As a member of Danske Bank Group, the Bank can offer competitive deposit rates in RUB, EUR, USD, DKK, SEK, NOK and in fact in all other convertible currencies.
Above an amount equivalent to EUR 50,000, we accept deposits for any periods starting from overnight (O/N), on negotiable terms based on the current market rates. The rates will be agreed on with the Treasury department of the Bank.
Regarding other interest rate hedging instruments such as Forward Rate Agreements and Interest Rate Swaps, please contact our Treasury department.
Fixed term deposits require an additional agreement between the bank and the client. For further details, please contact our Corporate Banking department.