spb/countryatlas
Public
TypeScript 57%
Python 38.6%
JavaScript 3.6%
CSS 0.6%
1FREQ,REF_AREA,UNIT_MEASURE,UNIT_MULT,TIME_FORMAT,COMPILATION,DECIMALS,SOURCE_REF,SUPP_INFO_BREAKS,TITLE,TIME_PERIOD,OBS_VALUE,OBS_STATUS,OBS_CONF,OBS_PRE_BREAK2M,AR,368,0,,"From 10 July 2025 onwards: no policy rate adopted; from 22 July 2024 to 9 July 2025: liquidity absorption rate for treasury bills; from 18 December 2023 to 21 July 2024: Overnight Reverse Repos Interest Rate; from 6 January 2022 to 17 December 2023: 28-day Liquidity Bills (LELIQ) interest rate; from 21 January 2020 to 5 January 2022: weighted average interest rate of minimum term LELIQ issued at the last auction process; from 1 October 2018 to 20 January 2020, average interest rate of the accepted offers for the liquidity bills; from 8 August 2018 to 30 September 2018: 7 days liquidity bills interest rate; from 2 January 2017 to 7 August 2018, median of the repo rate corridor; from 16 December 2015 to 1 January 2017: interest rate in BCRA bills (LEBACs), 35 days LEBAC auction; from 29 Jan 2014 to 15 Dec 2015: CB issues, 3 months; from 11 Sep 2009 to 28 Jan 2014:7-day reverse repo operations; before 10 Sep 2009, refer to https://data.bis.org/topics/CBPOL",4,Central Bank of Argentina,"From 10 July 2025 onwards, the monetary policy of the Central Bank of Argentina is based on controlling monetary aggregates, eliminating the concept of a ""monetary policy interest rate"".", Central bank policy rates - Argentina - Monthly - End of period,2001-12,NaN,M,F,3M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2025-01,3,A,F,4M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2025-02,3,A,F,5M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2025-03,2.75,A,F,6M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2025-04,2.75,A,F,7M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2025-05,2.75,A,F,8M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2025-06,2.75,A,F,9M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2025-07,2.75,A,F,10M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2025-08,2.75,A,F,11M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2025-09,2.5,A,F,12M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2025-10,2.25,A,F,13M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2025-11,2.25,A,F,14M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2025-12,2.25,A,F,15M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2026-01,2.25,A,F,16M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2026-02,2.25,A,F,17M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2026-03,2.25,A,F,18M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2026-04,2.25,A,F,19M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2026-05,2.25,A,F,20M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2026-06,2.25,A,F,21M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2026-07,2.25,A,F,22M,CA,368,0,,"From 1 Jun 1994 onwards: Central Bank target, overnight rate; from 27 Jul 1960 to 31 May 1994: official bank rate.",4,Bank of Canada,"In Jun 1994 the Bank of Canada (BoC) began shifting emphasis from the bank rate to the target for the overnight rate as its key monetary policy instrument. In Feb 1999 the target for the overnight rate was defined as the midpoint of the band, or 25 basis points below the bank rate. In May 2001 the BoC began emphasizing the target as its key interest rate in its communications with the public.", Central bank policy rates - Canada - Monthly - End of period,2026-08,2.25,A,F,23M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2025-01,3,A,F,24M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2025-02,2.75,A,F,25M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2025-03,2.5,A,F,26M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2025-04,2.25,A,F,27M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2025-05,2.25,A,F,28M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2025-06,2,A,F,29M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2025-07,2,A,F,30M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2025-08,2,A,F,31M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2025-09,2,A,F,32M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2025-10,2,A,F,33M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2025-11,2,A,F,34M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2025-12,2,A,F,35M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2026-01,2,A,F,36M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2026-02,2,A,F,37M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2026-03,2,A,F,38M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2026-04,2,A,F,39M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2026-05,2,A,F,40M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2026-06,2.25,A,F,41M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2026-07,2.25,A,F,42M,XM,368,0,,"From 18 Sep 2024 onwards: official central bank steering rate is the deposit facility rate, fixed rate; from 15 Oct 2008 to 17 Sep 2024: official central bank liquidity providing, main refinancing operations, fixed rate; from 28 Jun 2000 to 14 Oct 2008: official central bank liquidity providing, main refinancing operations, minimum bid rate; from 5 Jan 1999 to 27 Jun 2000: official central bank liquidity providing, main refinancing operations, fixed rate.",4,European Central Bank,, Central bank policy rates - Euro area - Monthly - End of period,2026-08,2.25,A,F,43M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2025-01,4.375,A,F,44M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2025-02,4.375,A,F,45M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2025-03,4.375,A,F,46M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2025-04,4.375,A,F,47M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2025-05,4.375,A,F,48M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2025-06,4.375,A,F,49M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2025-07,4.375,A,F,50M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2025-08,4.375,A,F,51M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2025-09,4.125,A,F,52M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2025-10,3.875,A,F,53M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2025-11,3.875,A,F,54M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2025-12,3.625,A,F,55M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2026-01,3.625,A,F,56M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2026-02,3.625,A,F,57M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2026-03,3.625,A,F,58M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2026-04,3.625,A,F,59M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2026-05,3.625,A,F,60M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2026-06,3.625,A,F,61M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2026-07,3.625,A,F,62M,US,368,0,,From 19 Dec 1985 onwards: mid-point of the Federal Reserve target rate; from 1 Jul 1954 to 18 Dec 1985: US Fed Funds effective rate.,4,US Federal Reserve System,, Central bank policy rates - United States - Monthly - End of period,2026-08,3.625,A,F,63