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AMD : 12 month T-bill 6 month T-bill / 15 yrs fixed
ARS : 30 day 90 day 180 day 365 day BAIBOR / 15 yrs fixed
AZN : 3 month and 6 month T-bill rates / 4.5 yrs fixed
BAM : EUR swap curve with risk premium / 15 yrs fixed
BDT : 91 day 182 day 364 day T-bills / 15 yrs fixed
BOB : 91 day 182 day Letras del Tesoro en Moneda Nacional / 15 yrs fixed
BRL : CDI, 30-day 90-day 180-day 360-day Pre-ID / 15 yrs fixed
BWP : 91-day Bank of Botswana Certificate (BoBC) / 15 yrs fixed
BYR : Floating not available. Only fixed based on model-based pricing / #N/A
CLP : 1-day TCPI Tasa de Interés Promedio Interbancaria a 1 dia (TIPI) / 15 yrs fixed
CNY : 1-month, 3-month, 6-month and 1-year SHIBOR / 15 yrs fixed
COP : 90-day, 180-day and 360-day DTF / 15 yrs fixed
CRC : Tasa Basica (6 month) / 7.5 yrs fixed
DOP : Tasa de interes pasiva promedio ponderada de los Bancos Multiples (TPPP) / 5 yrs fixed
EGP : 3-month 6-month 1-year T-bills / 15 yrs fixed
GEL : 182-day and 364-day T-bill rates / 3 yrs fixed
GHS : 91-day 182-day and 1-year T-bill / 4.5 yrs fixed
GTQ : Floating not available. Only fixed based on model-based pricing / #N/A
HNL : 91-day and 182-day T-bills rates / only floating
HRK : 1-month, 3-month, 6-month, 1year ZIBOR / 15 yrs fixed
IDR : 1-month, 3-month, 6-month, 12-month JIBOR OR 1-month, 3-month SBI rate / 15 yrs fixed
INR : 1-mo 3-mo MIBOR / 15 yrs fixed
JMD : 30-day Money Market Rate / 15 yrs fixed
JOD : 1-mo, 3-mo, 6-mo, 1yr JODIBOR / 4.5 yrs fixed
KES : 91-day 182-day T-bills / 15 yrs fixed
KGS : 3-month and 6-month and 1-year T-bills / 3 yrs fixed
KHR : Floating not available. Only fixed based on model-based pricing / #N/A
KZT : 3-month KazPrime / 15 yrs fixed
LKR : 1-month, 3-month, 6-month, 1year SLIBOR / 15 yrs fixed
MAD : No benchmark available. Only fixed / 15 yrs fixed
MDL : Average of 1-month, 3-month, 6-month, 12-month CHIBID and CHIBOR / 1.5 yrs fixed
MGA : 4-week, 12-week, 24-week, 52-week T-bills / only floating
MKD : 3-month and 6-month T-bills / only floating
MNT : Average of the 1-month, 3-month, 6-month, and 1-year of UBIBID and UBIBOR / 1.5 yrs fixed
MRO : 4-week and 13-week T-bills / only floating
MXN : 28-day 91-day TIIE / 15 yrs fixed
MYR : 1-month, 3-month, 6-month, and 12-month KLIBOR / 15 yrs fixed
MZN : 91-day, 182-day, 364-day T-bills / only floating
NGN : 91-day, 182-day, 364-day T-bills / 13 yrs fixed
NIO : 1-month, 3-month, 6-month, 1year rates of Tasas Pasivas Cordobas 3-month, 6-month, and 1-year average monthly rates in NIO / only floating
NPR : Floating rate not available (only fixed rate). Pricing is based on INR curve plus risk premium / 15 yrs fixed
PEN : 1-month, 3-month, 6-month, 1year LIMABOR in PEN / 15 yrs fixed
PHP : 1-month 3-month 6-month PHIBOR / 15 yrs fixed
PKR : 3-month, 6-month, and 12-month KIBOR / 15 yrs fixed
PYG : PYG 180 to 365 days, monthly average rate / #N/A
RSD : 1-month, 3-month, 6-month BELIBOR / only floating
RWF : 13 week T-bill rates. Fixed up to 4Y based on modelling / 4 yrs fixed
THB : 1-month 3-month 6-month 1-year BIBOR / 15 yrs fixed
TND : Taux Moyen Mensuel du Marché Monétaire (TMM) / 15 yrs fixed
TRY : 1-month 3-month 6-month 1-year TRLIBOR / 15 yrs fixed
TZS : 91-day, 182-day and 364-day T-bills / 15 yrs fixed
UAH : Kievprime is under review as potential benchmark. TCX can only quote fixed in UAH for the time being. / #N/A
UGX : 91-day 182-day 364-day T-bills / 15 yrs fixed
UYU : 30-day, 90-day, 180-day, and 360-day ITLUP / 4.5 yrs fixed
VND : 1-month 3-month 6-month VNIBOR / 15 yrs fixed
XAF : Floating rate not available (only fixed rate). Pricing is done based on EUR curve plus risk premium / 15 yrs fixed
XOF : Floating rate not available (only fixed rate) / 15 yrs fixed
YER : 3-month, 6-month and 1-year weighted average T-bill rates / only floating
ZAR : 1-month 3-month 6-month 12-month JIBAR / 15 yrs fixed
ZMK : 91-day, 182-day and 364-day T-bills / 15 yrs fixed