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  • Schedule of reception of citizens by the Executive Board of the National Bank of Moldova.
    The registration of applicants for an audience is carried out based on a written request on the subject addressed.


  • Anca Dragu, Governor

    1st Wednesday of the month: 14.00-16.00.


  • Petru Rotaru, First Deputy Governor

    2nd Wednesday of the month: 14.00-16.00.


  • Tatiana Ivanicichina, Deputy Governor

    3rd Wednesday of the month: 14.00-16.00.


  • Constantin Șchendra, Deputy Governor

    4th Wednesday of the month: 14.00-16.00.


  • Mihnea Constantinescu, Deputy Governor

    5th Wednesday of the month: 14.00-16.00.

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La 30 aprilie 2015, activele oficiale de rezervă au constituit 1,760.57 mil. dolari SUA, în creştere cu 8.31 mil. dolari SUA în comparaţie cu 31 martie 2015, când acestea au constituit 1,752.26 mil. dolari SUA

Официальные резервные активы на 30 апреля 2015 года исчислялись на уровне 1,760.57 млн. долларов США, на 8.31 млн. долларов США больше по сравнению с 31 марта 2015, когда они составляли 1,752.26 млн. долларов США.

Сохраняется базиснaя ставка по основным операциям денежной политики на краткосрочный период на текущем уровне в размере 13.5% годовых.

Mainatining the base rate applied on main short-term monetary policy operations at the current level of 13.5 percent annually.

В марте  2015 года денежная база снизилась на  1251.3 млн. леев (4.8%)  по сравнению с февралем 2015 года и составила 24622.1 млн. леев.

In the first quarter of 2015, the evolution of the indicators of the banking sector remains as a whole heavily distorted by the activities of the banks under special administration (B.C. ”BANCA SOCIALĂ” S.A., Banca de Economii S.A. and B.C. „UNIBANK” S.A.).

 

Se menţine rata de bază aplicată la principalele operaţiuni de politică monetară pe termen scurt la nivelul actual de 13.5 la sută anual.

Информация о валютных активах и обязательствах лицензированных банков составляется на основании отчетов об открытой валютной позиции банка.

Informaţia privind activele şi obligaţiunile valutare ale băncilor licenţiate este întocmită în baza rapoartelor privind poziţia valutară deschisă a băncii, prezentate de către băncile licenţiate.

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