bearing demand deposits, September 2018; Reference interbank market interest rates, 03 October 2018; Reference interbank market interest rates, 01 October 2018; Monetary survey, September 2018; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Official reserve assets and other foreign currency assets, 21 September 2018; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; International Investment pozition (BPM6) standart components and additional details,; Reference interbank market interest rates, 29 September 2018; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, August 2018; Reference interbank market interest rates, 28 September 2018; Memo items, August 2018; Money Transfers from Abroad in Favor of Individuals (net basis), August 2018; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 27 September 2018; Reference interbank market interest rates, 26 September 2018; Official Reserve Assets and other foreign currency assets, August 2018; Predetermined short-term net drains on foreign currency assets, August 2018; Contingent short-term net drains on foreign currency assets, August 2018; Reference interbank market interest rates, 25 September 2018; Reference interbank market interest rates, 24 September 2018; Foreign exchange market supply and demand, August 2018; Required reserves maintained by banks in MDL, July 2018; Required reserves maintained by banks in FCC, August 2018; Official reserve assets and other foreign currency assets, 14 September 2018; Reference interbank market interest rates, 21 September 2018; Information on financial and economic activities of banks, August 2018; Information on financial and economic activities of banks, July 2018; The structure of credit portofolio of the banking sector (by debtor), August 2018; Clasification of credit portofolio of the banking sector (on branches) , August 2018; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; The structure o f credit portofolio of the banking sector (on branches), August 2018; The structure of credit portofolio of the banking sector (by currency), August 2018; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; The weighted average interest rates on new loans and deposits attracted and associated volumes, August 2018; Interest rates related to balances of loans and deposits, August 2018; Non-cash Foreign Exchange Market, August 2018; The structure of deposits of the banking sector, August 2018; Average interest rates on interbank transactions, August 2018; Monetary survey, August 2018; Cash Foreign Exchange Market, August 2018; Foreign exchange assets and liabilities of the licensed banks, August 2018; NBM's activity on the interbank market (data shown according to trade date), June 2018; NBM's activity on the interbank market (data shown according to trade date), August 2018; Balance Sheet on the banking sector, August 2018; Income Statement, August 2018; Reference interbank market interest rates, 20 September 2018; Reference interbank market interest rates, 19 September 2018; Reference interbank market interest rates, 18 September 2018; Average interest rate on interest bearing demand deposits, September 2018; Reference interbank market interest rates, 17 September 2018; Average interest rate on interest bearing demand deposits, August 2018; Official reserve assets and other foreign currency assets, 11 January 2008; Official reserve assets and other foreign currency assets, 07 September 2018; Reference interbank market interest rates, 14 September 2018; Reference interbank market interest rates, 13 September 2018; Reference interbank market interest rates, 12 September 2018; Reference interbank market interest rates, 11 September 2018; Average interest rate on interest bearing demand deposits, August 2018; Reference interbank market interest rates, 08 September 2018; Reference interbank market interest rates, 10 September 2018; Reference interbank market interest rates, 07 September 2018; Reference interbank market interest rates, 06 September 2018; Information on financial and economic activities of banks, June 2018; Reference interbank market interest rates, 05 September 2018; Interest rates on monetary regulation instruments of NBM, 04 September 2018; Reference interbank market interest rates, 04 September 2018; Official reserve assets and other foreign currency assets, 24 August 2018; NBM Money Market Operations, August 2018; Weighted average yields on Government Securities of the RM, August 2018; Monetary survey, August 2018; Standing Facilities, August 2018; Reference interbank market interest rates, 03 September 2018; Information on financial and economic activities of banks, July 2018; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, July 2018; Money Transfers from Abroad in Favor of Individuals (net basis), July 2018; Money Transfers from Abroad in Favor of Individuals (gross basis),; Official Reserve Assets and other foreign currency assets, July 2018; Average interest rate on interest bearing demand deposits, August 2018; Official reserve assets and other foreign currency assets, 17 August 2018; Reference interbank market interest rates, 24 August 2018; Contingent short-term net drains on foreign currency assets, July 2018; Memo items, July 2018; Predetermined short-term net drains on foreign currency assets, July 2018; Reference interbank market interest rates, 23 August 2018; Required reserves maintained by banks in MDL, June 2018; Required reserves maintained by banks in FCC, July 2018; Reference interbank market interest rates, 22 August 2018; Foreign exchange market supply and demand, July 2018; Foreign exchange assets and liabilities of the licensed banks, July 2018; Reference interbank market interest rates, 21 August 2018; Cash Foreign Exchange Market, July 2018; The structure of credit portofolio of the banking sector (by debtor), July 2018; The structure of credit portofolio of the banking sector (by currency), July 2018; Clasification of credit portofolio of the banking sector (on branches) , July 2018; The structure o f credit portofolio of the banking sector (on branches), July 2018; Income Statement, June 2018; The weighted average interest rates on new loans and deposits attracted and associated volumes, July 2018; Balance Sheet on the banking sector, July 2018; Income Statement, July 2018; The structure of deposits of the banking sector, July 2018; Reference interbank market interest rates, 20 August 2018; Monetary survey, July 2018; Non-cash Foreign Exchange Market, July 2018; Interest rates related to balances of loans and deposits, July 2018; Official reserve assets and other foreign currency assets, 10 August 2018; Average interest rates on interbank transactions, July 2018; Average interest rate on interest bearing demand deposits, August 2018; Reference interbank market interest rates, 17 August 2018; Reference interbank market interest rates, 16 August 2018; Average interest rate on interest bearing demand deposits, August 2018; Average interest rate on interest bearing demand deposits, July 2018; NBM's activity on the interbank market (data shown according to trade date), July 2018; Reference interbank market interest rates, 15 August 2018; Reference interbank market interest rates, 14 August 2018; Reference interbank market interest rates, 13 August 2018; Reference interbank market interest rates, 10 August 2018; Official reserve assets and other foreign currency assets, 03 August 2018; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 2 2018; Reference interbank market interest rates, 09 August 2018; Reference interbank market interest rates, 08 August 2018; Official reserve assets and other foreign currency assets, 31 July 2018; Reference interbank market interest rates, 07 August 2018; Reference interbank market interest rates, 06 August 2018; Official reserve assets and other foreign currency assets, 27 July 2018; Reference interbank market interest rates, 03 August 2018; Reference interbank market interest rates, 02 August 2018; Monetary survey, July 2018; Weighted average yields on Government Securities of the RM, July 2018; Standing Facilities, July 2018; NBM Money Market Operations, July 2018; Reference interbank market interest rates, 01 August 2018; Money Transfers from Abroad in Favor of Individuals (net basis), June 2018; Reference interbank market interest rates, 31 July 2018; Interest rates on monetary regulation instruments of NBM, 27 July 2018; Reference interbank market interest rates, 30 July 2018; Average interest rate on interest bearing demand deposits, July 2018; Reference interbank market interest rates, 27 July 2018; Reference interbank market interest rates, 26 July 2018; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, June 2018; Required reserves maintained by banks in FCC, June 2018; Official reserve assets and other foreign currency assets, 20 July 2018; Commercial banks activity on the money market, June 2018; Required reserves maintained by banks in FCC, April 2018; Memo items, June 2018; Contingent short-term net drains on foreign currency assets, June 2018; Predetermined short-term net drains on foreign currency assets, June 2018; Reference interbank market interest rates, 24 July 2018; Reference interbank market interest rates, 23 July 2018; Reference interbank market interest rates, 25 July 2018; Foreign exchange assets and liabilities of the licensed banks, June 2018; Cash Foreign Exchange Market, June 2018; Official Reserve Assets and other foreign currency assets, June 2018; Required reserves maintained by banks in MDL, May 2018; Monetary survey, June 2018; Information on financial and economic activities of banks, June 2018; Clasification of credit portofolio of the banking sector (on branches) , June 2018; Foreign exchange market supply and demand, June 2018; Non-cash Foreign Exchange Market, June 2018; NBM's activity on the interbank market, June 2018; Income Statement, June 2018; The structure of credit portofolio of the banking sector (by currency), June 2018; The structure of deposits of the banking sector, June 2018; The structure o f credit portofolio of the banking sector (on branches), June 2018; The structure of credit portofolio of the banking sector (by debtor), June 2018; Required reserves maintained by banks in FCC, June 2018; Average interest rates on interbank transactions, June 2018; Balance Sheet on the banking sector, June 2018; Interest rates related to balances of loans and deposits, June 2018; The weighted average interest rates on new loans and deposits attracted and associated volumes, June 2018; Average interest rate on interest bearing demand deposits, July 2018; Official reserve assets and other foreign currency assets, 13 July 2018; Reference interbank market interest rates, 20 July 2018; Commercial banks activity on the money market, June 2018; Reference interbank market interest rates, 19 July 2018; Reference interbank market interest rates, 18 July 2018; Reference interbank market interest rates, 17 July 2018; Reference interbank market interest rates, 16 July 2018; Average interest rate on interest bearing demand deposits, June 2018; Reference interbank market interest rates, 10 July 2018; Official reserve assets and other foreign currency assets, 06 July 2018; Reference interbank market interest rates, 13 July 2018; Reference interbank market interest rates, 09 July 2018; Reference interbank market interest rates, 12 July 2018; Reference interbank market interest rates, 06 July 2018; Official reserve assets and other foreign currency assets, 29 June 2018; International Investment pozition (BPM6) standart components and additional details,; Reference interbank market interest rates, 11 July 2018; Monetary survey, June 2018; Reference interbank market interest rates, 05 July 2018; Reference interbank market interest rates, 04 July 2018; Reference interbank market interest rates, 03 July 2018; Weighted average yields on Government Securities of the RM, June 2018; NBM Money Market Operations, June 2018; Standing Facilities, June 2018; Official reserve assets and other foreign currency assets, 22 June 2018; Reference interbank market interest rates, 02 July 2018; Money Transfers from Abroad in Favor of Individuals (gross basis),; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Commercial banks activity on the money market, June 2018; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Official Reserve Assets and other foreign currency assets, May 2018; Reference interbank market interest rates, 28 June 2018; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, May 2018; Money Transfers from Abroad in Favor of Individuals (net basis), May 2018; Reference interbank market interest rates, 26 June 2018; Memo items, May 2018; Contingent short-term net drains on foreign currency assets, May 2018; Reference interbank market interest rates, 25 June 2018; Predetermined short-term net drains on foreign currency assets, May 2018; Commercial banks activity on the money market, June 2018; Required reserves maintained by banks in MDL, April 2018; Reference interbank market interest rates, 23 June 2018; Average interest rate on interest bearing demand deposits, June 2018; Reference interbank market interest rates, 22 June 2018; Official reserve assets and other foreign currency assets, 15 June 2018; Information on financial and economic activities of banks, December 2017; Foreign exchange market supply and demand, May 2018; International Investment pozition (BPM6) standart components and additional details,; International Investment pozition (BPM6) standart components and additional details,; Commercial banks activity on the money market, June 2018; The structure of credit portofolio of the banking sector (by debtor), May 2018; Clasification of credit portofolio of the banking sector (on branches) , May 2018; Information on financial and economic activities of banks, May 2018; Reference interbank market interest rates, 20 June 2018; Reference interbank market interest rates, 21 June 2018; The structure of credit portofolio of the banking sector (by currency), May 2018; The structure o f credit portofolio of the banking sector (on branches), May 2018; Interest rates related to balances of loans and deposits, May 2018; Average interest rates on interbank transactions, May 2018; Monetary survey, May 2018; Commercial banks activity on the money market, June 2018; The structure of deposits of the banking sector, May 2018; Cash Foreign Exchange Market, May 2018; The weighted average interest rates on new loans and deposits attracted and associated volumes, May 2018; Foreign exchange assets and liabilities of the licensed banks, May 2018; Reference interbank market interest rates, 19 June 2018; The weighted average interest rates on new loans and deposits attracted and associated volumes, April 2018; NBM's activity on the interbank market, May 2018; Non-cash Foreign Exchange Market, May 2018; Reference interbank market interest rates, 15 June 2018; Income Statement, May 2018; Balance Sheet on the banking sector, May 2018; Average interest rate on interest bearing demand deposits, May 2018; Reference interbank market interest rates, 18 June 2018; Official reserve assets and other foreign currency assets, 08 June 2018; Reference interbank market interest rates, 08 June 2018; Commercial banks activity on the money market, June 2018; Reference interbank market interest rates, 14 June 2018; Reference interbank market interest rates, 12 June 2018; Reference interbank market interest rates, 13 June 2018; Reference interbank market interest rates, 11 June 2018; Weighted average yields on Government Securities of the RM, May 2018; NBM Money Market Operations, May 2018; Official reserve assets and other foreign currency assets, 31 May 2018; Reference interbank market interest rates, 07 June 2018; Monetary survey, May 2018; Reference interbank market interest rates, 06 June 2018; Interest rates on monetary regulation instruments of NBM, 05 June 2018; Reference interbank market interest rates, 05 June 2018; Standing Facilities, May 2018; Average interest rate on interest bearing demand deposits, May 2018; Official reserve assets and other foreign currency assets, 25 May 2018; Reference interbank market interest rates, 04 June 2018; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), April 2018; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, April 2018; Reference interbank market interest rates, 31 May 2018; Reference interbank market interest rates, 30 May 2018; Reference interbank market interest rates, 29 May 2018; Official Reserve Assets and other foreign currency assets, April 2018; Reference interbank market interest rates, 28 May 2018; Average interest rate on interest bearing demand deposits, May 2018; Required reserves maintained by banks in FCC, April 2018; Official reserve assets and other foreign currency assets, 18 May 2018; Reference interbank market interest rates, 25 May 2018; Reference interbank market interest rates, 24 May 2018; Commercial banks activity on the money market, May 2018; Predetermined short-term net drains on foreign currency assets, April 2018; Memo items, April 2018; Contingent short-term net drains on foreign currency assets, April 2018; Foreign exchange assets and liabilities of the licensed banks, April 2018; Commercial banks activity on the money market, May 2018; Required reserves maintained by banks in MDL, March 2018; Required reserves maintained by banks in FCC, February 2018; Reference interbank market interest rates, 23 May 2018; NBM Money Market Operations, May 2018; Foreign exchange market supply and demand, April 2018; Cash Foreign Exchange Market, April 2018; Information on financial and economic activities of banks, April 2018; The structure o f credit portofolio of the banking sector (on branches), April 2018; The structure of credit portofolio of the banking sector (by currency), April 2018; Reference interbank market interest rates, 22 May 2018; Non-cash Foreign Exchange Market, April 2018; Commercial banks activity on the money market, May 2018; The structure of credit portofolio of the banking sector (by debtor), April 2018; Clasification of credit portofolio of the banking sector (on branches) , April 2018; Reference interbank market interest rates, 21 May 2018; Average interest rate on interest bearing demand deposits, May 2018; Monetary survey, April 2018; Official reserve assets and other foreign currency assets, 11 May 2018; Income Statement, April 2018; Balance Sheet on the banking sector, April 2018; The structure of deposits of the banking sector, April 2018; Average interest rate on interest bearing demand deposits, May 2018; The weighted average interest rates on new loans and deposits attracted and associated volumes, April 2018; Average interest rates on interbank transactions, April 2018; Commercial banks activity on the money market, May 2018; Reference interbank market interest rates, 18 May 2018; Interest rates related to balances of loans and deposits, April 2018; Reference interbank market interest rates, 17 May 2018; Reference interbank market interest rates, 16 May 2018; NBM's activity on the interbank market, April 2018; Average interest rate on interest bearing demand deposits, April 2018; Reference interbank market interest rates, 15 May 2018; Reference interbank market interest rates, 14 May 2018; Reference interbank market interest rates, 11 May 2018; Official reserve assets and other foreign currency assets, 04 May 2018; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 1 2018; Reference interbank market interest rates, 10 May 2018; Reference interbank market interest rates, 08 May 2018; Average interest rate on interest bearing demand deposits, April 2018; Reference interbank market interest rates, 07 May 2018; Reference interbank market interest rates, 04 May 2018; Official reserve assets and other foreign currency assets, 27 April 2018; Interest rates on monetary regulation instruments of NBM, 03 May 2018; Information on financial and economic activities of banks, February 2018; Reference interbank market interest rates, 03 May 2018; Information on financial and economic activities of banks, January 2018; Information on financial and economic activities of banks, March 2018; Monetary survey, April 2018; NBM Money Market Operations, April 2018; Weighted average yields on Government Securities of the RM, April 2018; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, March 2018; Standing Facilities, April 2018; Reference interbank market interest rates, 02 May 2018; Commercial banks activity on the money market, May 2018; Reference interbank market interest rates, 27 April 2018; Official reserve assets and other foreign currency assets, 20 April 2018; Predetermined short-term net drains on foreign currency assets, March 2018; Money Transfers from Abroad in Favor of Individuals (net basis), March 2018; Money Transfers from Abroad in Favor of Individuals (gross basis),; Commercial banks activity on the money market, April 2018; Reference interbank market interest rates, 26 April 2018; Reference interbank market interest rates, 25 April 2018; Memo items, March 2018; Official Reserve Assets and other foreign currency assets, March 2018; Required reserves maintained by banks in MDL, February 2018; Contingent short-term net drains on foreign currency assets, March 2018; Reference interbank market interest rates, 24 April 2018; Main aggregates of the balance of payments current account, seasonally adjusted, December 2017; Foreign exchange market supply and demand, March 2018; Foreign exchange assets and liabilities of the licensed banks, March 2018; Cash Foreign Exchange Market, March 2018; Reference interbank market interest rates, 23 April 2018; NBM's activity on the interbank market, March 2018; Reference interbank market interest rates, 20 April 2018; Non-cash Foreign Exchange Market, March 2018; Information on financial and economic activities of banks, February 2018; Information on financial and economic activities of banks, March 2018; Commercial banks activity on the money market, April 2018; The structure of credit portofolio of the banking sector (by currency), March 2018; The structure of credit portofolio of the banking sector (by debtor), March 2018; The structure o f credit portofolio of the banking sector (on branches), March 2018; The structure of deposits of the banking sector, March 2018; Clasification of credit portofolio of the banking sector (on branches) , March 2018; Average interest rate on interest bearing demand deposits, April 2018; Average interest rate on interest bearing demand deposits, April 2018; Official reserve assets and other foreign currency assets, 13 April 2018; Income Statement, March 2018; Monetary survey, March 2018; Balance Sheet on the banking sector, March 2018; Interest rates related to balances of loans and deposits, March 2018; The weighted average interest rates on new loans and deposits attracted and associated volumes, March 2018; Average interest rates on interbank transactions, March 2018; Commercial banks activity on the money market, April 2018; Reference interbank market interest rates, 19 April 2018; Reference interbank market interest rates, 18 April 2018; Reference interbank market interest rates, 17 April 2018; Monetary survey, February 2018; Income Statement, February 2018; Reference interbank market interest rates, 12 April 2018; Official reserve assets and other foreign currency assets, 06 April 2018; NBM Money Market Operations, March 2018; Income Statement, January 2018; Balance Sheet on the banking sector, January 2018; Average interest rate on interest bearing demand deposits, March 2018; Reference interbank market interest rates, 20 April 2018; Reference interbank market interest rates, 13 April 2018; Balance Sheet on the banking sector, February 2018; Reference interbank market interest rates, 06 April 2018; Official reserve assets and other foreign currency assets, 30 March 2018; Weighted average yields on Government Securities of the RM, March 2018; Reference interbank market interest rates, 05 April 2018; Reference interbank market interest rates, 03 April 2018; Standing Facilities, March 2018; Reference interbank market interest rates, 04 April 2018; Reference interbank market interest rates, 10 April 2018; Reference interbank market interest rates, 11 April 2018; Coordinated Direct Investment Survey by Economic Activities (CEAM rev.1.1), 2015; Reference interbank market interest rates, 02 April 2018; Average interest rate on interest bearing demand deposits, March 2018; Official reserve assets and other foreign currency assets, 23 March 2018; Reference interbank market interest rates, 30 March 2018; Commercial banks activity on the money market, April 2018; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Monetary survey, March 2018; Balance of payments of the Republic of Moldova (BPM6) in standard presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Gross external debt of the Republic of Moldova by institutional sectors (EDS 2013, BPM6), stock at period-end,; International Investment pozition (BPM6) standart components and additional details,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Balance of payments of the Republic of Moldova (BPM6) in detailed presentation,; Commercial banks activity on the money market, March 2018; Money Transfers from Abroad in Favor of Individuals (gross basis),; Required reserves maintained by banks in FCC, February 2018; Reference interbank market interest rates, 29 March 2018; Reference interbank market interest rates, 28 March 2018; Required reserves maintained by banks in MDL, January 2018; Gross External Debt Position of Republic of Moldova (EDS 2003, BPM5), 2017; Money Transfers from Abroad in Favor of Individuals (net basis), February 2018; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, February 2018; Reference interbank market interest rates, 27 March 2018; Average interest rate on interest bearing demand deposits, March 2018; Official Reserve Assets and other foreign currency assets, February 2018; Reference interbank market interest rates, 26 March 2018; Commercial banks activity on the money market, March 2018; Predetermined short-term net drains on foreign currency assets, February 2018; Official reserve assets and other foreign currency assets, 16 March 2018; Foreign exchange assets and liabilities of the licensed banks, February 2018; Cash Foreign Exchange Market, February 2018; Contingent short-term net drains on foreign currency assets, February 2018; Memo items, February 2018; Reference interbank market interest rates, 23 March 2018; The structure o f credit portofolio of the banking sector (on branches), February 2018; Clasification of credit portofolio of the banking sector (on branches) , February 2018; The structure of credit portofolio of the banking sector (by debtor), February 2018; Information on financial and economic activities of banks, February 2018; The structure of credit portofolio of the banking sector (by currency), February 2018; Monetary survey, February 2018; Interest rates related to balances of loans and deposits, February 2018; The weighted average interest rates on new loans and deposits attracted and associated volumes, February 2018; Commercial banks activity on the money market, March 2018; Foreign exchange market supply and demand, February 2018; Reference interbank market interest rates, 22 March 2018; Reference interbank market interest rates, 21 March 2018; Non-cash Foreign Exchange Market, February 2018; NBM's activity on the interbank market, February 2018; Reference interbank market interest rates, 20 March 2018; The structure of deposits of the banking sector, February 2018; Reference interbank market interest rates, 19 March 2018; Average interest rate on interest bearing demand deposits, March 2018; Average interest rates on interbank transactions, February 2018; Average interest rate on interest bearing demand deposits, February 2018; Reference interbank market interest rates, 05 March 2018; Commercial banks activity on the money market, March 2018; Average interest rate on interest bearing demand deposits, February 2018; Reference interbank market interest rates, 26 February 2018; Reference interbank market interest rates, 01 March 2018; Standing Facilities, February 2018; Reference interbank market interest rates, 03 March 2018; Reference interbank market interest rates, 15 March 2018; Reference interbank market interest rates, 12 March 2018; Reference interbank market interest rates, 02 March 2018; Official reserve assets and other foreign currency assets, 07 March 2018; Information on financial and economic activities of banks, December 2017; Official reserve assets and other foreign currency assets, 02 March 2018; Average interest rate on interest bearing demand deposits, February 2018; Commercial banks activity on the money market, February 2018; Reference interbank market interest rates, 28 February 2018; Official reserve assets and other foreign currency assets, 23 February 2018; Information on financial and economic activities of banks, January 2018; Reference interbank market interest rates, 14 March 2018; Monetary survey, February 2018; Reference interbank market interest rates, 13 March 2018; Reference interbank market interest rates, 07 March 2018; Reference interbank market interest rates, 27 February 2018; Official reserve assets and other foreign currency assets, 28 February 2018; Interest rates on monetary regulation instruments of NBM, 01 March 2018; NBM Money Market Operations, February 2018; Reference interbank market interest rates, 06 March 2018; Predetermined short-term net drains on foreign currency assets, January 2018; Money Transfers from Abroad in Favor of Individuals (gross basis),; Memo items, January 2018; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, January 2018; Contingent short-term net drains on foreign currency assets, January 2018; Weighted average yields on Government Securities of the RM, February 2018; Money Transfers from Abroad in Favor of Individuals (net basis), January 2018; Average interest rate on interest bearing demand deposits, February 2018; Reference interbank market interest rates, 23 February 2018; Reference interbank market interest rates, 22 February 2018; Official Reserve Assets and other foreign currency assets, January 2018; Commercial banks activity on the money market, February 2018; Official reserve assets and other foreign currency assets, 16 February 2018; Foreign exchange assets and liabilities of the licensed banks, January 2018; Non-cash Foreign Exchange Market, January 2018; NBM's activity on the interbank market, January 2018; Cash Foreign Exchange Market, January 2018; Foreign exchange market supply and demand, January 2018; Commercial banks activity on the money market, February 2018; The structure of credit portofolio of the banking sector (by currency), January 2018; The structure o f credit portofolio of the banking sector (on branches), January 2018; The structure of credit portofolio of the banking sector (by debtor), January 2018; Clasification of credit portofolio of the banking sector (on branches) , January 2018; Reference interbank market interest rates, 21 February 2018; Information on financial and economic activities of banks, January 2018; The weighted average interest rates on new loans and deposits attracted and associated volumes, January 2018; Interest rates related to balances of loans and deposits, January 2018; Reference interbank market interest rates, 16 February 2018; Monetary survey, January 2018; Average interest rates on interbank transactions, January 2018; Reference interbank market interest rates, 20 February 2018; The structure of deposits of the banking sector, January 2018; Required reserves maintained by banks in MDL, December 2017; Required reserves maintained by banks in FCC, January 2018; Reference interbank market interest rates, 19 February 2018; Official reserve assets and other foreign currency assets, 09 February 2018; Reference interbank market interest rates, 14 February 2018; Commercial banks activity on the money market, February 2018; NBM Money Market Operations, January 2018; Reference interbank market interest rates, 13 February 2018; Activity indicators within card payments system of the Republic of Moldova , 2017; Average interest rate on interest bearing demand deposits, January 2018; Reference interbank market interest rates, 12 February 2018; Reference interbank market interest rates, 15 February 2018; Reference interbank market interest rates, 09 February 2018; Official reserve assets and other foreign currency assets, 02 February 2018; Reference interbank market interest rates, 07 February 2018; Reference interbank market interest rates, 08 February 2018; Official reserve assets and other foreign currency assets, 31 January 2018; Average interest rate on interest bearing demand deposits, January 2018; Reference interbank market interest rates, 05 February 2018; Official reserve assets and other foreign currency assets, 26 January 2018; Reference interbank market interest rates, 02 February 2018; Reference interbank market interest rates, 06 February 2018; Standing Facilities, January 2018; Weighted average yields on Government Securities of the RM, January 2018; Reference interbank market interest rates, 01 February 2018; Monetary survey, January 2018; Reference interbank market interest rates, 31 January 2018; Interest rates on monetary regulation instruments of NBM, 30 January 2018; Reference interbank market interest rates, 30 January 2018; Average interest rate on interest bearing demand deposits, January 2018; Reference interbank market interest rates, 29 January 2018; Average interest rate on interest bearing demand deposits, January 2018; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), December 2017; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, December 2017; Reference interbank market interest rates, 26 January 2018; Commercial banks activity on the money market, January 2018; Official reserve assets and other foreign currency assets, 19 January 2018; Reference interbank market interest rates, 25 January 2018; Predetermined short-term net drains on foreign currency assets, December 2017; Memo items, December 2017; Official Reserve Assets and other foreign currency assets, December 2017; Contingent short-term net drains on foreign currency assets, December 2017; Reference interbank market interest rates, 24 January 2018; Reference interbank market interest rates, 23 January 2018; The structure of credit portofolio of the banking sector (by currency), December 2017; Clasification of credit portofolio of the banking sector (on branches) , December 2017; The structure of credit portofolio of the banking sector (by debtor), December 2017; Information on financial and economic activities of banks, December 2017; Commercial banks activity on the money market, January 2018; Reference interbank market interest rates, 22 January 2018; Commercial banks activity on the money market, January 2018; Foreign exchange market supply and demand, December 2017; Main aggregates of the balance of payments current account, seasonally adjusted, September 2017; Cash Foreign Exchange Market, December 2017; Foreign exchange assets and liabilities of the licensed banks, December 2017; The structure o f credit portofolio of the banking sector (on branches), December 2017; Income Statement, December 2017; The structure of deposits of the banking sector, December 2017; Balance Sheet on the banking sector, December 2017; Interest rates related to balances of loans and deposits, December 2017; Monetary survey, December 2017; Average interest rates on interbank transactions, December 2017; Average interest rate on interest bearing demand deposits, January 2018; Reference interbank market interest rates, 19 January 2018; Official reserve assets and other foreign currency assets, 12 January 2018; Reference interbank market interest rates, 18 January 2018; Required reserves maintained by banks in FCC, December 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, December 2017; Average interest rate on interest bearing demand deposits, December 2017; NBM Money Market Operations, December 2017; Reference interbank market interest rates, 15 January 2018; Non-cash Foreign Exchange Market, December 2017; NBM's activity on the interbank market, December 2017; Reference interbank market interest rates, 17 January 2018; Reference interbank market interest rates, 16 January 2018; Reference interbank market interest rates, 11 January 2018; Required reserves maintained by banks in MDL, November 2017; Reference interbank market interest rates, 10 January 2018; Reference interbank market interest rates, 09 January 2018; Reference interbank market interest rates, 12 January 2018; Reference interbank market interest rates, 05 January 2018; Official reserve assets and other foreign currency assets, 05 January 2018; Commercial banks activity on the money market, January 2018; Official reserve assets and other foreign currency assets, 29 December 2017; Commercial banks activity on the money market, December 2016; Reference interbank market interest rates, 04 January 2018; Weighted average yields on Government Securities of the RM, December 2017; Reference interbank market interest rates, 03 January 2018; Standing Facilities, December 2017; Reference interbank market interest rates, 29 December 2017; Official reserve assets and other foreign currency assets, 22 December 2017; Gross External Debt Position of Republic of Moldova (EDS 2003/EDS 2013), 2017; Interest rates on monetary regulation instruments of NBM, 27 December 2017; Monetary survey, December 2017; Reference interbank market interest rates, 27 December 2017; Reference interbank market interest rates, 02 January 2018; Average interest rate on interest bearing demand deposits, December 2017; Money Transfers from Abroad in Favor of Individuals (net basis), November 2017; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 26 December 2017; Contingent short-term net drains on foreign currency assets, November 2017; Memo items, November 2017; Official reserve assets and other foreign currency assets, 15 December 2017; Predetermined short-term net drains on foreign currency assets, November 2017; Official Reserve Assets and other foreign currency assets, November 2017; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, November 2017; Reference interbank market interest rates, 22 December 2017; Foreign exchange assets and liabilities of the licensed banks, November 2017; Foreign exchange market supply and demand, November 2017; Cash Foreign Exchange Market, November 2017; Reference interbank market interest rates, 21 December 2017; The structure of credit portofolio of the banking sector (by currency), November 2017; Clasification of credit portofolio of the banking sector (on branches) , November 2017; The structure o f credit portofolio of the banking sector (on branches), November 2017; Required reserves maintained by banks in MDL, October 2017; Commercial banks activity on the money market, November 2017; Required reserves maintained by banks in FCC, November 2017; The structure of credit portofolio of the banking sector (by debtor), November 2017; Monetary survey, November 2017; Average interest rates on interbank transactions, November 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, November 2017; Interest rates related to balances of loans and deposits, November 2017; The structure of deposits of the banking sector, November 2017; Information on financial and economic activities of banks, November 2017; Commercial banks activity on the money market, November 2017; Reference interbank market interest rates, 20 December 2017; Income Statement, November 2017; Balance Sheet on the banking sector, November 2017; Average interest rate on interest bearing demand deposits, December 2017; Reference interbank market interest rates, 19 December 2017; Reference interbank market interest rates, 18 December 2017; NBM Money Market Operations, November 2017; Official reserve assets and other foreign currency assets, 08 December 2017; Reference interbank market interest rates, 15 December 2017; NBM's activity on the interbank market, November 2017; Non-cash Foreign Exchange Market, November 2017; Average interest rate on interest bearing demand deposits, November 2017; Average interest rate on interest bearing demand deposits, December 2017; Commercial banks activity on the money market, November 2017; Reference interbank market interest rates, 14 December 2017; Reference interbank market interest rates, 13 December 2017; Reference interbank market interest rates, 12 December 2017; Official reserve assets and other foreign currency assets, 01 December 2017; Reference interbank market interest rates, 11 December 2017; Reference interbank market interest rates, 08 December 2017; Official reserve assets and other foreign currency assets, 30 November 2017; Reference interbank market interest rates, 05 December 2017; Interest rates on monetary regulation instruments of NBM, 05 December 2017; Average interest rate on interest bearing demand deposits, November 2017; Reference interbank market interest rates, 04 December 2017; Official reserve assets and other foreign currency assets, 24 November 2017; Reference interbank market interest rates, 01 December 2017; Monetary survey, November 2017; Money Transfers from Abroad in Favor of Individuals (gross basis),; Weighted average yields on Government Securities of the RM, November 2017; Standing Facilities, November 2017; Reference interbank market interest rates, 30 November 2017; Reference interbank market interest rates, 29 November 2017; Reference interbank market interest rates, 28 November 2017; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, October 2017; Money Transfers from Abroad in Favor of Individuals (net basis), October 2017; Average interest rate on interest bearing demand deposits, November 2017; Commercial banks activity on the money market, November 2017; Reference interbank market interest rates, 27 November 2017; Reference interbank market interest rates, 24 November 2017; Information on financial and economic activities of banks, June 2017; Information on financial and economic activities of banks, October 2017; Memo items, October 2017; Contingent short-term net drains on foreign currency assets, October 2017; Predetermined short-term net drains on foreign currency assets, October 2017; Official Reserve Assets and other foreign currency assets, October 2017; Commercial banks activity on the money market, October 2017; Official reserve assets and other foreign currency assets, 17 November 2017; Reference interbank market interest rates, 23 November 2017; Reference interbank market interest rates, 07 December 2017; Reference interbank market interest rates, 22 November 2017; Cash Foreign Exchange Market, October 2017; Foreign exchange assets and liabilities of the licensed banks, October 2017; Foreign exchange market supply and demand, October 2017; Reference interbank market interest rates, 21 November 2017; Interest rates related to balances of loans and deposits, October 2017; Clasification of credit portofolio of the banking sector (on branches) , October 2017; The structure of credit portofolio of the banking sector (by debtor), October 2017; The structure o f credit portofolio of the banking sector (on branches), October 2017; The structure of credit portofolio of the banking sector (by currency), October 2017; Monetary survey, October 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, October 2017; Reference interbank market interest rates, 20 November 2017; Average interest rates on interbank transactions, October 2017; Income Statement, October 2017; The structure of deposits of the banking sector, October 2017; Balance Sheet on the banking sector, October 2017; Average interest rate on interest bearing demand deposits, November 2017; Reference interbank market interest rates, 17 November 2017; Official reserve assets and other foreign currency assets, 10 November 2017; Commercial banks activity on the money market, October 2017; Required reserves maintained by banks in FCC, October 2017; Information on financial and economic activities of banks, October 2017; Reference interbank market interest rates, 16 November 2017; Non-cash Foreign Exchange Market, October 2017; NBM's activity on the interbank market, October 2017; NBM Money Market Operations, October 2017; Average interest rate on interest bearing demand deposits, November 2017; Average interest rate on interest bearing demand deposits, October 2017; Reference interbank market interest rates, 15 November 2017; Reference interbank market interest rates, 14 November 2017; Reference interbank market interest rates, 13 November 2017; Official reserve assets and other foreign currency assets, 03 November 2017; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 3 2017; Reference interbank market interest rates, 10 November 2017; Reference interbank market interest rates, 09 November 2017; Monetary survey, October 2017; Reference interbank market interest rates, 08 November 2017; Official reserve assets and other foreign currency assets, 31 October 2017; Required reserves maintained by banks in MDL, September 2017; Reference interbank market interest rates, 07 November 2017; Reference interbank market interest rates, 06 November 2017; Reference interbank market interest rates, 03 November 2017; Official reserve assets and other foreign currency assets, 27 October 2017; Reference interbank market interest rates, 02 November 2017; Standing Facilities, October 2017; Weighted average yields on Government Securities of the RM, October 2017; Reference interbank market interest rates, 31 October 2017; Reference interbank market interest rates, 01 November 2017; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, September 2017; Reference interbank market interest rates, 27 October 2017; Base rate applied for long-term, October 2017; Reference interbank market interest rates, 30 October 2017; Commercial banks activity on the money market, October 2017; Gross External Debt Position of Republic of Moldova (EDS 2003/EDS 2013), 2017; Official reserve assets and other foreign currency assets, 20 October 2017; Interest rates on monetary regulation instruments of NBM, 25 October 2017; Reference interbank market interest rates, 26 October 2017; Reference interbank market interest rates, 25 October 2017; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), September 2017; Average interest rate on interest bearing demand deposits, October 2017; Predetermined short-term net drains on foreign currency assets, September 2017; Official Reserve Assets and other foreign currency assets, September 2017; Commercial banks activity on the money market, September 2017; Memo items, September 2017; Contingent short-term net drains on foreign currency assets, September 2017; Reference interbank market interest rates, 24 October 2017; Commercial banks activity on the money market, September 2017; Reference interbank market interest rates, 23 October 2017; Foreign exchange market supply and demand, September 2017; Information on financial and economic activities of banks, September 2017; Clasification of credit portofolio of the banking sector (on branches) , September 2017; The structure of credit portofolio of the banking sector (by currency), September 2017; The structure o f credit portofolio of the banking sector (on branches), September 2017; The structure of credit portofolio of the banking sector (by debtor), September 2017; Official reserve assets and other foreign currency assets, 13 October 2017; Monetary survey, September 2017; Reference interbank market interest rates, 20 October 2017; Cash Foreign Exchange Market, September 2017; Foreign exchange assets and liabilities of the licensed banks, September 2017; Interest rates related to balances of loans and deposits, September 2017; Average interest rates on interbank transactions, September 2017; The structure of deposits of the banking sector, September 2017; Balance Sheet on the banking sector, September 2017; Income Statement, September 2017; Average interest rate on interest bearing demand deposits, October 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, September 2017; Commercial banks activity on the money market, September 2017; Reference interbank market interest rates, 19 October 2017; Required reserves maintained by banks in FCC, September 2017; Reference interbank market interest rates, 18 October 2017; Reference interbank market interest rates, 17 October 2017; Reference interbank market interest rates, 16 October 2017; Average interest rate on interest bearing demand deposits, October 2017; Reference interbank market interest rates, 11 October 2017; Average interest rate on interest bearing demand deposits, September 2017; NBM Money Market Operations, September 2017; Non-cash Foreign Exchange Market, September 2017; NBM's activity on the interbank market, September 2017; Reference interbank market interest rates, 09 October 2017; Reference interbank market interest rates, 13 October 2017; Official reserve assets and other foreign currency assets, 29 September 2017; Reference interbank market interest rates, 06 October 2017; Reference interbank market interest rates, 12 October 2017; Official reserve assets and other foreign currency assets, 06 October 2017; Required reserves maintained by banks in MDL, August 2017; Monetary survey, September 2017; Reference interbank market interest rates, 04 October 2017; Reference interbank market interest rates, 10 October 2017; Reference interbank market interest rates, 03 October 2017; Standing Facilities, September 2017; Weighted average yields on Government Securities of the RM, September 2017; Reference interbank market interest rates, 02 October 2017; Reference interbank market interest rates, 05 October 2017; Coordinated Direct Investment Survey by industry, 2015; Official reserve assets and other foreign currency assets, 22 September 2017; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 29 September 2017; Commercial banks activity on the money market, September 2017; Reference interbank market interest rates, 28 September 2017; Interest rates on monetary regulation instruments of NBM, 27 September 2017; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, August 2017; Money Transfers from Abroad in Favor of Individuals (net basis), August 2017; Reference interbank market interest rates, 27 September 2017; Average interest rate on interest bearing demand deposits, September 2017; Contingent short-term net drains on foreign currency assets, August 2017; Official Reserve Assets and other foreign currency assets, August 2017; Commercial banks activity on the money market, September 2017; Reference interbank market interest rates, 26 September 2017; Predetermined short-term net drains on foreign currency assets, August 2017; Reference interbank market interest rates, 25 September 2017; Average interest rate on interest bearing demand deposits, September 2017; Memo items, August 2017; Official reserve assets and other foreign currency assets, 15 September 2017; Reference interbank market interest rates, 22 September 2017; The structure of deposits of the banking sector, August 2017; Foreign exchange assets and liabilities of the licensed banks, August 2017; Coordinated Direct Investment Survey by country, 2016; Foreign exchange market supply and demand, August 2017; Cash Foreign Exchange Market, August 2017; Reference interbank market interest rates, 21 September 2017; Commercial banks activity on the money market, September 2017; Balance Sheet on the banking sector, August 2017; Income Statement, August 2017; Interest rates related to balances of loans and deposits, August 2017; Monetary survey, August 2017; Average interest rates on interbank transactions, August 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, August 2017; Reference interbank market interest rates, 20 September 2017; Reference interbank market interest rates, 19 September 2017; Commercial banks activity on the money market, September 2017; Reference interbank market interest rates, 18 September 2017; Average interest rate on interest bearing demand deposits, September 2017; Required reserves maintained by banks in FCC, August 2017; NBM Money Market Operations, August 2017; Official reserve assets and other foreign currency assets, 08 September 2017; Reference interbank market interest rates, 15 September 2017; Average interest rate on interest bearing demand deposits, August 2017; NBM's activity on the interbank market, August 2017; Non-cash Foreign Exchange Market, August 2017; Reference interbank market interest rates, 14 September 2017; Reference interbank market interest rates, 13 September 2017; Foreign exchange assets and liabilities of the licensed banks, August 2017; Reference interbank market interest rates, 12 September 2017; Reference interbank market interest rates, 11 September 2017; Official reserve assets and other foreign currency assets, 01 September 2017; Reference interbank market interest rates, 08 September 2017; Required reserves maintained by banks in MDL, July 2017; Information on financial and economic activities of banks, June 2017; Official reserve assets and other foreign currency assets, 30 August 2017; Reference interbank market interest rates, 07 September 2017; Reference interbank market interest rates, 06 September 2017; Commercial banks activity on the money market, September 2017; Reference interbank market interest rates, 05 September 2017; Reference interbank market interest rates, 04 September 2017; Average interest rate on interest bearing demand deposits, August 2017; Official reserve assets and other foreign currency assets, 25 August 2017; Weighted average yields on Government Securities of the RM, August 2017; Standing Facilities, August 2017; Reference interbank market interest rates, 01 September 2017; Monetary survey, August 2017; Reference interbank market interest rates, 30 August 2017; Reference interbank market interest rates, 29 August 2017; Average interest rate on interest bearing demand deposits, August 2017; Average interest rate on interest bearing demand deposits, August 2017; Interest rates on monetary regulation instruments of NBM, 28 August 2017; Money Transfers from Abroad in Favor of Individuals (net basis), July 2017; Money Transfers from Abroad in Favor of Individuals (gross basis),; Commercial banks activity on the money market, August 2017; Predetermined short-term net drains on foreign currency assets, July 2017; Official Reserve Assets and other foreign currency assets, July 2017; Contingent short-term net drains on foreign currency assets, July 2017; Reference interbank market interest rates, 28 August 2017; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, July 2017; Memo items, July 2017; Commercial banks activity on the money market, August 2017; Clasification of credit portofolio of the banking sector (on branches) , July 2017; Reference interbank market interest rates, 25 August 2017; Official reserve assets and other foreign currency assets, 18 August 2017; Reference interbank market interest rates, 24 August 2017; Reference interbank market interest rates, 23 August 2017; The structure of credit portofolio of the banking sector (by debtor), July 2017; The structure of credit portofolio of the banking sector (by currency), July 2017; The structure o f credit portofolio of the banking sector (on branches), July 2017; Reference interbank market interest rates, 22 August 2017; Commercial banks activity on the money market, August 2017; Cash Foreign Exchange Market, July 2017; Foreign exchange assets and liabilities of the licensed banks, July 2017; Balance Sheet on the banking sector, July 2017; Foreign exchange market supply and demand, July 2017; Information on financial and economic activities of banks, July 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, July 2017; Reference interbank market interest rates, 21 August 2017; Official reserve assets and other foreign currency assets, 11 August 2017; The structure of deposits of the banking sector, July 2017; Income Statement, July 2017; Monetary survey, July 2017; Reference interbank market interest rates, 17 August 2017; Reference interbank market interest rates, 18 August 2017; Average interest rates on interbank transactions, July 2017; Interest rates related to balances of loans and deposits, July 2017; NBM's activity on the interbank market, July 2017; Required reserves maintained by banks in FCC, July 2017; Required reserves maintained by banks in MDL, June 2017; Commercial banks activity on the money market, August 2017; Reference interbank market interest rates, 15 August 2017; Reference interbank market interest rates, 16 August 2017; NBM Money Market Operations, July 2017; Average interest rate on interest bearing demand deposits, July 2017; Average interest rate on interest bearing demand deposits, August 2017; Reference interbank market interest rates, 14 August 2017; Reference interbank market interest rates, 11 August 2017; Official reserve assets and other foreign currency assets, 04 August 2017; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 2 2017; The structure o f credit portofolio of the banking sector (on branches), July 2017; The structure of credit portofolio of the banking sector (by currency), July 2017; Clasification of credit portofolio of the banking sector (on branches) , July 2017; Reference interbank market interest rates, 10 August 2017; Reference interbank market interest rates, 09 August 2017; Reference interbank market interest rates, 08 August 2017; Reference interbank market interest rates, 07 August 2017; Official reserve assets and other foreign currency assets, 31 July 2017; Standing Facilities, July 2017; Official reserve assets and other foreign currency assets, 28 July 2017; Reference interbank market interest rates, 01 August 2017; Reference interbank market interest rates, 04 August 2017; Reference interbank market interest rates, 03 August 2017; Official reserve assets and other foreign currency assets, 21 July 2017; Reference interbank market interest rates, 02 August 2017; Reference interbank market interest rates, 28 July 2017; Weighted average yields on Government Securities of the RM, July 2017; Commercial banks activity on the money market, August 2017; Money Transfers from Abroad in Favor of Individuals (gross basis),; Money Transfers from Abroad in Favor of Individuals (gross basis),; Reference interbank market interest rates, 16 August 2017; Monetary survey, July 2017; Reference interbank market interest rates, 31 July 2017; Non-cash Foreign Exchange Market, July 2017; Commercial banks activity on the money market, July 2017; Reference interbank market interest rates, 27 July 2017; Money transfers from abroad in favor of individuals (net basis), seasonally adjusted, June 2017; Money Transfers from Abroad in Favor of Individuals (net basis), June 2017; Money Transfers from Abroad in Favor of Individuals (gross basis),; Average interest rate on interest bearing demand deposits, July 2017; Interest rates on monetary regulation instruments of NBM, 26 July 2017; Reference interbank market interest rates, 26 July 2017; Required reserves maintained by banks in FCC, June 2017; Official Reserve Assets and other foreign currency assets, June 2017; Contingent short-term net drains on foreign currency assets, June 2017; Predetermined short-term net drains on foreign currency assets, June 2017; Memo items, June 2017; Reference interbank market interest rates, 25 July 2017; Reference interbank market interest rates, 24 July 2017; Reference interbank market interest rates, 21 July 2017; Average interest rate on interest bearing demand deposits, July 2017; Clasification of credit portofolio of the banking sector (on branches) , June 2017; Foreign exchange market supply and demand, June 2017; Commercial banks activity on the money market, July 2017; Official reserve assets and other foreign currency assets, 14 July 2017; Foreign exchange assets and liabilities of the licensed banks, June 2017; Cash Foreign Exchange Market, June 2017; The structure o f credit portofolio of the banking sector (on branches), June 2017; Information on financial and economic activities of banks, June 2017; The structure of credit portofolio of the banking sector (by currency), June 2017; The structure of credit portofolio of the banking sector (by debtor), June 2017; Reference interbank market interest rates, 20 July 2017; Commercial banks activity on the money market, July 2017; Balance Sheet on the banking sector, June 2017; Income Statement, June 2017; The structure of deposits of the banking sector, June 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, June 2017; Monetary survey, June 2017; Interest rates related to balances of loans and deposits, June 2017; NBM's activity on the interbank market, June 2017; Reference interbank market interest rates, 19 July 2017; Non-cash Foreign Exchange Market, June 2017; Reference interbank market interest rates, 18 July 2017; Average interest rates on interbank transactions, June 2017; Reference interbank market interest rates, 17 July 2017; Average interest rate on interest bearing demand deposits, July 2017; Average interest rate on interest bearing demand deposits, June 2017; Official reserve assets and other foreign currency assets, 07 July 2017; NBM Money Market Operations, June 2017; Required reserves maintained by banks in FCC, June 2017; Reference interbank market interest rates, 14 July 2017; Reference interbank market interest rates, 13 July 2017; Reference interbank market interest rates, 21 July 2017; Reference interbank market interest rates, 12 July 2017; Reference interbank market interest rates, 11 July 2017; Reference interbank market interest rates, 10 July 2017; Official reserve assets and other foreign currency assets, 30 June 2017; Reference interbank market interest rates, 07 July 2017; Commercial banks activity on the money market, June 2017; Foreign exchange market supply and demand, May 2017; Reference interbank market interest rates, 06 July 2017; Reference interbank market interest rates, 05 July 2017; Weighted average yields on Government Securities of the RM, June 2017; Reference interbank market interest rates, 04 July 2017; Standing Facilities, June 2017; Reference interbank market interest rates, 03 July 2017; Reference interbank market interest rates, 30 June 2017; Monetary survey, June 2017; Reference interbank market interest rates, 29 June 2017; Interest rates on monetary regulation instruments of NBM, 28 June 2017; Reference interbank market interest rates, 28 June 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, May 2017; Average interest rate on interest bearing demand deposits, June 2017; Official reserve assets and other foreign currency assets, 23 June 2017; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, May 2017; Gross External Debt Position of Republic of Moldova (EDS 2003/EDS 2013), 2017; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Reference interbank market interest rates, 26 June 2017; Reference interbank market interest rates, 24 June 2017; Money Transfers from Abroad in Favor of Individuals (net basis), May 2017; Short-term net drains of active, May 2017; Output short-term net drains on foreign currency assets, May 2017; Official Reserve Assets and other foreign currency assets, May 2017; Memo items, May 2017; Reference interbank market interest rates, 27 June 2017; Average interest rate on interest bearing demand deposits, June 2017; Commercial banks activity on the money market, June 2017; Average interest rate on interest bearing demand deposits, May 2017; Official reserve assets and other foreign currency assets, 16 June 2017; Reference interbank market interest rates, 23 June 2017; Information on financial and economic activities of banks, May 2017; Reference interbank market interest rates, 22 June 2017; Foreign exchange assets and liabilities of the licensed banks, May 2017; Cash Foreign Exchange Market, May 2017; Reference interbank market interest rates, 21 June 2017; The structure o f credit portofolio of the banking sector (on branches), May 2017; Information on financial and economic activities of banks, December 2016; Commercial banks activity on the money market, June 2017; The structure of credit portofolio of the banking sector (by currency), May 2017; Clasification of credit portofolio of the banking sector (on branches) , May 2017; The structure of credit portofolio of the banking sector (by debtor), May 2017; Average interest rates on interbank transactions, May 2017; Reference interbank market interest rates, 20 June 2017; Balance Sheet on the banking sector, February 2017; Income Statement, February 2017; Interest rates related to balances of loans and deposits, May 2017; Income Statement, May 2017; The structure of deposits of the banking sector, May 2017; Balance Sheet on the banking sector, May 2017; Required reserves maintained by banks in FCC, May 2017; Monetary survey, May 2017; Average interest rate on interest bearing demand deposits, June 2017; Reference interbank market interest rates, 19 June 2017; Official reserve assets and other foreign currency assets, 09 June 2017; Reference interbank market interest rates, 16 June 2017; Non-cash Foreign Exchange Market, May 2017; Commercial banks activity on the money market, June 2017; NBM's activity on the interbank market, May 2017; Reference interbank market interest rates, 15 June 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, May 2017; Average interest rate on interest bearing demand deposits, May 2017; Reference interbank market interest rates, 14 June 2017; Required reserves maintained by banks in MDL, April 2017; Reference interbank market interest rates, 13 June 2017; Reference interbank market interest rates, 12 June 2017; Official reserve assets and other foreign currency assets, 02 June 2017; Reference interbank market interest rates, 09 June 2017; Reference interbank market interest rates, 08 June 2017; Reference interbank market interest rates, 07 June 2017; Official reserve assets and other foreign currency assets, 31 May 2017; Reference interbank market interest rates, 06 June 2017; Weighted average yields on Government Securities of the RM, May 2017; Reference interbank market interest rates, 05 June 2017; Official reserve assets and other foreign currency assets, 26 May 2017; Reference interbank market interest rates, 02 June 2017; Average interest rate on interest bearing demand deposits, May 2017; Standing Facilities, May 2017; Monetary survey, May 2017; Reference interbank market interest rates, 31 May 2017; Reference interbank market interest rates, 30 May 2017; Official reserve assets and other foreign currency assets, 19 May 2017; Reference interbank market interest rates, 29 May 2017; Average interest rate on interest bearing demand deposits, May 2017; Short-term net drains of active, April 2017; Commercial banks activity on the money market, May 2017; Official Reserve Assets and other foreign currency assets, April 2017; Reference interbank market interest rates, 26 May 2017; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, April 2017; Memo items, April 2017; Output short-term net drains on foreign currency assets, April 2017; Foreign exchange assets and liabilities of the licensed banks, April 2017; Reference interbank market interest rates, 25 May 2017; Money Transfers from Abroad in Favor of Individuals (net basis), April 2017; Interest rates on monetary regulation instruments of NBM, 24 May 2017; The structure o f credit portofolio of the banking sector (on branches), April 2017; Reference interbank market interest rates, 24 May 2017; The structure of credit portofolio of the banking sector (by debtor), April 2017; Reference interbank market interest rates, 22 May 2017; The structure of credit portofolio of the banking sector (by currency), April 2017; Reference interbank market interest rates, 23 May 2017; Commercial banks activity on the money market, May 2017; Cash Foreign Exchange Market, April 2017; Clasification of credit portofolio of the banking sector (on branches) , April 2017; Balance Sheet on the banking sector, April 2017; Commercial banks activity on the money market, May 2017; Information on financial and economic activities of banks, April 2017; Monetary survey, April 2017; Reference interbank market interest rates, 20 May 2017; The structure of deposits of the banking sector, April 2017; Average interest rate on interest bearing demand deposits, May 2017; Income Statement, April 2017; Interest rates related to balances of loans and deposits, April 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, April 2017; Reference interbank market interest rates, 19 May 2017; Commercial banks activity on the money market, May 2017; Official reserve assets and other foreign currency assets, 12 May 2017; Reference interbank market interest rates, 18 May 2017; Reference interbank market interest rates, 17 May 2017; Reference interbank market interest rates, 16 May 2017; Required reserves maintained by banks in FCC, April 2017; NBM Money Market Operations, April 2017; NBM's activity on the interbank market, April 2017; Non-cash Foreign Exchange Market, April 2017; Reference interbank market interest rates, 15 May 2017; Average interest rate on interest bearing demand deposits, May 2017; Reference interbank market interest rates, 12 May 2017; Official reserve assets and other foreign currency assets, 05 May 2017; Average interest rate on interest bearing demand deposits, April 2017; Reference interbank market interest rates, 11 May 2017; Required reserves maintained by banks in MDL, March 2017; Reference interbank market interest rates, 10 May 2017; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 1 2017; Official reserve assets and other foreign currency assets, 28 April 2017; Monetary survey, April 2017; Reference interbank market interest rates, 05 May 2017; Reference interbank market interest rates, 04 May 2017; Reference interbank market interest rates, 03 May 2017; Weighted average yields on Government Securities of the RM, April 2017; Standing Facilities, April 2017; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, March 2017; Reference interbank market interest rates, 02 May 2017; Base rate applied for long-term, April 2017; Official reserve assets and other foreign currency assets, 21 April 2017; Reference interbank market interest rates, 28 April 2017; Interest rates on monetary regulation instruments of NBM, 27 April 2017; Commercial banks activity on the money market, May 2017; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Average interest rate on interest bearing demand deposits, April 2017; Money Transfers from Abroad in Favor of Individuals (net basis), March 2017; Reference interbank market interest rates, 27 April 2017; Reference interbank market interest rates, 26 April 2017; Information on financial and economic activities of banks, March 2017; Memo items, March 2017; Official Reserve Assets and other foreign currency assets, March 2017; Output short-term net drains on foreign currency assets, March 2017; Short-term net drains of active, March 2017; Reference interbank market interest rates, 25 April 2017; Cash Foreign Exchange Market, March 2017; Foreign exchange assets and liabilities of the licensed banks, March 2017; Average interest rate on interest bearing demand deposits, April 2017; Average interest rate on interest bearing demand deposits, April 2017; Commercial banks activity on the money market, April 2017; Reference interbank market interest rates, 21 April 2017; Commercial banks activity on the money market, April 2017; Official reserve assets and other foreign currency assets, 14 April 2017; The structure of deposits of the banking sector, March 2017; Interest rates related to balances of loans and deposits, March 2017; Reference interbank market interest rates, 20 April 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, March 2017; The structure of credit portofolio of the banking sector (by debtor), March 2017; The structure of credit portofolio of the banking sector (by currency), March 2017; Monetary survey, March 2017; Income Statement, March 2017; Commercial banks activity on the money market, April 2017; Reference interbank market interest rates, 18 April 2017; Balance Sheet on the banking sector, March 2017; Average interest rate on interest bearing demand deposits, March 2017; Clasification of credit portofolio of the banking sector (on branches) , March 2017; The structure o f credit portofolio of the banking sector (on branches), March 2017; NBM Money Market Operations, March 2017; Reference interbank market interest rates, 19 April 2017; Required reserves maintained by banks in FCC, March 2017; Information on financial and economic activities of banks, March 2017; NBM's activity on the interbank market, March 2017; Non-cash Foreign Exchange Market, March 2017; Monetary survey, February 2017; Official reserve assets and other foreign currency assets, 07 April 2017; Reference interbank market interest rates, 11 April 2017; Reference interbank market interest rates, 14 April 2017; Official reserve assets and other foreign currency assets, 31 March 2017; Required reserves maintained by banks in MDL, February 2017; Reference interbank market interest rates, 13 April 2017; Reference interbank market interest rates, 10 April 2017; Reference interbank market interest rates, 07 April 2017; Reference interbank market interest rates, 12 April 2017; Reference interbank market interest rates, 06 April 2017; Reference interbank market interest rates, 05 April 2017; Reference interbank market interest rates, 04 April 2017; Commercial banks activity on the money market, April 2017; Average interest rate on interest bearing demand deposits, March 2017; Standing Facilities, March 2017; Weighted average yields on Government Securities of the RM, March 2017; Reference interbank market interest rates, 03 April 2017; Reference interbank market interest rates, 31 March 2017; Official reserve assets and other foreign currency assets, 24 March 2017; Reference interbank market interest rates, 30 March 2017; Interest rates on monetary regulation instruments of NBM, 29 March 2017; Reference interbank market interest rates, 29 March 2017; Reference interbank market interest rates, 28 March 2017; Gross External Debt Position of Republic of Moldova (EDS 2003/EDS 2013), 2016; Reference interbank market interest rates, 27 March 2017; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, February 2017; Money Transfers from Abroad in Favor of Individuals (net basis), February 2017; Average interest rate on interest bearing demand deposits, March 2017; Memo items, February 2017; Commercial banks activity on the money market, March 2017; Short-term net drains of active, February 2017; Reference interbank market interest rates, 24 March 2017; Official Reserve Assets and other foreign currency assets, February 2017; Output short-term net drains on foreign currency assets, February 2017; Official reserve assets and other foreign currency assets, 17 March 2017; Reference interbank market interest rates, 23 March 2017; Reference interbank market interest rates, 22 March 2017; Information on financial and economic activities of banks, February 2017; Commercial banks activity on the money market, March 2017; Cash Foreign Exchange Market, February 2017; Foreign exchange assets and liabilities of the licensed banks, February 2017; Reference interbank market interest rates, 21 March 2017; Income Statement, February 2017; Balance Sheet on the banking sector, February 2017; The structure of deposits of the banking sector, February 2017; Monetary survey, February 2017; Interest rates related to balances of loans and deposits, February 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, February 2017; Reference interbank market interest rates, 20 March 2017; The structure of credit portofolio of the banking sector (by currency), February 2017; The structure of credit portofolio of the banking sector (by debtor), February 2017; Clasification of credit portofolio of the banking sector (on branches) , February 2017; The structure o f credit portofolio of the banking sector (on branches), February 2017; Official reserve assets and other foreign currency assets, 10 March 2017; Average interest rate on interest bearing demand deposits, March 2017; Reference interbank market interest rates, 17 March 2017; Commercial banks activity on the money market, March 2017; Average interest rate on interest bearing demand deposits, February 2017; Reference interbank market interest rates, 16 March 2017; Non-cash Foreign Exchange Market, February 2017; NBM Money Market Operations, February 2017; NBM's activity on the interbank market, February 2017; Required reserves maintained by banks in FCC, February 2017; Reference interbank market interest rates, 15 March 2017; Commercial banks activity on the money market, March 2017; Reference interbank market interest rates, 14 March 2017; Information on financial and economic activities of banks, February 2017; Reference interbank market interest rates, 13 March 2017; Official reserve assets and other foreign currency assets, 03 March 2017; Reference interbank market interest rates, 10 March 2017; Standing Facilities, February 2017; Required reserves maintained by banks in MDL, January 2017; Reference interbank market interest rates, 09 March 2017; Official reserve assets and other foreign currency assets, 28 February 2017; Reference interbank market interest rates, 07 March 2017; Monetary survey, February 2017; Reference interbank market interest rates, 06 March 2017; Reference interbank market interest rates, 03 March 2017; Official reserve assets and other foreign currency assets, 24 February 2017; Reference interbank market interest rates, 02 March 2017; Weighted average yields on Government Securities of the RM, February 2017; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, January 2017; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), January 2017; Reference interbank market interest rates, 01 March 2017; Reference interbank market interest rates, 28 February 2017; Information on financial and economic activities of banks, January 2017; Reference interbank market interest rates, 24 February 2017; Official reserve assets and other foreign currency assets, 17 February 2017; Memo items, January 2017; Short-term net drains of active, January 2017; Commercial banks activity on the money market, March 2017; Reference interbank market interest rates, 23 February 2017; Cash Foreign Exchange Market, January 2017; Interest rates on monetary regulation instruments of NBM, 22 February 2017; Output short-term net drains on foreign currency assets, January 2017; Official Reserve Assets and other foreign currency assets, January 2017; Foreign exchange assets and liabilities of the licensed banks, January 2017; Average interest rate on interest bearing demand deposits, February 2017; Reference interbank market interest rates, 22 February 2017; Reference interbank market interest rates, 21 February 2017; Commercial banks activity on the money market, February 2017; Standing Facilities, February 2017; Reference interbank market interest rates, 07 March 2017; Interest rates related to balances of loans and deposits, January 2017; Monetary survey, January 2017; Reference interbank market interest rates, 20 February 2017; The structure of deposits of the banking sector, January 2017; The weighted average interest rates on new loans and deposits attracted and associated volumes, January 2017; Income Statement, January 2017; Balance Sheet on the banking sector, January 2017; Clasification of credit portofolio of the banking sector (on branches) , January 2017; The structure of credit portofolio of the banking sector (by debtor), January 2017; The structure o f credit portofolio of the banking sector (on branches), January 2017; The structure of credit portofolio of the banking sector (by currency), January 2017; Reference interbank market interest rates, 17 February 2017; NBM's activity on the interbank market, January 2017; Official reserve assets and other foreign currency assets, 10 February 2017; Non-cash Foreign Exchange Market, January 2017; Commercial banks activity on the money market, February 2017; Required reserves maintained by banks in FCC, January 2017; Average interest rate on interest bearing demand deposits, January 2017; Reference interbank market interest rates, 14 February 2017; Reference interbank market interest rates, 16 February 2017; NBM Money Market Operations, January 2017; Information on financial and economic activities of banks, January 2017; Information on financial and economic activities of banks, January 2017; Reference interbank market interest rates, 15 February 2017; Reference interbank market interest rates, 13 February 2017; Information on financial and economic activities of banks, December 2016; Activity indicators within card payments system of the Republic of Moldova , 2016; Reference interbank market interest rates, 10 February 2017; Official reserve assets and other foreign currency assets, 03 February 2017; Reference interbank market interest rates, 09 February 2017; Monetary survey, January 2017; Required reserves maintained by banks in MDL, December 2016; Reference interbank market interest rates, 03 February 2017; Reference interbank market interest rates, 08 February 2017; Reference interbank market interest rates, 07 February 2017; Official reserve assets and other foreign currency assets, 31 January 2017; Weighted average yields on Government Securities of the RM, January 2017; Standing Facilities, January 2017; Reference interbank market interest rates, 06 February 2017; Official reserve assets and other foreign currency assets, 27 January 2017; Reference interbank market interest rates, 01 February 2017; Average interest rate on interest bearing demand deposits, January 2017; Reference interbank market interest rates, 31 January 2017; Reference interbank market interest rates, 02 February 2017; Reference interbank market interest rates, 30 January 2017; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Commercial banks activity on the money market, February 2017; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, December 2016; Money Transfers from Abroad in Favor of Individuals (net basis), December 2016; Reference interbank market interest rates, 27 January 2017; Money Transfers from Abroad in Favor of Individuals (net basis), December 2016; Official reserve assets and other foreign currency assets, 20 January 2017; Output short-term net drains on foreign currency assets, December 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Information on financial and economic activities of banks, December 2015; Interest rates on monetary regulation instruments of NBM, 26 January 2017; Reference interbank market interest rates, 26 January 2017; Short-term net drains of active, December 2016; Commercial banks activity on the money market, January 2017; Memo items, December 2016; Information on financial and economic activities of banks, December 2016; Official Reserve Assets and other foreign currency assets, December 2016; Reference interbank market interest rates, 25 January 2017; The structure of credit portofolio of the banking sector (by debtor), December 2017; The structure of credit portofolio of the banking sector (by currency), December 2016; The structure o f credit portofolio of the banking sector (on branches), December 2016; Clasification of credit portofolio of the banking sector (on branches) , December 2016; Reference interbank market interest rates, 24 January 2017; Foreign exchange assets and liabilities of the licensed banks, December 2016; Cash Foreign Exchange Market, December 2016; Reference interbank market interest rates, 23 January 2017; The structure of deposits of the banking sector, December 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, December 2016; Average interest rate on interest bearing demand deposits, January 2017; Average interest rate on interest bearing demand deposits, January 2017; Average interest rate on interest bearing demand deposits, January 2017; Balance Sheet on the banking sector, December 2016; Monetary survey, December 2016; Income Statement, December 2016; Interest rates related to balances of loans and deposits, December 2016; Reference interbank market interest rates, 20 January 2017; Official reserve assets and other foreign currency assets, 13 January 2017; Commercial banks activity on the money market, January 2017; Reference interbank market interest rates, 19 January 2017; Reference interbank market interest rates, 18 January 2017; Required reserves maintained by banks in FCC, December 2016; Reference interbank market interest rates, 17 January 2017; NBM Money Market Operations, December 2016; Non-cash Foreign Exchange Market, December 2016; NBM's activity on the interbank market, December 2016; Reference interbank market interest rates, 16 January 2017; Average interest rate on interest bearing demand deposits, December 2016; Official reserve assets and other foreign currency assets, 06 January 2017; Reference interbank market interest rates, 13 January 2017; Reference interbank market interest rates, 12 January 2017; Reference interbank market interest rates, 11 January 2017; Required reserves maintained by banks in MDL, November 2016; Main aggregates of the balance of payments current account, seasonally adjusted, September 2016; External trade in goods of the Republic of Moldova based on the monthly data of the National Bureau of Statistics, seasonally adjusted, September 2016; Reference interbank market interest rates, 10 January 2017; Reference interbank market interest rates, 09 January 2017; Official reserve assets and other foreign currency assets, 30 December 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, December 2016; Reference interbank market interest rates, 06 January 2017; Reference interbank market interest rates, 05 January 2017; Reference interbank market interest rates, 04 January 2017; Reference interbank market interest rates, 03 January 2017; Monetary survey, December 2016; Weighted average yields on Government Securities of the RM, December 2016; Reference interbank market interest rates, 02 January 2017; Standing Facilities, December 2016; Official reserve assets and other foreign currency assets, 23 December 2016; Commercial banks activity on the money market, January 2017; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, November 2016; Reference interbank market interest rates, 30 December 2016; Money Transfers from Abroad in Favor of Individuals (net basis), November 2016; Gross External Debt Position of Republic of Moldova (EDS 2003/EDS 2013), 2016; Reference interbank market interest rates, 28 December 2016; Reference interbank market interest rates, 29 December 2016; Interest rates on monetary regulation instruments of NBM, 29 December 2016; The structure of credit portofolio of the banking sector (by currency), November 2016; The structure of credit portofolio of the banking sector (by debtor), November 2016; Commercial banks activity on the money market, December 2016; Average interest rate on interest bearing demand deposits, December 2016; Reference interbank market interest rates, 27 December 2016; Information on financial and economic activities of banks, November 2016; The structure o f credit portofolio of the banking sector (on branches), November 2016; Clasification of credit portofolio of the banking sector (on branches) , November 2016; Reference interbank market interest rates, 26 December 2016; Official reserve assets and other foreign currency assets, 16 December 2016; Average interest rate on interest bearing demand deposits, December 2016; Short-term net drains of active, November 2016; Output short-term net drains on foreign currency assets, November 2016; Official Reserve Assets and other foreign currency assets, November 2016; Memo items, November 2016; Commercial banks activity on the money market, December 2016; Reference interbank market interest rates, 23 December 2016; Reference interbank market interest rates, 22 December 2016; Foreign exchange assets and liabilities of the licensed banks, November 2016; Cash Foreign Exchange Market, November 2016; Reference interbank market interest rates, 21 December 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, November 2016; Interest rates related to balances of loans and deposits, November 2016; Monetary survey, November 2016; The structure of deposits of the banking sector, November 2016; Balance Sheet on the banking sector, November 2016; Income Statement, November 2016; Commercial banks activity on the money market, December 2016; Reference interbank market interest rates, 19 December 2016; Reference interbank market interest rates, 20 December 2016; Information on financial and economic activities of banks, October 2016; Reference interbank market interest rates, 16 December 2016; Required reserves maintained by banks in FCC, November 2016; Official reserve assets and other foreign currency assets, 09 December 2016; Average interest rate on interest bearing demand deposits, December 2016; Coordinated Direct Investment Survey by industry, 2015; Coordinated Direct Investment Survey by country, 2015; NBM Money Market Operations, November 2016; Average interest rate on interest bearing demand deposits, November 2016; NBM's activity on the interbank market, November 2016; Non-cash Foreign Exchange Market, November 2016; Reference interbank market interest rates, 15 December 2016; Reference interbank market interest rates, 14 December 2016; Reference interbank market interest rates, 13 December 2016; Reference interbank market interest rates, 12 December 2016; Official reserve assets and other foreign currency assets, 02 December 2016; Reference interbank market interest rates, 09 December 2016; Required reserves maintained by banks in MDL, October 2016; Reference interbank market interest rates, 08 December 2016; Monetary survey, November 2016; Commercial banks activity on the money market, December 2016; Official reserve assets and other foreign currency assets, 30 November 2016; Reference interbank market interest rates, 07 December 2016; Reference interbank market interest rates, 06 December 2016; Reference interbank market interest rates, 05 December 2016; Official reserve assets and other foreign currency assets, 25 November 2016; Reference interbank market interest rates, 01 December 2016; Reference interbank market interest rates, 02 December 2016; Average interest rate on interest bearing demand deposits, November 2016; Weighted average yields on Government Securities of the RM, November 2016; Standing Facilities, November 2016; Information on financial and economic activities of banks, October 2016; Reference interbank market interest rates, 30 November 2016; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, October 2016; Commercial banks activity on the money market, November 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), October 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Reference interbank market interest rates, 29 November 2016; The structure of credit portofolio of the banking sector (by currency), October 2016; The structure o f credit portofolio of the banking sector (on branches), October 2016; Average interest rate on interest bearing demand deposits, November 2016; Official reserve assets and other foreign currency assets, 18 November 2016; Output short-term net drains on foreign currency assets, October 2016; Reference interbank market interest rates, 28 November 2016; The structure of credit portofolio of the banking sector (by debtor), October 2016; Clasification of credit portofolio of the banking sector (on branches) , October 2016; Information on financial and economic activities of banks, October 2016; Official Reserve Assets and other foreign currency assets, October 2016; Short-term net drains of active, October 2016; Memo items, October 2016; Commercial banks activity on the money market, November 2016; Reference interbank market interest rates, 25 November 2016; Interest rates on monetary regulation instruments of NBM, 24 November 2016; Reference interbank market interest rates, 24 November 2016; Reference interbank market interest rates, 23 November 2016; Reference interbank market interest rates, 22 November 2016; Foreign exchange assets and liabilities of the licensed banks, October 2016; Cash Foreign Exchange Market, October 2016; Average interest rate on interest bearing demand deposits, November 2016; Commercial banks activity on the money market, November 2016; Reference interbank market interest rates, 21 November 2016; Monetary survey, October 2016; NBM Money Market Operations, October 2016; Income Statement, October 2016; The structure of deposits of the banking sector, October 2016; Balance Sheet on the banking sector, October 2016; Interest rates related to balances of loans and deposits, October 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, October 2016; Official reserve assets and other foreign currency assets, 11 November 2016; Reference interbank market interest rates, 18 November 2016; Reference interbank market interest rates, 16 November 2016; Reference interbank market interest rates, 17 November 2016; Information on financial and economic activities of banks, October 2016; Average interest rate on interest bearing demand deposits, October 2016; Reference interbank market interest rates, 15 November 2016; Reference interbank market interest rates, 14 November 2016; Commercial banks activity on the money market, November 2016; Average interest rate on interest bearing demand deposits, November 2016; Required reserves maintained by banks in FCC, October 2016; Reference interbank market interest rates, 11 November 2016; NBM's activity on the interbank market, October 2016; Non-cash Foreign Exchange Market, October 2016; Official reserve assets and other foreign currency assets, 04 November 2016; Reference interbank market interest rates, 10 November 2016; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 3 2016; Required reserves maintained by banks in MDL, September 2016; Reference interbank market interest rates, 08 November 2016; Reference interbank market interest rates, 09 November 2016; Official reserve assets and other foreign currency assets, 31 October 2016; Official reserve assets and other foreign currency assets, 28 October 2016; Reference interbank market interest rates, 07 November 2016; Reference interbank market interest rates, 01 November 2016; Reference interbank market interest rates, 04 November 2016; Monetary survey, October 2016; Main aggregates of the balance of payments current account, seasonally adjusted, June 2016; External trade in goods of the Republic of Moldova based on the monthly data of the National Bureau of Statistics, seasonally adjusted, June 2016; Reference interbank market interest rates, 03 November 2016; Standing Facilities, October 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Reference interbank market interest rates, 02 November 2016; Weighted average yields on Government Securities of the RM, October 2016; Reference interbank market interest rates, 31 October 2016; Required reserves maintained by banks in FCC, October 2016; Commercial banks activity on the money market, October 2016; Average interest rate on interest bearing demand deposits, October 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Reference interbank market interest rates, 27 October 2016; Average interest rate on interest bearing demand deposits, October 2016; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, September 2016; Money Transfers from Abroad in Favor of Individuals (net basis), September 2016; Official reserve assets and other foreign currency assets, 21 October 2016; Reference interbank market interest rates, 26 October 2016; Information on financial and economic activities of banks, June 2016; Reference interbank market interest rates, 28 October 2016; Output short-term net drains on foreign currency assets, September 2016; Interest rates on monetary regulation instruments of NBM, 27 October 2016; Short-term net drains of active, September 2016; Memo items, September 2016; Official Reserve Assets and other foreign currency assets, September 2016; The structure of credit portofolio of the banking sector (by debtor), September 2016; Information on financial and economic activities of banks, September 2016; The structure o f credit portofolio of the banking sector (on branches), September 2016; Commercial banks activity on the money market, October 2016; Reference interbank market interest rates, 25 October 2016; The structure of credit portofolio of the banking sector (by currency), September 2016; Clasification of credit portofolio of the banking sector (on branches) , September 2016; Cash Foreign Exchange Market, September 2016; Foreign exchange assets and liabilities of the licensed banks, September 2016; Reference interbank market interest rates, 24 October 2016; Reference interbank market interest rates, 22 October 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, September 2016; Monetary survey, September 2016; Reference interbank market interest rates, 21 October 2016; Average interest rate on interest bearing demand deposits, October 2016; The structure of deposits of the banking sector, September 2016; Income Statement, September 2016; Balance Sheet on the banking sector, September 2016; Interest rates related to balances of loans and deposits, September 2016; Reference interbank market interest rates, 20 October 2016; Required reserves maintained by banks in FCC, September 2016; Official reserve assets and other foreign currency assets, 13 October 2016; Commercial banks activity on the money market, October 2016; Information on financial and economic activities of banks, September 2016; Reference interbank market interest rates, 18 October 2016; Reference interbank market interest rates, 17 October 2016; Information on financial and economic activities of banks, September 2016; Reference interbank market interest rates, 19 October 2016; Official reserve assets and other foreign currency assets, 07 October 2016; Non-cash Foreign Exchange Market, September 2016; NBM's activity on the interbank market, September 2016; Reference interbank market interest rates, 13 October 2016; Average interest rate on interest bearing demand deposits, October 2016; Average interest rate on interest bearing demand deposits, September 2016; NBM Money Market Operations, September 2016; Reference interbank market interest rates, 12 October 2016; Reference interbank market interest rates, 11 October 2016; Required reserves maintained by banks in MDL, August 2016; Reference interbank market interest rates, 10 October 2016; Official reserve assets and other foreign currency assets, 30 September 2016; Reference interbank market interest rates, 07 October 2016; Reference interbank market interest rates, 05 October 2016; Reference interbank market interest rates, 06 October 2016; Non-cash Foreign Exchange Market, June 2016; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, August 2016; Commercial banks activity on the money market, October 2016; Money Transfers from Abroad in Favor of Individuals (net basis), August 2016; Monetary survey, September 2016; Reference interbank market interest rates, 04 October 2016; Weighted average yields on Government Securities of the RM, September 2016; Gross External Debt Position of Republic of Moldova (EDS 2003/EDS 2013), 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Reference interbank market interest rates, 30 September 2016; Reference interbank market interest rates, 03 October 2016; Standing Facilities, September 2016; Money Transfers from Abroad in Favor of Individuals (net basis), June 2016; Official reserve assets and other foreign currency assets, 23 September 2016; Interest rates on monetary regulation instruments of NBM, 29 September 2016; Reference interbank market interest rates, 29 September 2016; Reference interbank market interest rates, 28 September 2016; Average interest rate on interest bearing demand deposits, September 2016; The structure of credit portofolio of the banking sector (by currency), August 2016; Information on financial and economic activities of banks, August 2016; Reference interbank market interest rates, 27 September 2016; Commercial banks activity on the money market, September 2016; Reference interbank market interest rates, 26 September 2016; Clasification of credit portofolio of the banking sector (on branches) , August 2016; The structure o f credit portofolio of the banking sector (on branches), August 2016; The structure of credit portofolio of the banking sector (by debtor), August 2016; Reference interbank market interest rates, 24 September 2016; Official Reserve Assets and other foreign currency assets, August 2016; Average interest rate on interest bearing demand deposits, September 2016; Memo items, August 2016; Short-term net drains of active, August 2016; Output short-term net drains on foreign currency assets, August 2016; Official reserve assets and other foreign currency assets, 16 September 2016; Gross External Debt Position of Republic of Moldova (EDS 2003/EDS 2013), 2016; Reference interbank market interest rates, 23 September 2016; Reference interbank market interest rates, 22 September 2016; Cash Foreign Exchange Market, August 2016; Foreign exchange assets and liabilities of the licensed banks, August 2016; Reference interbank market interest rates, 20 September 2016; Reference interbank market interest rates, 21 September 2016; Commercial banks activity on the money market, September 2016; Money Transfers from Abroad in Favor of Individuals (net basis), August 2016; Balance Sheet on the banking sector, June 2016; Income Statement, June 2016; Gross External Debt Position of Republic of Moldova (EDS 2003/EDS 2013), 2016; The structure of deposits of the banking sector, August 2016; Income Statement, August 2016; Balance Sheet on the banking sector, August 2016; Monetary survey, August 2016; Interest rates related to balances of loans and deposits, August 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, August 2016; Information on financial and economic activities of banks, August 2016; Reference interbank market interest rates, 19 September 2016; Official reserve assets and other foreign currency assets, 09 September 2016; Required reserves maintained by banks in FCC, August 2016; Reference interbank market interest rates, 16 September 2016; Average interest rate on interest bearing demand deposits, August 2016; Reference interbank market interest rates, 15 September 2016; NBM Money Market Operations, August 2016; Average interest rate on interest bearing demand deposits, September 2016; NBM's activity on the interbank market, August 2016; Reference interbank market interest rates, 13 September 2016; Reference interbank market interest rates, 14 September 2016; Non-cash Foreign Exchange Market, August 2016; Reference interbank market interest rates, 12 September 2016; Official reserve assets and other foreign currency assets, 02 September 2016; Required reserves maintained by banks in MDL, July 2016; Reference interbank market interest rates, 09 September 2016; Commercial banks activity on the money market, August 2016; Reference interbank market interest rates, 08 September 2016; Reference interbank market interest rates, 07 September 2016; Reference interbank market interest rates, 05 September 2016; Reference interbank market interest rates, 06 September 2016; Standing Facilities, August 2016; Official reserve assets and other foreign currency assets, 26 August 2016; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, July 2016; Weighted average yields on Government Securities of the RM, August 2016; Reference interbank market interest rates, 02 September 2016; Reference interbank market interest rates, 01 September 2016; Monetary survey, August 2016; Information on financial and economic activities of banks, July 2016; Reference interbank market interest rates, 26 August 2016; Money Transfers from Abroad in Favor of Individuals (net basis), July 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Official reserve assets and other foreign currency assets, 19 August 2016; Interest rates on monetary regulation instruments of NBM, 25 August 2016; Average interest rate on interest bearing demand deposits, August 2016; Reference interbank market interest rates, 25 August 2016; Short-term net drains of active, July 2016; Memo items, July 2016; Output short-term net drains on foreign currency assets, July 2016; Average interest rate on interest bearing demand deposits, August 2016; The structure o f credit portofolio of the banking sector (on branches), July 2016; The structure of credit portofolio of the banking sector (by currency), July 2016; The structure of credit portofolio of the banking sector (by debtor), July 2016; Official Reserve Assets and other foreign currency assets, July 2016; Memo items, July 2016; Commercial banks activity on the money market, August 2016; Clasification of credit portofolio of the banking sector (on branches) , July 2016; Reference interbank market interest rates, 23 August 2016; Reference interbank market interest rates, 24 August 2016; Reference interbank market interest rates, 22 August 2016; Cash Foreign Exchange Market, July 2016; Foreign exchange assets and liabilities of the licensed banks, July 2016; Interest rates related to balances of loans and deposits, July 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, July 2016; Monetary survey, July 2016; Monetary survey, June 2016; Monetary survey, May 2016; Monetary survey, April 2016; Monetary survey, March 2016; Information on financial and economic activities of banks, July 2016; Monetary survey, February 2016; Monetary survey, January 2016; Monetary survey, December 2015; Reference interbank market interest rates, 19 August 2016; Commercial banks activity on the money market, August 2016; Official reserve assets and other foreign currency assets, 12 August 2016; The structure of deposits of the banking sector, July 2016; Balance Sheet on the banking sector, July 2016; Reference interbank market interest rates, 18 August 2016; Income Statement, July 2016; Required reserves maintained by banks in FCC, July 2016; Reference interbank market interest rates, 17 August 2016; Reference interbank market interest rates, 16 August 2016; Average interest rate on interest bearing demand deposits, July 2016; Average interest rate on interest bearing demand deposits, August 2016; Reference interbank market interest rates, 15 August 2016; NBM Money Market Operations, July 2016; Reference interbank market interest rates, 12 August 2016; Non-cash Foreign Exchange Market, July 2016; NBM's activity on the interbank market, July 2016; Reference interbank market interest rates, 08 August 2016; Reference interbank market interest rates, 11 August 2016; Official reserve assets and other foreign currency assets, 05 August 2016; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 2 2016; Reference interbank market interest rates, 10 August 2016; Reference interbank market interest rates, 05 August 2016; Official reserve assets and other foreign currency assets, 29 July 2016; Monetary survey, July 2016; Standing Facilities, July 2016; Base rate applied for long-term, August 2016; Reference interbank market interest rates, 09 August 2016; Required reserves maintained by banks in MDL, June 2016; Interest rates on monetary regulation instruments of NBM, 08 August 2016; Reference interbank market interest rates, 04 August 2016; Reference interbank market interest rates, 03 August 2016; Weighted average yields on Government Securities of the RM, July 2016; Reference interbank market interest rates, 02 August 2016; Commercial banks activity on the money market, August 2016; Reference interbank market interest rates, 01 August 2016; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, June 2016; Official reserve assets and other foreign currency assets, 22 July 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Reference interbank market interest rates, 29 July 2016; Money Transfers from Abroad in Favor of Individuals (net basis), June 2016; Average interest rate on interest bearing demand deposits, July 2016; Reference interbank market interest rates, 28 July 2016; Reference interbank market interest rates, 27 July 2016; Reference interbank market interest rates, 26 July 2016; Commercial banks activity on the money market, July 2016; Information on financial and economic activities of banks, June 2016; The structure of credit portofolio of the banking sector (by currency), June 2016; Average interest rate on interest bearing demand deposits, July 2016; Memo items, June 2016; Reference interbank market interest rates, 25 July 2016; Short-term net drains of active, June 2016; Official Reserve Assets and other foreign currency assets, June 2016; Output short-term net drains on foreign currency assets, June 2016; Clasification of credit portofolio of the banking sector (on branches) , June 2016; The structure o f credit portofolio of the banking sector (on branches), June 2016; Reference interbank market interest rates, 22 July 2016; The structure of credit portofolio of the banking sector (by debtor), June 2016; Foreign exchange assets and liabilities of the licensed banks, June 2016; Cash Foreign Exchange Market, June 2016; Reference interbank market interest rates, 21 July 2016; Official reserve assets and other foreign currency assets, 15 July 2016; Commercial banks activity on the money market, July 2016; Income Statement, June 2016; Balance Sheet on the banking sector, June 2016; The structure of deposits of the banking sector, June 2016; Monetary survey, December 2015; Monetary survey, June 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, June 2016; Reference interbank market interest rates, 19 July 2016; Average interest rate on interest bearing demand deposits, July 2016; Required reserves maintained by banks in FCC, June 2016; Official reserve assets and other foreign currency assets, 08 July 2016; Reference interbank market interest rates, 20 July 2016; Interest rates related to balances of loans and deposits, June 2016; NBM's activity on the interbank market, June 2016; Reference interbank market interest rates, 18 July 2016; Commercial banks activity on the money market, July 2016; Non-cash Foreign Exchange Market, June 2016; Reference interbank market interest rates, 13 July 2016; NBM Money Market Operations, June 2016; Reference interbank market interest rates, 15 July 2016; Reference interbank market interest rates, 12 July 2016; Official reserve assets and other foreign currency assets, 01 July 2016; Average interest rate on interest bearing demand deposits, June 2016; Reference interbank market interest rates, 14 July 2016; Reference interbank market interest rates, 11 July 2016; Required reserves maintained by banks in MDL, May 2016; Reference interbank market interest rates, 08 July 2016; Weighted average yields on Government Securities of the RM, June 2016; Official reserve assets and other foreign currency assets, 30 June 2016; Reference interbank market interest rates, 07 July 2016; Reference interbank market interest rates, 05 July 2016; Reference interbank market interest rates, 06 July 2016; Interest rates on monetary regulation instruments of NBM, 04 July 2016; Reference interbank market interest rates, 04 July 2016; Monetary survey, June 2016; Average interest rate on interest bearing demand deposits, June 2016; Reference interbank market interest rates, 01 July 2016; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, May 2016; Standing Facilities, June 2016; Official reserve assets and other foreign currency assets, 24 June 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), May 2016; Main aggregates of the balance of payments current account, seasonally adjusted, March 2016; External trade in goods of the Republic of Moldova based on the monthly data of the National Bureau of Statistics, seasonally adjusted, March 2016; Commercial banks activity on the money market, June 2016; Reference interbank market interest rates, 30 June 2016; Information on financial and economic activities of banks, March 2016; Gross External Debt Position of Republic of Moldova (EDS 2003/EDS 2013), 2016; Reference interbank market interest rates, 29 June 2016; Reference interbank market interest rates, 28 June 2016; Information on financial and economic activities of banks, May 2016; Average interest rate on interest bearing demand deposits, June 2016; Reference interbank market interest rates, 27 June 2016; Information on financial and economic activities of banks, December 2015; Official reserve assets and other foreign currency assets, 17 June 2016; Official Reserve Assets and other foreign currency assets, May 2016; Commercial banks activity on the money market, June 2016; Memo items, May 2016; Weighted average yields on Government Securities of the RM, June 2016; Output short-term net drains on foreign currency assets, May 2016; Short-term net drains of active, May 2016; Reference interbank market interest rates, 24 June 2016; Reference interbank market interest rates, 23 June 2016; Cash Foreign Exchange Market, May 2016; Foreign exchange assets and liabilities of the licensed banks, May 2016; Reference interbank market interest rates, 22 June 2016; Income Statement, March 2016; Average interest rate on interest bearing demand deposits, June 2016; Reference interbank market interest rates, 21 June 2016; Commercial banks activity on the money market, June 2016; Income Statement, December 2015; Monetary survey, May 2016; Balance Sheet on the banking sector, December 2015; Balance Sheet on the banking sector, February 2016; Reference interbank market interest rates, 20 June 2016; The structure of credit portofolio of the banking sector (by currency), May 2016; The structure of credit portofolio of the banking sector (by debtor), May 2016; Information on financial and economic activities of banks, May 2016; Income Statement, May 2016; The structure of deposits of the banking sector, May 2016; Balance Sheet on the banking sector, May 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, May 2016; Interest rates related to balances of loans and deposits, May 2016; Required reserves maintained by banks in FCC, May 2016; Reference interbank market interest rates, 16 June 2016; Non-cash Foreign Exchange Market, May 2016; The structure o f credit portofolio of the banking sector (on branches), May 2016; Official reserve assets and other foreign currency assets, 10 June 2016; Average interest rate on interest bearing demand deposits, June 2016; Reference interbank market interest rates, 15 June 2016; Reference interbank market interest rates, 17 June 2016; Commercial banks activity on the money market, June 2016; Reference interbank market interest rates, 14 June 2016; Reference interbank market interest rates, 13 June 2016; Average interest rate on interest bearing demand deposits, May 2016; NBM's activity on the interbank market, May 2016; Official reserve assets and other foreign currency assets, 03 June 2016; NBM Money Market Operations, May 2016; Reference interbank market interest rates, 10 June 2016; Reference interbank market interest rates, 09 June 2016; Reference interbank market interest rates, 08 June 2016; Official reserve assets and other foreign currency assets, 31 May 2016; Required reserves maintained by banks in MDL, April 2016; Reference interbank market interest rates, 07 June 2016; Weighted average yields on Government Securities of the RM, May 2016; Standing Facilities, May 2016; Reference interbank market interest rates, 06 June 2016; Official reserve assets and other foreign currency assets, 27 May 2016; Reference interbank market interest rates, 03 June 2016; Reference interbank market interest rates, 02 June 2016; Reference interbank market interest rates, 31 May 2016; Money Transfers from Abroad in Favor of Individuals (net basis), April 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Monetary survey, May 2016; Reference interbank market interest rates, 30 May 2016; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, April 2016; Commercial banks activity on the money market, June 2016; Average interest rate on interest bearing demand deposits, May 2016; Official reserve assets and other foreign currency assets, 20 May 2016; Reference interbank market interest rates, 26 May 2016; Interest rates on monetary regulation instruments of NBM, 26 May 2016; Reference interbank market interest rates, 27 May 2016; Information on financial and economic activities of banks, April 2016; Official Reserve Assets and other foreign currency assets, April 2016; Short-term net drains of active, April 2016; Commercial banks activity on the money market, May 2016; The structure of credit portofolio of the banking sector (by currency), April 2016; Memo items, April 2016; Reference interbank market interest rates, 25 May 2016; Commercial banks activity on the money market, May 2016; Reference interbank market interest rates, 24 May 2016; Reference interbank market interest rates, 23 May 2016; The structure o f credit portofolio of the banking sector (on branches), April 2016; The structure of credit portofolio of the banking sector (by debtor), April 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, April 2016; Monetary survey, April 2016; Average interest rate on interest bearing demand deposits, May 2016; Interest rates related to balances of loans and deposits, April 2016; Monetary survey, March 2016; Cash Foreign Exchange Market, April 2016; Foreign exchange assets and liabilities of the licensed banks, April 2016; Balance Sheet on the banking sector, April 2016; Official reserve assets and other foreign currency assets, 13 May 2016; Reference interbank market interest rates, 20 May 2016; Reference interbank market interest rates, 18 May 2016; Output short-term net drains on foreign currency assets, December 2006; Output short-term net drains on foreign currency assets, December 2011; Commercial banks activity on the money market, May 2016; Reference interbank market interest rates, 19 May 2016; Income Statement, April 2016; The structure of deposits of the banking sector, April 2016; Output short-term net drains on foreign currency assets, April 2016; Output short-term net drains on foreign currency assets, January 2016; Output short-term net drains on foreign currency assets, March 2016; Output short-term net drains on foreign currency assets, February 2016; Output short-term net drains on foreign currency assets, April 2016; Output short-term net drains on foreign currency assets, April 2016; Reference interbank market interest rates, 17 May 2016; NBM Money Market Operations, April 2016; Required reserves maintained by banks in FCC, April 2016; Reference interbank market interest rates, 16 May 2016; Output short-term net drains on foreign currency assets, April 2016; Official reserve assets and other foreign currency assets, 06 May 2016; Average interest rate on interest bearing demand deposits, April 2016; Average interest rate on interest bearing demand deposits, May 2016; NBM's activity on the interbank market, April 2016; Non-cash Foreign Exchange Market, April 2016; Reference interbank market interest rates, 13 May 2016; Reference interbank market interest rates, 11 May 2016; Reference interbank market interest rates, 10 May 2016; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 1 2016; Monetary survey, April 2016; Official reserve assets and other foreign currency assets, 29 April 2016; Reference interbank market interest rates, 06 May 2016; Commercial banks activity on the money market, May 2016; Required reserves maintained by banks in MDL, March 2016; Reference interbank market interest rates, 12 May 2016; Reference interbank market interest rates, 05 May 2016; Weighted average yields on Government Securities of the RM, April 2016; Reference interbank market interest rates, 04 May 2016; Base rate applied for long-term, April 2016; Reference interbank market interest rates, 19 April 2016; Reference interbank market interest rates, 03 May 2016; Standing Facilities, April 2016; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, March 2016; Official reserve assets and other foreign currency assets, 22 April 2016; Money Transfers from Abroad in Favor of Individuals (net basis), March 2016; Reference interbank market interest rates, 29 April 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Required reserves maintained by banks in FCC, March 2016; Money Transfers from Abroad in Favor of Individuals (net basis), March 2016; Interest rates on monetary regulation instruments of NBM, 28 April 2016; Official Reserve Assets and other foreign currency assets, March 2016; Reference interbank market interest rates, 28 April 2016; Average interest rate on interest bearing demand deposits, April 2016; Short-term net drains of active, March 2016; Output short-term net drains on foreign currency assets, March 2016; Reference interbank market interest rates, 27 April 2016; Average interest rate on interest bearing demand deposits, April 2016; Reference interbank market interest rates, 25 April 2016; Reference interbank market interest rates, 26 April 2016; The structure of credit portofolio of the banking sector (by currency), March 2016; Commercial banks activity on the money market, April 2016; Memo items, March 2016; Commercial banks activity on the money market, April 2016; Information on financial and economic activities of banks, March 2016; The structure o f credit portofolio of the banking sector (on branches), March 2016; The structure of credit portofolio of the banking sector (by debtor), March 2016; Official reserve assets and other foreign currency assets, 15 April 2016; Reference interbank market interest rates, 22 April 2016; Cash Foreign Exchange Market, March 2016; Foreign exchange assets and liabilities of the licensed banks, March 2016; The structure of deposits of the banking sector, March 2016; Commercial banks activity on the money market, April 2016; Reference interbank market interest rates, 21 April 2016; Monetary survey, March 2016; Average interest rate on interest bearing demand deposits, April 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, March 2016; Interest rates related to balances of loans and deposits, March 2016; Income Statement, March 2016; Balance Sheet on the banking sector, March 2016; Reference interbank market interest rates, 20 April 2016; NBM's activity on the interbank market, March 2016; Reference interbank market interest rates, 19 April 2016; Non-cash Foreign Exchange Market, March 2016; Reference interbank market interest rates, 18 April 2016; Official reserve assets and other foreign currency assets, 08 April 2016; NBM Money Market Operations, March 2016; Reference interbank market interest rates, 15 April 2016; Reference interbank market interest rates, 14 April 2016; Reference interbank market interest rates, 13 April 2016; Average interest rate on interest bearing demand deposits, March 2016; Reference interbank market interest rates, 12 April 2016; Reference interbank market interest rates, 11 April 2016; Official reserve assets and other foreign currency assets, 01 April 2016; Required reserves maintained by banks in MDL, February 2016; Reference interbank market interest rates, 08 April 2016; Official reserve assets and other foreign currency assets, 31 March 2016; Reference interbank market interest rates, 07 April 2016; Commercial banks activity on the money market, April 2016; Reference interbank market interest rates, 06 April 2016; Reference interbank market interest rates, 05 April 2016; Average interest rate on interest bearing demand deposits, March 2016; Reference interbank market interest rates, 04 April 2016; Monetary survey, March 2016; Main aggregates of the balance of payments current account, seasonally adjusted, December 2015; Weighted average yields on Government Securities of the RM, March 2016; Standing Facilities, March 2016; Official reserve assets and other foreign currency assets, 25 March 2016; Reference interbank market interest rates, 31 March 2016; Reference interbank market interest rates, 01 April 2016; External trade in goods of the Republic of Moldova based on the monthly data of the National Bureau of Statistics, seasonally adjusted, December 2015; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, February 2016; Gross External Debt of the RM, 2015; Money Transfers from Abroad in Favor of Individuals (net basis), February 2016; Interest rates on monetary regulation instruments of NBM, 31 March 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Reference interbank market interest rates, 30 March 2016; Official Reserve Assets and other foreign currency assets, February 2016; Reference interbank market interest rates, 29 March 2016; Average interest rate on interest bearing demand deposits, March 2016; Reference interbank market interest rates, 28 March 2016; Information on financial and economic activities of banks, February 2016; Commercial banks activity on the money market, March 2016; Official reserve assets and other foreign currency assets, 18 March 2016; Commercial banks activity on the money market, March 2016; Memo items, February 2016; Short-term net drains of active, February 2016; Output short-term net drains on foreign currency assets, February 2016; Reference interbank market interest rates, 25 March 2016; The structure of credit portofolio of the banking sector (by currency), February 2016; The structure of credit portofolio of the banking sector (by debtor), February 2016; The structure o f credit portofolio of the banking sector (on branches), February 2016; Commercial banks activity on the money market, March 2016; Reference interbank market interest rates, 24 March 2016; Reference interbank market interest rates, 23 March 2016; Reference interbank market interest rates, 22 March 2016; Cash Foreign Exchange Market, February 2016; Foreign exchange assets and liabilities of the licensed banks, February 2016; Reference interbank market interest rates, 21 March 2016; Reference interbank market interest rates, 18 March 2016; Average interest rate on interest bearing demand deposits, March 2016; Average interest rate on interest bearing demand deposits, March 2016; Official reserve assets and other foreign currency assets, 12 March 2016; Interest rates related to balances of loans and deposits, February 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, February 2016; Monetary survey, February 2016; The structure of deposits of the banking sector, February 2016; Balance Sheet on the banking sector, February 2016; Income Statement, February 2016; Non-cash Foreign Exchange Market, February 2016; Reference interbank market interest rates, 17 March 2016; NBM's activity on the interbank market, February 2016; Reference interbank market interest rates, 16 March 2016; Reference interbank market interest rates, 15 March 2016; NBM Money Market Operations, February 2016; Required reserves maintained by banks in FCC, February 2016; Official reserve assets and other foreign currency assets, 04 March 2016; Average interest rate on interest bearing demand deposits, February 2016; Reference interbank market interest rates, 10 March 2016; Reference interbank market interest rates, 14 March 2016; Information on financial and economic activities of banks, January 2016; Reference interbank market interest rates, 12 March 2016; Commercial banks activity on the money market, March 2016; Reference interbank market interest rates, 11 March 2016; Required reserves maintained by banks in MDL, January 2016; Official reserve assets and other foreign currency assets, 29 February 2016; Reference interbank market interest rates, 09 March 2016; Weighted average yields on Government Securities of the RM, February 2016; Reference interbank market interest rates, 02 March 2016; Official reserve assets and other foreign currency assets, 26 February 2016; Reference interbank market interest rates, 04 March 2016; Reference interbank market interest rates, 01 March 2016; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, January 2016; Reference interbank market interest rates, 03 March 2016; Standing Facilities, February 2016; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Reference interbank market interest rates, 29 February 2016; Reference interbank market interest rates, 26 February 2016; Monetary survey, February 2016; Official reserve assets and other foreign currency assets, 19 February 2016; Short-term net drains of active, January 2016; Commercial banks activity on the money market, March 2016; Information on financial and economic activities of banks, December 2015; Money Transfers from Abroad in Favor of Individuals (net basis), January 2016; Output short-term net drains on foreign currency assets, January 2016; Memo items, January 2016; Interest rates on monetary regulation instruments of NBM, 25 February 2016; The structure of credit portofolio of the banking sector (by currency), January 2016; Average interest rate on interest bearing demand deposits, February 2016; Reference interbank market interest rates, 25 February 2016; Commercial banks activity on the money market, February 2016; Official Reserve Assets and other foreign currency assets, January 2016; Information on financial and economic activities of banks, January 2016; The structure of credit portofolio of the banking sector (by debtor), January 2016; The structure o f credit portofolio of the banking sector (on branches), January 2016; Reference interbank market interest rates, 23 February 2016; Reference interbank market interest rates, 24 February 2016; Average interest rate on interest bearing demand deposits, February 2016; Foreign exchange assets and liabilities of the licensed banks, January 2016; Cash Foreign Exchange Market, January 2016; Reference interbank market interest rates, 22 February 2016; The weighted average interest rates on new loans and deposits attracted and associated volumes, January 2016; Interest rates related to balances of loans and deposits, January 2016; Monetary survey, January 2016; Official reserve assets and other foreign currency assets, 12 February 2016; Reference interbank market interest rates, 19 February 2016; Balance Sheet on the banking sector, January 2016; The structure of deposits of the banking sector, January 2016; Income Statement, January 2016; Reference interbank market interest rates, 18 February 2016; Commercial banks activity on the money market, February 2016; Required reserves maintained by banks in FCC, January 2016; Reference interbank market interest rates, 17 February 2016; Average interest rate on interest bearing demand deposits, February 2016; Average interest rate on interest bearing demand deposits, January 2016; Reference interbank market interest rates, 16 February 2016; Reference interbank market interest rates, 15 February 2016; NBM Money Market Operations, January 2016; NBM's activity on the interbank market, January 2016; Non-cash Foreign Exchange Market, January 2016; Official reserve assets and other foreign currency assets, 05 February 2016; Weighted average yields on Government Securities of the RM, January 2016; Reference interbank market interest rates, 12 February 2016; Reference interbank market interest rates, 11 February 2016; Reference interbank market interest rates, 10 February 2016; Activity indicators within card payments system of the Republic of Moldova , 2015; Required reserves maintained by banks in MDL, December 2015; Monetary survey, January 2016; Reference interbank market interest rates, 09 February 2016; Average interest rate on interest bearing demand deposits, January 2016; Reference interbank market interest rates, 08 February 2016; Reference interbank market interest rates, 05 February 2016; Official reserve assets and other foreign currency assets, 29 January 2016; Reference interbank market interest rates, 03 February 2016; Reference interbank market interest rates, 04 February 2016; Reference interbank market interest rates, 02 February 2016; Base rate applied for long-term, January 2016; Standing Facilities, January 2016; Reference interbank market interest rates, 01 February 2016; Commercial banks activity on the money market, February 2016; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, December 2015; Money Transfers from Abroad in Favor of Individuals (net basis), December 2015; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Reference interbank market interest rates, 29 January 2016; Official reserve assets and other foreign currency assets, 22 January 2016; Interest rates on monetary regulation instruments of NBM, 28 January 2016; Reference interbank market interest rates, 28 January 2016; Reference interbank market interest rates, 27 January 2016; Average interest rate on interest bearing demand deposits, January 2016; Reference interbank market interest rates, 26 January 2016; Reference interbank market interest rates, 25 January 2016; Official Reserve Assets and other foreign currency assets, December 2015; Commercial banks activity on the money market, January 2016; Output short-term net drains on foreign currency assets, December 2015; Memo items, December 2015; Information on financial and economic activities of banks, December 2015; Short-term net drains of active, December 2015; The structure o f credit portofolio of the banking sector (on branches), December 2015; Weighted average yields on Government Securities of the RM, January 2016; The structure of credit portofolio of the banking sector (by currency), December 2015; The structure of credit portofolio of the banking sector (by debtor), December 2015; Official reserve assets and other foreign currency assets, 15 January 2016; Commercial banks activity on the money market, January 2016; Commercial banks activity on the money market, January 2016; Foreign exchange assets and liabilities of the licensed banks, December 2015; Cash Foreign Exchange Market, December 2015; Reference interbank market interest rates, 22 January 2016; Non-cash Foreign Exchange Market, December 2015; NBM's activity on the interbank market, December 2015; Reference interbank market interest rates, 21 January 2016; Balance Sheet on the banking sector, December 2015; Income Statement, December 2015; The structure of deposits of the banking sector, December 2015; The weighted average interest rates on new loans and deposits attracted and associated volumes, December 2015; Monetary survey, December 2015; Average interest rate on interest bearing demand deposits, January 2016; Interest rates related to balances of loans and deposits, December 2015; Reference interbank market interest rates, 19 January 2016; Reference interbank market interest rates, 20 January 2016; Average interest rate on interest bearing demand deposits, December 2015; Required reserves maintained by banks in MDL, November 2015; Reference interbank market interest rates, 18 January 2016; Required reserves maintained by banks in FCC, December 2015; NBM Money Market Operations, December 2015; Reference interbank market interest rates, 15 January 2016; Official reserve assets and other foreign currency assets, 06 January 2016; Reference interbank market interest rates, 14 January 2016; Standing Facilities, December 2015; Reference interbank market interest rates, 13 January 2016; Reference interbank market interest rates, 12 January 2016; Official reserve assets and other foreign currency assets, 31 December 2015; Reference interbank market interest rates, 11 January 2016; Commercial banks activity on the money market, January 2016; Reference interbank market interest rates, 06 January 2016; Weighted average yields on Government Securities of the RM, December 2015; Reference interbank market interest rates, 05 January 2016; Reference interbank market interest rates, 04 January 2016; Official reserve assets and other foreign currency assets, 24 December 2015; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), November 2015; Monetary survey, December 2015; Reference interbank market interest rates, 31 December 2015; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, November 2015; Main aggregates of the balance of payments current account, seasonally adjusted, September 2015; Reference interbank market interest rates, 28 December 2015; External trade in goods of the Republic of Moldova based on the monthly data of the National Bureau of Statistics, seasonally adjusted, September 2015; Gross External Debt of the RM, 2015; Average interest rate on interest bearing demand deposits, December 2015; Interest rates on monetary regulation instruments of NBM, 30 December 2015; Reference interbank market interest rates, 30 December 2015; Information on financial and economic activities of banks, July 2015; Information on financial and economic activities of banks, June 2015; Reference interbank market interest rates, 29 December 2015; Reference interbank market interest rates, 24 December 2015; Commercial banks activity on the money market, December 2015; Official reserve assets and other foreign currency assets, 18 December 2015; Memo items, November 2015; Short-term net drains of active, November 2015; Output short-term net drains on foreign currency assets, November 2015; The structure of credit portofolio of the banking sector (by currency), November 2015; The structure of credit portofolio of the banking sector (by debtor), November 2015; Commercial banks activity on the money market, December 2015; Official Reserve Assets and other foreign currency assets, November 2015; Information on financial and economic activities of banks, November 2015; The structure o f credit portofolio of the banking sector (on branches), November 2015; Reference interbank market interest rates, 23 December 2015; Reference interbank market interest rates, 22 December 2015; Foreign exchange assets and liabilities of the licensed banks, November 2015; Reference interbank market interest rates, 21 December 2015; Cash Foreign Exchange Market, November 2015; Interest rates related to balances of loans and deposits, November 2015; Average interest rate on interest bearing demand deposits, December 2015; Interest rates related to balances of loans and deposits, October 2015; The structure of deposits of the banking sector, November 2015; Income Statement, November 2015; Balance Sheet on the banking sector, November 2015; Official reserve assets and other foreign currency assets, 11 December 2015; Commercial banks activity on the money market, December 2015; Average interest rate on interest bearing demand deposits, December 2015; Monetary survey, November 2015; The weighted average interest rates on new loans and deposits attracted and associated volumes, November 2015; Monetary survey, October 2015; Reference interbank market interest rates, 18 December 2015; Commercial banks activity on the money market, December 2015; Reference interbank market interest rates, 17 December 2015; NBM Money Market Operations, November 2015; Required reserves maintained by banks in FCC, November 2015; Reference interbank market interest rates, 16 December 2015; Average interest rate on interest bearing demand deposits, November 2015; NBM's activity on the interbank market, November 2015; Non-cash Foreign Exchange Market, November 2015; Reference interbank market interest rates, 15 December 2015; Reference interbank market interest rates, 14 December 2015; Official reserve assets and other foreign currency assets, 04 December 2015; Reference interbank market interest rates, 11 December 2015; Reference interbank market interest rates, 10 December 2015; Reference interbank market interest rates, 09 December 2015; Required reserves maintained by banks in MDL, October 2015; Reference interbank market interest rates, 08 December 2015; Official reserve assets and other foreign currency assets, 30 November 2015; Reference interbank market interest rates, 04 December 2015; Reference interbank market interest rates, 07 December 2015; Official reserve assets and other foreign currency assets, 27 November 2015; Reference interbank market interest rates, 02 December 2015; Reference interbank market interest rates, 03 December 2015; Weighted average yields on Government Securities of the RM, November 2015; Standing Facilities, November 2015; Reference interbank market interest rates, 01 December 2015; Monetary survey, November 2015; Reference interbank market interest rates, 30 November 2015; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, October 2015; Money Transfers from Abroad in Favor of Individuals (net basis), October 2015; Commercial banks activity on the money market, December 2015; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Official reserve assets and other foreign currency assets, 20 November 2015; Reference interbank market interest rates, 27 November 2015; Average interest rate on interest bearing demand deposits, November 2015; Interest rates on monetary regulation instruments of NBM, 26 November 2015; Reference interbank market interest rates, 26 November 2015; Memo items, October 2015; Official Reserve Assets and other foreign currency assets, October 2015; Short-term net drains of active, October 2015; Output short-term net drains on foreign currency assets, October 2015; Reference interbank market interest rates, 25 November 2015; The structure o f credit portofolio of the banking sector (on branches), October 2015; The structure of credit portofolio of the banking sector (by debtor), October 2015; The structure of credit portofolio of the banking sector (by currency), October 2015; Information on financial and economic activities of banks, October 2015; Reference interbank market interest rates, 24 November 2015; Commercial banks activity on the money market, November 2015; Reference interbank market interest rates, 23 November 2015; Foreign exchange assets and liabilities of the licensed banks, October 2015; Cash Foreign Exchange Market, October 2015; The structure of deposits of the banking sector, October 2015; Commercial banks activity on the money market, November 2015; Income Statement, October 2015; Balance Sheet on the banking sector, October 2015; The weighted average interest rates on new loans and deposits attracted and associated volumes, October 2015; Monetary survey, October 2015; Interest rates related to balances of loans and deposits, October 2015; Official reserve assets and other foreign currency assets, 13 November 2015; Average interest rate on interest bearing demand deposits, November 2015; Average interest rate on interest bearing demand deposits, November 2015; Reference interbank market interest rates, 20 November 2015; Required reserves maintained by banks in FCC, October 2015; Reference interbank market interest rates, 19 November 2015; Average interest rate on interest bearing demand deposits, October 2015; Reference interbank market interest rates, 18 November 2015; Official reserve assets and other foreign currency assets, 06 November 2015; Reference interbank market interest rates, 17 November 2015; Commercial banks activity on the money market, November 2015; NBM's activity on the interbank market, October 2015; NBM Money Market Operations, October 2015; Reference interbank market interest rates, 11 November 2015; Reference interbank market interest rates, 16 November 2015; Required reserves maintained by banks in MDL, September 2015; Non-cash Foreign Exchange Market, October 2015; Reference interbank market interest rates, 10 November 2015; Reference interbank market interest rates, 09 November 2015; Reference interbank market interest rates, 13 November 2015; Official reserve assets and other foreign currency assets, 30 October 2015; Reference interbank market interest rates, 06 November 2015; Reference interbank market interest rates, 12 November 2015; Average interest rate on interest bearing demand deposits, October 2015; Weighted average yields on Government Securities of the RM, October 2015; Reference interbank market interest rates, 05 November 2015; Monetary survey, October 2015; Reference interbank market interest rates, 03 November 2015; Reference interbank market interest rates, 04 November 2015; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 3 2015; Reference interbank market interest rates, 02 November 2015; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, September 2015; Standing Facilities, October 2015; Reference interbank market interest rates, 30 October 2015; Money Transfers from Abroad in Favor of Individuals (net basis), September 2015; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Commercial banks activity on the money market, November 2015; Reference interbank market interest rates, 17 November 2015; Official reserve assets and other foreign currency assets, 23 October 2015; Base rate applied for long-term, October 2015; Commercial banks activity on the money market, October 2015; Reference interbank market interest rates, 29 October 2015; Interest rates on monetary regulation instruments of NBM, 29 October 2015; Average interest rate on interest bearing demand deposits, October 2015; Reference interbank market interest rates, 28 October 2015; Information on financial and economic activities of banks, September 2015; Commercial banks activity on the money market, October 2015; Foreign exchange assets and liabilities of the licensed banks, September 2015; Reference interbank market interest rates, 27 October 2015; Reference interbank market interest rates, 26 October 2015; The structure o f credit portofolio of the banking sector (on branches), September 2015; The structure of credit portofolio of the banking sector (by currency), September 2015; Official reserve assets and other foreign currency assets, 16 October 2015; The structure of credit portofolio of the banking sector (by debtor), September 2015; Reference interbank market interest rates, 23 October 2015; Official Reserve Assets and other foreign currency assets, September 2015; Memo items, September 2015; Output short-term net drains on foreign currency assets, September 2015; Short-term net drains of active, September 2015; Cash Foreign Exchange Market, September 2015; Reference interbank market interest rates, 22 October 2015; Monetary survey, June 2015; Average interest rate on interest bearing demand deposits, October 2015; Average interest rate on interest bearing demand deposits, October 2015; Reference interbank market interest rates, 21 October 2015; Balance Sheet on the banking sector, September 2015; The weighted average interest rates on new loans and deposits attracted and associated volumes, September 2015; Monetary survey, July 2015; Commercial banks activity on the money market, October 2015; Monetary survey, September 2015; Interest rates related to balances of loans and deposits, September 2015; The structure of deposits of the banking sector, September 2015; Income Statement, September 2015; Reference interbank market interest rates, 20 October 2015; Information on financial and economic activities of banks, September 2015; Non-cash Foreign Exchange Market, September 2015; NBM's activity on the interbank market, September 2015; Reference interbank market interest rates, 19 October 2015; Required reserves maintained by banks in FCC, September 2015; Average interest rate on interest bearing demand deposits, September 2015; Official reserve assets and other foreign currency assets, 09 October 2015; NBM Money Market Operations, September 2015; Reference interbank market interest rates, 15 October 2015; Reference interbank market interest rates, 13 October 2015; Information on financial and economic activities of banks, August 2015; Reference interbank market interest rates, 16 October 2015; Official reserve assets and other foreign currency assets, 02 October 2015; Reference interbank market interest rates, 12 October 2015; Reference interbank market interest rates, 09 October 2015; Required reserves maintained by banks in MDL, August 2015; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, August 2015; External trade in goods of the Republic of Moldova based on the monthly data of the National Bureau of Statistics, seasonally adjusted, June 2015; Commercial banks activity on the money market, September 2015; Main aggregates of the balance of payments current account, seasonally adjusted, June 2015; Reference interbank market interest rates, 08 October 2015; Monetary survey, June 2015; Official reserve assets and other foreign currency assets, 30 September 2015; Official reserve assets and other foreign currency assets, 25 September 2015; Reference interbank market interest rates, 07 October 2015; Reference interbank market interest rates, 06 October 2015; Reference interbank market interest rates, 05 October 2015; Monetary survey, September 2015; Money Transfers from Abroad in Favor of Individuals (net basis), August 2015; Standing Facilities, September 2015; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Coordinated Direct Investment Survey by industry, 2014; Coordinated Direct Investment Survey by country, 2014; Reference interbank market interest rates, 01 October 2015; Weighted average yields on Government Securities of the RM, September 2015; Commercial banks activity on the money market, September 2015; Reference interbank market interest rates, 02 October 2015; Reference interbank market interest rates, 15 October 2015; Output short-term net drains on foreign currency assets, August 2015; Gross External Debt of the RM, 2015; Reference interbank market interest rates, 30 September 2015; Reference interbank market interest rates, 29 September 2015; Short-term net drains of active, August 2015; Reference interbank market interest rates, 28 September 2015; Official reserve assets and other foreign currency assets, 18 September 2015; The structure o f credit portofolio of the banking sector (on branches), August 2015; Official Reserve Assets and other foreign currency assets, August 2015; Memo items, August 2015; The structure of credit portofolio of the banking sector (by debtor), August 2015; Reference interbank market interest rates, 25 September 2015; Information on financial and economic activities of banks, August 2015; Average interest rate on interest bearing demand deposits, September 2015; Commercial banks activity on the money market, September 2015; Cash Foreign Exchange Market, August 2015; The structure of credit portofolio of the banking sector (by currency), August 2015; Reference interbank market interest rates, 24 September 2015; Interest rates on monetary regulation instruments of NBM, 24 September 2015; Reference interbank market interest rates, 22 September 2015; Reference interbank market interest rates, 23 September 2015; Monetary survey, August 2015; The structure of deposits of the banking sector, August 2015; Income Statement, August 2015; Reference interbank market interest rates, 21 September 2015; Foreign exchange assets and liabilities of the licensed banks, August 2015; Balance Sheet on the banking sector, August 2015; Commercial banks activity on the money market, September 2015; Interest rates related to balances of loans and deposits, August 2015; The weighted average interest rates on new loans and deposits attracted and associated volumes, August 2015; Average interest rate on interest bearing demand deposits, September 2015; Average interest rate on interest bearing demand deposits, September 2015; Official reserve assets and other foreign currency assets, 11 September 2015; Reference interbank market interest rates, 18 September 2015; Reference interbank market interest rates, 17 September 2015; Non-cash Foreign Exchange Market, August 2015; NBM's activity on the interbank market, August 2015; Reference interbank market interest rates, 16 September 2015; Average interest rate on interest bearing demand deposits, August 2015; NBM Money Market Operations, August 2015; Reference interbank market interest rates, 15 September 2015; Reference interbank market interest rates, 14 September 2015; Commercial banks activity on the money market, September 2015; Official reserve assets and other foreign currency assets, 04 September 2015; Reference interbank market interest rates, 11 September 2015; Reference interbank market interest rates, 10 September 2015; Reference interbank market interest rates, 09 September 2015; Required reserves maintained by banks in MDL, July 2015; Reference interbank market interest rates, 07 September 2015; Reference interbank market interest rates, 04 September 2015; Reference interbank market interest rates, 08 September 2015; Average interest rate on interest bearing demand deposits, August 2015; Reference interbank market interest rates, 03 September 2015; Official reserve assets and other foreign currency assets, 26 August 2015; Reference interbank market interest rates, 02 September 2015; Weighted average yields on Government Securities of the RM, August 2015; Official reserve assets and other foreign currency assets, 22 August 2015; Monetary survey, August 2015; Standing Facilities, August 2015; Reference interbank market interest rates, 01 September 2015; Interest rates on monetary regulation instruments of NBM, 02 September 2015; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, July 2015; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Reference interbank market interest rates, 26 August 2015; Money Transfers from Abroad in Favor of Individuals (net basis), July 2015; Commercial banks activity on the money market, September 2015; Reference interbank market interest rates, 25 August 2015; Short-term net drains of active, July 2015; Memo items, July 2015; Output short-term net drains on foreign currency assets, July 2015; Official Reserve Assets and other foreign currency assets, July 2015; Information on financial and economic activities of banks, July 2015; The structure of credit portofolio of the banking sector (by debtor), July 2015; The structure o f credit portofolio of the banking sector (on branches), July 2015; The structure of credit portofolio of the banking sector (by currency), July 2015; Reference interbank market interest rates, 24 August 2015; Cash Foreign Exchange Market, July 2015; Foreign exchange assets and liabilities of the licensed banks, July 2015; Commercial banks activity on the money market, August 2015; NBM's activity on the interbank market, July 2015; Non-cash Foreign Exchange Market, July 2015; Reference interbank market interest rates, 22 August 2015; Official reserve assets and other foreign currency assets, 14 August 2015; Reference interbank market interest rates, 21 August 2015; Balance Sheet on the banking sector, July 2015; The structure of deposits of the banking sector, July 2015; Income Statement, July 2015; Commercial banks activity on the money market, August 2015; Average interest rate on interest bearing demand deposits, August 2015; Interest rates related to balances of loans and deposits, July 2015; The weighted average interest rates on new loans and deposits attracted and associated volumes, July 2015; Monetary survey, July 2015; Average interest rate on interest bearing demand deposits, August 2015; Reference interbank market interest rates, 20 August 2015; Commercial banks activity on the money market, August 2015; Reference interbank market interest rates, 19 August 2015; Reference interbank market interest rates, 18 August 2015; Reference interbank market interest rates, 13 August 2015; Required reserves maintained by banks in FCC, July 2015; Reference interbank market interest rates, 17 August 2015; Average interest rate on interest bearing demand deposits, July 2015; NBM Money Market Operations, July 2015; Reference interbank market interest rates, 11 August 2015; Reference interbank market interest rates, 12 August 2015; Required reserves maintained by banks in MDL, June 2015; Reference interbank market interest rates, 14 August 2015; Reference interbank market interest rates, 10 August 2015; Official reserve assets and other foreign currency assets, 07 August 2015; Official reserve assets and other foreign currency assets, 31 July 2015; Reference interbank market interest rates, 07 August 2015; Reference interbank market interest rates, 06 August 2015; Reference interbank market interest rates, 05 August 2015; Reference interbank market interest rates, 04 August 2015; Information on financial and economic activities of banks, June 2015; Reference interbank market interest rates, 03 August 2015; Monetary survey, July 2015; Reference interbank market interest rates, 31 July 2015; Reference interbank market interest rates, 29 July 2015; Reference interbank market interest rates, 30 July 2015; Reference interbank market interest rates, 27 July 2015; Weighted average yields on Government Securities of the RM, July 2015; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, June 2015; Commercial banks activity on the money market, August 2015; Standing Facilities, July 2015; Money Transfers from Abroad in Favor of Individuals (net basis), March 2015; Money Transfers from Abroad in Favor of Individuals (net basis), June 2015; Average interest rate on interest bearing demand deposits, July 2015; Base rate applied for long-term, July 2015; Official reserve assets and other foreign currency assets, 24 July 2015; Short-term net drains of active, June 2015; Interest rates on monetary regulation instruments of NBM, 30 July 2015; Official Reserve Assets and other foreign currency assets, June 2015; Reference interbank market interest rates, 28 July 2015; Commercial banks activity on the money market, July 2015; The structure of credit portofolio of the banking sector (by currency), June 2015; The structure of credit portofolio of the banking sector (by debtor), June 2015; The structure o f credit portofolio of the banking sector (on branches), June 2015; Official reserve assets and other foreign currency assets, 17 July 2015; Memo items, June 2015; Commercial banks activity on the money market, July 2015; Output short-term net drains on foreign currency assets, June 2015; Reference interbank market interest rates, 24 July 2015; Reference interbank market interest rates, 03 August 2015; Activity indicators within card payments system of the Republic of Moldova , Trimestrul 2 2015; Average interest rate on interest bearing demand deposits, July 2015; Reference interbank market interest rates, 23 July 2015; Information on financial and economic activities of banks, June 2015; Reference interbank market interest rates, 29 July 2015; Reference interbank market interest rates, 27 July 2015; Interest rates and volumes related to new loans and bearing demand deposits, June 2015; Reference interbank market interest rates, 30 July 2015; Reference interbank market interest rates, 31 July 2015; Monetary survey, June 2015; Interest rates related to balances of loans and deposits, June 2015; Reference interbank market interest rates, 22 July 2015; Reference interbank market interest rates, 29 July 2015; Money Transfers from Abroad in Favor of Individuals (net basis), June 2015; Reference interbank market interest rates, 21 July 2015; Balance Sheet on the banking sector, June 2015; Reference interbank market interest rates, 20 July 2015; Official reserve assets and other foreign currency assets, 10 July 2015; Reference interbank market interest rates, 17 July 2015; Cash Foreign Exchange Market, June 2015; Average interest rate on interest bearing demand deposits, July 2015; Average interest rate on interest bearing demand deposits, July 2015; Income Statement, June 2015; The structure of deposits of the banking sector, June 2015; Reference interbank market interest rates, 16 July 2015; Commercial banks activity on the money market, July 2015; Foreign exchange assets and liabilities of the licensed banks, June 2015; NBM Money Market Operations, June 2015; Reference interbank market interest rates, 15 July 2015; Average interest rate on interest bearing demand deposits, June 2015; Reference interbank market interest rates, 14 July 2015; Reference interbank market interest rates, 13 July 2015; Average interest rate on interest bearing demand deposits, July 2015; Official reserve assets and other foreign currency assets, 03 July 2015; NBM's activity on the interbank market, June 2015; Non-cash Foreign Exchange Market, June 2015; Reference interbank market interest rates, 10 July 2015; Reference interbank market interest rates, 09 July 2015; Required reserves maintained by banks in MDL, May 2015; Reference interbank market interest rates, 21 July 2015; Reference interbank market interest rates, 08 July 2015; Commercial banks activity on the money market, July 2015; Official reserve assets and other foreign currency assets, 30 June 2015; Average interest rate on interest bearing demand deposits, September 2014; Average interest rate on interest bearing demand deposits, October 2013; Reference interbank market interest rates, 07 July 2015; Reference interbank market interest rates, 03 July 2015; Official reserve assets and other foreign currency assets, 26 June 2015; Reference interbank market interest rates, 06 July 2015; Monetary survey, June 2015; Reference interbank market interest rates, 02 July 2015; Information on financial and economic activities of banks, December 2014; Weighted average yields on Government Securities of the RM, June 2015; Balance Sheet on the banking sector, December 2014; Reference interbank market interest rates, 30 June 2015; Income Statement, December 2014; Reference interbank market interest rates, 29 June 2015; Reference interbank market interest rates, 01 July 2015; Standing Facilities, June 2015; Average interest rate on interest bearing demand deposits, June 2015; Commercial banks activity on the money market, July 2015; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted, May 2015; External trade in goods of the Republic of Moldova based on the monthly data of the National Bureau of Statistics, seasonally adjusted, March 2015; Official reserve assets and other foreign currency assets, 19 June 2015; Main aggregates of the balance of payments current account, seasonally adjusted, March 2015; Output short-term net drains on foreign currency assets, May 2015; Non-cash Foreign Exchange Market, March 2014; Commercial banks activity on the money market, June 2015; Activity indicators within card payments system of the Republic of Moldova , December 2014; Gross External Debt of the RM, 2015; Reference interbank market interest rates, 26 June 2015; Non-cash Foreign Exchange Market, January 2014; Non-cash Foreign Exchange Market, December 2013; Non-cash Foreign Exchange Market, February 2014; Official Reserve Assets and other foreign currency assets, May 2015; Interest rates on monetary regulation instruments of NBM, 25 June 2015; Reference interbank market interest rates, 25 June 2015; Information on financial and economic activities of banks, May 2015; Money Transfers from Abroad in Favor of Individuals (on gross basis),; Money Transfers from Abroad in Favor of Individuals (net basis), May 2015; Short-term net drains of active, March 2015; Memo items, May 2015; Foreign exchange assets and liabilities of the licensed banks, April 2015; Commercial banks activity on the money market, May 2015; Reference interbank market interest rates, 24 June 2015; The structure of credit portofolio of the banking sector (by currency), May 2015; Reference interbank market interest rates, 23 June 2015; The structure o f credit portofolio of the banking sector (on branches), May 2015; Foreign exchange assets and liabilities of the licensed banks, May 2015; The structure of credit portofolio of the banking sector (by debtor), May 2015; Income Statement, May 2015; Balance Sheet on the banking sector, May 2015; Foreign exchange assets and liabilities of the licensed banks, February 2008; Official reserve assets and other foreign currency assets, 12 June 2015; Reference interbank market interest rates, 22 June 2015; Average interest rate on interest bearing demand deposits, June 2015; The structure of deposits of the banking sector, May 2015; Output short-term net drains on foreign currency assets, March 2015; Non-cash Foreign Exchange Market, May 2015; Reference interbank market interest rates, 18 June 2015; NBM's activity on the interbank market, May 2015; Interest rates and volumes related to new loans and bearing demand deposits, May 2015; Cash Foreign Exchange Market, May 2015; Monetary survey, May 2015; Average interest rate on interest bearing demand deposits, June 2015; Reference interbank market interest rates, 17 June 2015; Reference interbank market interest rates, 19 June 2015; Interest rates related to balances of loans and deposits, May 2015; Average interest rate on interest bearing demand deposits, May 2015; Reference interbank market interest rates, 16 June 2015; Cash Foreign Exchange Market, February 2015; Cash Foreign Exchange Market, June 2014; NBM Money Market Operations, May 2015; Reference interbank market interest rates, 15 June 2015; Commercial banks activity on the money market, June 2015; Required reserves maintained by banks in FCC, May 2015; Official reserve assets and other foreign currency assets, 05 June 2015; Reference interbank market interest rates, 12 June 2015; Information on financial and economic activities of banks, December 2014; Reference interbank market interest rates, 11 June 2015; Reference interbank market interest rates, 10 June 2015; Information on financial and economic activities of banks, February 2015; Information on financial and economic activities of banks, April 2015; Information on financial and economic activities of banks, March 2015; Monetary survey,; Average interest rate on interest bearing demand deposits, June 2015; Information on financial and economic activities of banks, January 2015; Information on financial and economic activities of banks, November 2014; Commercial banks activity on the money market,; Reference interbank market interest rates, 09 June 2015; Required reserves maintained by banks in MDL, April 2015; Information on financial and economic activities of banks,; Reference interbank market interest rates, 08 June 2015; Average interest rate on interest bearing demand deposits, May 2015; Official reserve assets and other foreign currency assets, 29 May 2015; Memo items, April 2015; Official Reserve Assets and other foreign currency assets, April 2015; Output short-term net drains on foreign currency assets, March 2015; Short-term net drains of active, March 2015; Non-cash Foreign Exchange Market, April 2015; Official reserve assets and other foreign currency assets, 22 May 2015; Cash Foreign Exchange Market, February 2015; Cash Foreign Exchange Market, July 2014; Official reserve assets and other foreign currency assets, 15 May 2015; Official reserve assets and other foreign currency assets, 17 April 2015; Official reserve assets and other foreign currency assets, 30 April 2015; Reference interbank market interest rates, 05 June 2015; Official reserve assets and other foreign currency assets, 24 April 2015; Official reserve assets and other foreign currency assets, 08 May 2015; Commercial banks activity on the money market, May 2015; NBM's activity on the interbank market, April 2015; Foreign exchange assets and liabilities of the licensed banks, April 2015; Weighted average yields on Government Securities of the RM, May 2015; Cash Foreign Exchange Market, April 2015; Information on financial and economic activities of banks,; Reference interbank market interest rates, 29 May 2015; Activity indicators within card payments system of the Republic of Moldova , January 2015; Interest rates and volumes related to new loans and bearing demand deposits, December 2014; Interest rates and volumes related to new loans and bearing demand deposits, April 2015; Interest rates and volumes related to new loans and bearing demand deposits, December 2014; Interest rates and volumes related to new loans and bearing demand deposits,; Information on financial and economic activities of banks, April 2015; The structure of deposits of the banking sector, April 2015; Standing Facilities, May 2015; Interest rates on monetary regulation instruments of NBM, 28 May 2015; Monetary survey, March 2015; Interest rates related to balances of loans and deposits, March 2015; Average interest rate on interest bearing demand deposits, April 2015; Interest rates related to balances of loans and deposits, April 2015; Average interest rate on interest bearing demand deposits, April 2015; Monetary survey, February 2015; Monetary survey, April 2015; Interest rates related to balances of loans and deposits, February 2015; Average interest rate on interest bearing demand deposits, April 2015; Average interest rate on interest bearing demand deposits, May 2015; Interest rates and volumes related to new loans and bearing demand deposits,; Monetary survey, January 2015; Average interest rate on interest bearing demand deposits, May 2015; Commercial banks activity on the money market, May 2015; Commercial banks activity on the money market, May 2015; Income Statement, April 2015; Balance Sheet on the banking sector, April 2015; NBM Money Market Operations, April 2015; Required reserves maintained by banks in FCC, April 2015; NBM's activity on the interbank market, March 2015; The structure o f credit portofolio of the banking sector (on branches), April 2015; The structure of credit portofolio of the banking sector (by debtor), April 2015; The structure of credit portofolio of the banking sector (by currency), April 2015; Information on financial and economic activities of banks, March 2015; NBM's activity on the interbank market, February 2015; Commercial banks activity on the money market,; Commercial banks activity on the money market,; Required reserves maintained by banks in MDL, March 2015; Information on financial and economic activities of banks,; Commercial banks activity on the money market,; Average interest rate on interest bearing demand deposits, April 2015; Average interest rate on interest bearing demand deposits, April 2015; Average interest rate on interest bearing demand deposits, March 2015; Non-cash Foreign Exchange Market, March 2015; Average interest rate on interest bearing demand deposits, March 2015; Interest rates and volumes related to new loans and bearing demand deposits, March 2015; Reference interbank market interest rates, 30 April 2015; Weighted average yields on Government Securities of the RM, April 2015; Base rate applied for long-term, April 2015; Monetary survey, February 2015; Monetary survey, March 2015; Interest rates related to balances of loans and deposits, February 2015; Commercial banks activity on the money market,; Information on financial and economic activities of banks,; Non-cash Foreign Exchange Market, February 2015; NBM's activity on the interbank market,; Standing Facilities, April 2015; Interest rates on monetary regulation instruments of NBM, 30 April 2015; Official reserve assets and other foreign currency assets, 13 March 2015; Official reserve assets and other foreign currency assets, 03 April 2015; Official reserve assets and other foreign currency assets, 10 April 2015; Official reserve assets and other foreign currency assets, 06 March 2015; Official reserve assets and other foreign currency assets, 31 March 2015; Official reserve assets and other foreign currency assets, 27 March 2015; Official reserve assets and other foreign currency assets, 20 March 2015; Non-cash Foreign Exchange Market, December 2014; NBM's activity on the interbank market, March 2015; Official reserve assets and other foreign currency assets, 31 January 2015; Official reserve assets and other foreign currency assets, 06 February 2015; NBM's activity on the interbank market, December 2014; Official reserve assets and other foreign currency assets, 20 February 2015; Official reserve assets and other foreign currency assets, 13 February 2015; Balance Sheet on the banking sector, March 2015; Income Statement, March 2015; Official reserve assets and other foreign currency assets, 27 February 2015; Gross External Debt of the RM; Weighted average yields on Government Securities of the RM; Standing Facilities; The structure o f credit portofolio of the banking sector (on branches); The structure of deposits of the banking sector; The structure of credit portofolio of the banking sector (by currency); NBM Money Market Operations; Commercial banks activity on the money market; The structure of credit portofolio of the banking sector (by debtor); Main aggregates of the balance of payments current account, seasonally adjusted; Main aggregates of the balance of payments current account, seasonally adjusted; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted; Required reserves maintained by banks in FCC; External trade in goods of the Republic of Moldova based on the monthly data of the National Bureau of Statistics, seasonally adjusted; Required reserves maintained by banks in MDL; The structure of deposits of the banking sector; The structure of deposits of the banking sector; NBM Money Market Operations; The structure of deposits of the banking sector; Information on financial and economic activities of banks; Average interest rate on interest bearing demand deposits; Average interest rate on interest bearing demand deposits; Average interest rate on interest bearing demand deposits; Cash Foreign Exchange Market; Interest rates related to balances of loans and deposits; Income Statement; Balance Sheet on the banking sector; Cash Foreign Exchange Market; Cash Foreign Exchange Market; Monetary survey; The structure of deposits of the banking sector; Interest rates and volumes related to new loans and bearing demand deposits; Reference interbank market interest rates; The structure o f credit portofolio of the banking sector (on branches); The structure of credit portofolio of the banking sector (by currency); The structure of credit portofolio of the banking sector (by debtor); Commercial banks activity on the money market; Information on financial and economic activities of banks; Interest rates on monetary regulation instruments of NBM; Required reserves maintained by banks in FCC; Income Statement; Income Statement; Income Statement; Cash Foreign Exchange Market; Balance Sheet on the banking sector; Balance Sheet on the banking sector; Balance Sheet on the banking sector; Foreign exchange assets and liabilities of the licensed banks; Official reserve assets and other foreign currency assets; Official Reserve Assets and other foreign currency assets; Money transfers from abroad in favour of individuals through banks of the Republic of Moldova; Short-term net drains of active; Money transfers from abroad in favor of individuals made via the national banking system, seasonally adjusted; Standing Facilities; Output short-term net drains on foreign currency assets; Required reserves maintained by banks in MDL; Weighted average yields on Government Securities of the RM; Memo items; Non-cash Foreign Exchange Market; NBM's activity on the interbank market; NBM's activity on the interbank market; Non-cash Foreign Exchange Market; Official reserve assets and other foreign currency assets; Official reserve assets and other foreign currency assets; Official reserve assets and other foreign currency assets; Official reserve assets and other foreign currency assets; Reference interbank market interest rates; Interest rates on monetary regulation instruments of NBM; Average interest rate on interest bearing demand deposits; Monetary survey¹; Average interest rate on interest bearing demand deposits; Information on financial and economic activities of banks; Information on financial and economic activities of banks; Average interest rate on interest bearing demand deposits; Monetary survey¹; Short-term net drains of active; Money Transfers from Abroad in Favor of Individuals; Money transfers from abroad in favor of individuals; The structure of credit portofolio of the banking sector (by debtor); The structure o f credit portofolio of the banking sector (on branches); The structure of credit portofolio of the banking sector (by currency); Information on financial and economic activities of banks; Required reserves maintained by banks in FCC; NBM Money Market Operations; Required reserves maintained by banks in FCC; Interest rates on monetary regulation instruments of NBM; Commercial banks activity on the money market; Required reserves maintained by banks in MDL; Required reserves maintained by banks in FCC; Monetary survey¹; Interest rates and volumes related to new loans and bearing demand deposits; Interest rates related to balances of loans and deposits; Average interest rate on interest bearing demand deposits; Average interest rate on interest bearing demand deposits; Monetary survey¹; Foreign exchange assets and liabilities of the licensed banks; Commercial banks activity on the money market; Information on financial and economic activities of banks; Weighted average yields on Government Securities of the RM; Money transfers from abroad in favor of individuals; Money Transfers from Abroad in Favor of Individuals; Information on financial and economic activities of banks; The structure of credit portofolio of the banking sector (by currency); Information on financial and economic activities of banks; Standing Facilities; The structure o f credit portofolio of the banking sector (on branches); Interest rates and volumes related to new loans and bearing demand deposits; External trade in goods of the RM; Memo items; Average interest rate on interest bearing demand deposits; The structure of credit portofolio of the banking sector (by debtor); Average interest rate on interest bearing demand deposits; Average interest rate on interest bearing demand deposits; Monetary survey¹; Interest rates related to balances of loans and deposits; Commercial banks activity on the money market; Commercial banks activity on the money market; Base rate applied for long-term; Output short-term net drains on foreign currency assets; Short-term net drains of active; Interest rates on monetary regulation instruments of NBM; Gross External Debt of the RM; Foreign exchange assets and liabilities of the licensed banks; NBM Money Market Operations; Required reserves maintained by banks in MDL; Required reserves maintained by banks in FCC; Commercial banks activity on the money market; Commercial banks activity on the money market; Cash Foreign Exchange Market; Information on financial and economic activities of banks; Official reserve assets and other foreign currency assets; Average interest rate on interest bearing demand deposits; Average interest rate on interest bearing demand deposits; Average interest rate on interest bearing demand deposits; Commercial banks activity on the money market; Gross External Debt of the RM; Money Transfers from Abroad in Favor of Individuals; Standing Facilities; Weighted average yields on Government Securities of the RM; Reference interbank market interest rates; Interest rates and volumes related to new loans and bearing demand deposits; Interest rates related to balances of loans and deposits; Monetary survey¹; Interest rates and volumes related to new loans and bearing demand deposits; The structure o f credit portofolio of the banking sector (on branches); The structure of credit portofolio of the banking sector (by debtor); The structure of credit portofolio of the banking sector (by currency); Non-cash Foreign Exchange Market; NBM's activity on the interbank market; Information on financial and economic activities of banks; Commercial banks activity on the money market; Commercial banks activity on the money market; Main aggregates of the balance of payments current account; Average interest rate on interest bearing demand deposits; Money Transfers from Abroad in Favor of Individuals; Average interest rate on interest bearing demand deposits; Commercial banks activity on the money market; Official Reserve Assets and other foreign currency assets; Memo items; Short-term net drains of active; Output short-term net drains on foreign currency assets; Commercial banks activity on the money market; NBM Money Market Operations; Official reserve assets and other foreign currency assets; Interest rates on monetary regulation instruments of NBM; Official reserve assets and other foreign currency assets; Reference interbank market interest rates; Required reserves maintained by banks in FCC; Commercial banks activity on the money market; Interest rates and volumes related to new loans and bearing demand deposits; Short-term net drains of active; Output short-term net drains on foreign currency assets; Official Reserve Assets and other foreign currency assets; Interest rates on monetary regulation instruments of NBM; Commercial banks activity on the money market; Official reserve assets and other foreign currency assets; Official reserve assets and other foreign currency assets; Official reserve assets and other foreign currency assets; Memo items; Reference interbank market interest rates; Money Transfers from Abroad in Favor of Individuals; Money Transfers from Abroad in Favor of Individuals; Standing Facilities; Weighted average yields on Government Securities of the RM; Reference interbank market interest rates; Interest rates on monetary regulation instruments of NBM; Required reserves maintained by banks in MDL; Money transfers from abroad in favor of individuals; External trade in goods of the RM; Main aggregates of the balance of payments current account; Money Transfers from Abroad in Favor of Individuals; Non-cash Foreign Exchange Market; Official reserve assets and other foreign currency assets; NBM's activity on the interbank market; NBM's activity on the interbank market; Gross External Debt of the RM; Non-cash Foreign Exchange Market; Official reserve assets and other foreign currency assets; Average interest rate on interest bearing demand deposits; Monetary survey¹; Required reserves maintained by banks in MDL; Required reserves maintained by banks in FCC; Interest rates and volumes related to new loans and bearing demand deposits; Interest rates related to balances of loans and deposits; Foreign exchange assets and liabilities of the licensed banks; Interest rates related to balances of loans and deposits; Official reserve assets and other foreign currency assets; Average interest rate on interest bearing demand deposits; Average interest rate on interest bearing demand deposits; Information on financial and economic activities of banks; Average interest rate on interest bearing demand deposits; Information on financial and economic activities of banks; Cash Foreign Exchange Market; Reference interbank market interest rates; The structure o f credit portofolio of the banking sector (on branches); The structure o f credit portofolio of the banking sector (on branches); Activity indicators within bankcard payments system of the RM; Balance Sheet on the banking sector; Income Statement; The structure of deposits of the banking sector; The structure of credit portofolio of the banking sector (by debtor); The structure of credit portofolio of the banking sector (by currency); Activity indicators within bankcard payments system of the RM; Information on financial and economic activities of banks; Information on financial and economic activities of banks; Information on financial and economic activities of banks; Information on financial and economic activities of banks; Information on financial and economic activities of banks; Information on financial and economic activities of banks; Information on financial and economic activities of banks; Information on financial and economic activities of banks; Activity indicators within bankcard payments system of the RM; Activity indicators within bankcard payments system of the RM; Activity indicators within bankcard payments system of the RM; Activity indicators within bankcard payments system of the RM; Activity indicators within bankcard payments system of the RM; Information on financial and economic activities of banks; Структура кредитного портфеля по банковскому сектору (по категориям дебиторов); Информаци�� о финансово-экономической деятельности банков РМ; Информация о финансово-экономической деятельности банков РМ; Информация о финансово-экономической деятельности банков РМ; Информация о финансово-экономической деятельности банков РМ; Информация о финансово-экономической деятельности банков РМ; Информация о финансово-экономической деятельности банков РМ; Информация о финансово-экономической деятельности банков РМ; Информация о финансово-экономической деятельности банков РМ; Информация о фи��ансово-экономической деятельности банков РМ; Структура кредитного портфеля по банковскому сектору (по валютам); Показатели деятельности системы платежей по банковским карточкам РМ; Показатели деятельности системы платежей по банковским карточкам РМ; Показатели деятельности системы платежей по банковским карточкам РМ; Показатели деятельности системы платежей по банковским карточкам РМ; Показатели деятельности системы платежей по банковским карточкам РМ; Показатели деятельности системы платежей по банковским карточкам РМ; NBM's activity on the interbank market; Information on financial and economic activities of banks; Reference interbank market interest rates; Information on financial and economic activities of banks; Information on financial and economic activities of banks; NBM's activity on the interbank market; The structure of credit portofolio of the banking sector (by debtor); NBM Money Market Operations; Reference interbank market interest rates; The structure of credit portofolio of the banking sector (by currency); The structure of deposits of the banking sector; The structure of deposits of the banking sector; Income Statement; Commercial banks activity on the money market; The structure of deposits of the banking sector; Interest rates on monetary regulation instruments of NBM; Interest rates on monetary regulation instruments of NBM; Interest rates on monetary regulation instruments of NBM; Standing Facilities; Base rate applied for long-term; Weighted average yields on Government Securities of the RM; Official reserve assets and other foreign currency assets; Balance Sheet on the banking sector; Reference interbank market interest rates; Coordinated Direct Investment Survey by country; Coordinated Direct Investment Survey by country; Coordinated Direct Investment Survey by country; Coordinated Direct Investment Survey by country; Coordinated Direct Investment Survey by country; Coordinated Direct Investment Survey by country; Coordinated Direct Investment Survey by country; Balance Sheet on the banking sector; Weighted average yields on Government Securities of the RM; Cash Foreign Exchange Market; Official reserve assets and other foreign currency assets; Official reserve assets and other foreign currency assets; Official reserve assets and other foreign currency assets; Official reserve assets and other foreign currency assets; Non-cash Foreign Exchange Market; Foreign exchange assets and liabilities of the licensed banks; Foreign exchange assets and liabilities of the licensed banks; NBM's activity on the interbank market; Commercial banks activity on the money market; Piaţa valutara fără numerar; Activitatea BNM pe piaţa valutară; Activele şi obligaţiunele valutare ale băncilor licenţiate; Activele oficiale de rezervă şi alte active valutare; Activele oficiale de rezervă şi alte active valutare; Activele oficiale de rezervă şi alte active valutare; Coordinated Direct Investment Survey by industry; Coordinated Direct Investment Survey by industry; Coordinated Direct Investment Survey by country; Required reserves maintained by banks in FCC; Information on financial and economic activities of banks; NBM's activity on the interbank market; Non-cash Foreign Exchange Market; Required reserves maintained by banks in FCC; Interest rates related to balances of loans and deposits; Interest rates and volumes related to new loans and bearing demand deposits; Interest rates and volumes related to new loans and bearing demand deposits; Coordinated Direct Investment Survey by country; Interest rates and volumes related to new loans and bearing demand deposits; NBM Money Market Operations; The structure o f credit portofolio of the banking sector (on branches); Monetary survey¹; Gross External Debt of the RM; Reference interbank market interest rates; Coordinated Direct Investment Survey by country; Coordinated Direct Investment Survey by industry; Coordinated Direct Investment Survey by country; Reference interbank market interest rates; Official reserve assets and other foreign currency assets; Interest rates and volumes related to new loans and bearing demand deposits; Information on financial and economic activities of banks; Interest rates and volumes related to new loans and bearing demand deposits; Average interest rate on interest bearing demand deposits; Interest rates related to balances of loans and deposits; Commercial banks activity on the money market; Information on financial and economic activities of banks; Required reserves maintained by banks in MDL; Weighted average yields on Government Securities of the RM; Reference interbank market interest rates; Interest rates and volumes related to new loans and bearing demand deposits; Main aggregates of the balance of payments current account; Interest rates and volumes related to new loans and bearing demand deposits; Interest rates and volumes related to new loans and bearing demand deposits; Coordinated Direct Investment Survey by country; Balance Sheet on the banking sector; NBM monetary survey¹; Memo items; Interest rates related to balances of loans and deposits; Average interest rate on interest bearing demand deposits; Interest rates related to balances of loans and deposits; Coordinated Direct Investment Survey by country; Interest rates and volumes related to new loans and bearing demand deposits; Interest rates and volumes related to new loans and bearing demand deposits; Short-term net drains of active; Memo items; Output short-term net drains on foreign currency assets; Foreign exchange assets and liabilities of the licensed banks; Short-term net drains of active; Output short-term net drains on foreign currency assets; Official Reserve Assets and other foreign currency assets; Required reserves maintained by banks in FCC; Required reserves maintained by banks in MDL; Income Statement; Required reserves maintained by banks in FCC; Required reserves maintained by banks in FCC; Required reserves maintained by banks in FCC; Foreign exchange assets and liabilities of the licensed banks; Purchases/sales against Moldovan lei of major currencies on the domestic cash foreign exchange market (million USD); Commercial banks activity on the money market; Standing Facilities; Money Transfers from Abroad in Favor of Individuals; Foreign exchange assets and liabilities of the licensed banks; Purchases/sales against Moldovan lei of major currencies on the domestic cash foreign exchange market (million USD); Money Transfers from Abroad in Favor of Individuals; Money Transfers from Abroad in Favor of Individuals; Base rate applied for long-term; Required reserves maintained by banks in MDL; Open Foreign Exchange Position of commercial banks (end of period balance, million USD); Coordinated Direct Investment Survey by country; Money Transfers from Abroad in Favor of Individuals; Money Transfers from Abroad in Favor of Individuals; Money Transfers from Abroad in Favor of Individuals; Money Transfers from Abroad in Favor of Individuals; Commercial banks activity on the money market; Money transfers from abroad in favor of individuals; Main aggregates of the balance of payments current account; Weighted average yields on Government Securities of the RM; Weighted average yields on Government Securities of the RM; Weighted average yields on Government Securities of the RM; Main aggregates of the balance of payments current account; External trade in goods of the RM; Money Transfers from Abroad in Favor of Individuals; Money Transfers from Abroad in Favor of Individuals; Money Transfers from Abroad in Favor of Individuals; Money Transfers from Abroad in Favor of Individuals; Money Transfers from Abroad in Favor of Individuals; Money Transfers from Abroad in Favor of Individuals; Money Transfers from Abroad in Favor of Individuals; Money Transfers from Abroad in Favor of Individuals; Coordinated Direct Investment Survey by industry; Open Foreign Exchange Position of commercial banks; Open Foreign Exchange Position of commercial banks; Open Foreign Exchange Position of commercial banks; The structure of credit portofolio of the banking sector (by currency); The structure of credit portofolio of the banking sector (by currency); The structure of credit portofolio of the banking sector (by currency); Open Foreign Exchange Position of commercial banks; Weighted average yields on Government Securities of the RM; The structure of deposits of the banking sector; Weighted average yields on Government Securities of the RM; Weighted average yields on Government Securities of the RM; Balance sheet; Balance sheet; Balance sheet; Weighted average yields on Government Securities of the RM; Weighted average yields on Government Securities of the RM; Weighted average yields on Government Securities of the RM; Weighted average yields on Government Securities of the RM; Information on financial and economic activities of banks; Weighted average yields on Government Securities of the RM; Open Foreign Exchange Position of commercial banks; Information on financial and economic activities of banks; The structure of credit portofolio of the banking sector (by debtor); Standing Facilities; The structure of credit portofolio of the banking sector (by currency); The structure of credit portofolio of the banking sector (by currency); The structure of credit portofolio of the banking sector (by currency); The structure of credit portofolio of the banking sector (by currency); Cash Foreign Exchange Market; Cash Foreign Exchange Market; Standing Facilities; Commercial banks activity on the money market; Standing Facilities; Standing Facilities; Gross External Debt of the RM; Standing Facilities; Standing Facilities; Standing Facilities; Standing Facilities; Standing Facilities; Standing Facilities;