ANNEX-i


Interbank USD/BDT Rate:

Buying Rate:84.90

Selling Rate:84.90

Currency Exchange Rate for trade finance:

Buying Rate Currency selling rate
83.95 USD 84.95
108.7814 GBP 113.3816
91.5381 EUR 96.1744
0.7682 JPY 0.8124

Forward Rate:

Currency 01 month
Buying rate Selling rate
USD 82.8619 86.0051

Interest Rate for Deposits:

Currency tenor Rate
USD 01 month 1.00

Cash Currency Rates:

Buying Rate Currency selling rate
86.00 USD 88.00
106.7814 GBP 113.3185
89.5381 EUR 96.0633

Exchange Rate for Expatriate Bangladeshies:

Currency Buying Rate
High Low
USD 84.95 84.95
GBP 111.80 111.80
EUR 94.25 94.25

N.B:Above Exchange rate is purely indicative,for any transaction please contact with our agents in overseas


ANNEX-ii


Bond/Bill Rate for Interbank & Customers:

Issue Date Security Bid/Ask Maturity
28 Day T-Bill
91 Day T-Bill
182 Day T-Bill
364 Day T-Bill
05 Years Bonds
10 Years Bonds
15 Years Bonds
20 Years Bonds

ANNEX-iii


Interbank Deposit Rate: 01/26/2020

Tenor Bid/Ask
Overnight Rate 5.00
01 Week 5.75
02 Week 6
01 Month 7
03 Month 7.5
01 Year 8