Large fluctuations in rates on corporates foreign currency deposits

During the last few years, banks' interest rates on corporate deposits in foreign currency have exhibited large fluctuations compared with interest rates on deposits in Danish kroner. Interest rates on foreign currency deposits have been significantly reduced since September 2019 and have been relatively stable since May 2020.
Subject Financial statistics
Type Banking and mortgage lending, interests
Period July 2020
Published 27 August 2020

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