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Standard Deposit

  • Deposit period: from 30 to 1096 days*;

  • Currency: KZT, USD, EUR, RUB;

  • MInimun deposit amount: from KZT 150,000, USD 850, EUR 600, RUB 29,500;

  • Maximum deposit amount: 100 bln/equivalent in other currency;

  • Payment of interest: quarted/ at maturity;

  • Additional contributions: no;

  • Partial withdrawals; no;

  • Premature withdrawal: according to effective rates for premature withdrawal;

  • Extenson: yes;

  • If under the laws of the Republic of Kazakhstan the depositor is the payer of the income tax, the Bank, when paying the interest to the Depositor, withholds income tax at source of payment in accordance with the legisltaion of the Republic of Kazakhstan and with the purpose of further transfer to the budget.

Term per days

Standard E-Deposit

30-90

5,75% ( 5,9%*)

91-120

5,75% ( 5,9%*)

121-150

6,50% ( 6,7%*)

151-180

7,00% ( 7,2%*)

181-270

7,50% ( 7,8%*)

271-365

7,50% ( 7,8%*)

366-732

7,75% ( 8,0%*)

733-1096

7,75% ( 8,0%*)

*Effective Interest Rate

Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №54 §1 dated August 13, 2020.

Term per days

Standard E-Deposit

30-90

0,10% ( 0,1%*)

91-120

0,10% ( 0,1%*)

121-150

0,13% ( 0,1%*)

151-180

0,15% ( 0,2%*)

181-270

0,18% ( 0,2%*)

271-365

0,20% ( 0,2%*)

366-732

0,20% ( 0,2%*)

733-1096

0,20% ( 0,2%*)

*Effective Interest Rate

Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №54 §1 dated August 13, 2020.

Term per days

Standard E-Deposit

30-90

0,00 % ( 0,0%*)

91-120

121-150

151-180

181-270

271-365

366-732

733-1096

*Effective Interest Rate

Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №54 §1 dated August 13, 2020.

Term per days

Standard E-Deposit

30-90

1,75% ( 1,8%*)

91-120

1,75% ( 1,8%*)

121-150

2,00% ( 2,0%*)

151-180

2,00% ( 2,0%*)

181-270

2,00% ( 2,0%*)

271-365

2,25% ( 2,3%*)

366-732

2,25% ( 2,3%*)

733-1096

2,25% ( 2,3%*)

*Effective Interest Rate

Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №54 §1 dated August 13, 2020.

Term per days

Standard

30-90

5,50% ( 5,6%*)

91-120

5,50% ( 5,6%*)

121-150

6,00% ( 6,1%*)

151-180

6,50% ( 6,7%*)

181-270

7,00% ( 7,2%*)

271-365

7,00% ( 7,2%*)

366-732

7,25% ( 7,5%*)

733-1096

7,25% ( 7,5%*)

*Effective Interest Rate

Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №54 §1 dated August 13, 2020.

Term per days

Standard

30-90

0,05% ( 0,0%*)

91-120

0,05% ( 0,0%*)

121-150

0,08% ( 0,0%*)

151-180

0,10% ( 0,1%*)

181-270

0,13% ( 0,1%*)

271-365

0,10% ( 0,1%*)

366-732

0,15% ( 0,2%*)

733-1096

0,15% ( 0,2%*)

*Effective Interest Rate

Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №54 §1 dated August 13, 2020.

Term per days

Standard

30-90

0% ( 0,0%*)

91-120

121-150

151-180

181-270

271-365

366-732

733-1096

*Effective Interest Rate

Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №54 §1 dated August 13, 2020.

Term per days

Standard

30-90

1,50% ( 1,5%*)

91-120

1,50% ( 1,5%*)

121-150

1,75% ( 1,8%*)

151-180

1,75% % ( 1,8%*)

181-270

1,75% % ( 1,8%*)

271-365

2,00% % ( 2,0%*)

366-732

2,00% ( 2,0%*)

733-1096

2,00% ( 2,0%*)

*Effective Interest Rate

Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №54 §1 dated August 13, 2020.

Term per days

Standard

30-90

5,50% ( 5,6%*)

91-120

5,50% ( 5,6%*)

121-150

6,00% ( 6,1%*)

151-180

6,50% ( 6,7%*)

181-270

7,00% ( 7,2%*)

271-365

7,00% ( 7,2%*)

366-732

7,25% ( 7,5%*)

733-1096

7,25% ( 7,5%*)

*Effective Interest Rate

Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №54 §1 dated August 13, 2020.

Term per days

Standard

30-90

0,05% ( 0,0%*)

91-120

0,05% ( 0,0%*)

121-150

0,08% ( 0,0%*)

151-180

0,10% ( 0,1%*)

181-270

0,13% ( 0,1%*)

271-365

0,10% ( 0,1%*)

366-732

0,15% ( 0,2%*)

733-1096

0,15% ( 0,2%*)

*Effective Interest Rate

Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №54 §1 dated August 13, 2020.

Term per days

Standard

30-90

0% ( 0,0%*)

91-120

121-150

151-180

181-270

271-365

366-732

733-1096

*Effective Interest Rate

Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №54 §1 dated August 13, 2020.

Term per days

Standard

30-90

0,60% ( 0,6%*)

91-120

0,70% ( 0,7%*)

121-150

0,70% ( 0,7%*)

151-180

0,90% ( 0,9%*)

181-270

0,90% ( 0,9%*)

271-365

0,90% ( 0,9%*)

366-732

0,90% ( 0,9%*)

733-1096

0,90% ( 0,9%*)

*Effective Interest Rate

Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №54 §1 dated August 13, 2020.

Interest rates (% per annum) at early deposit withdrawal depending on actual period of placing money on deposit.

Currency

Term per days

Up to 90 days inclusive

From 91 to 180 days inclusive

From181 to 365 days inclusive

From 366 days and more

KZT

0,00%

0,10%

1,00%

2,00%

USD

0,00%

0,00%

0,00%

0,00%

EUR

0,00%

0,00%

0,00%

0,00%

RUB

0,00%

0,05%

0,50%

1,00%

*Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №31 dated August 03, 2017

Deposit currency

Basic interest rate, % per annum

   

KZT

0,25%

 

USD

0,00%

 

EUR

0,00%

 

RUB

0,10%

 
*Ground: Decision of Asset and Liability Management Committee of SB Sberbank JSC №29 dated August 03, 2017

 

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