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STANDARD BUSINESS DEPOSIT

Piraeus Bank offers a wide range of saving products with competitive terms and conditions of placement of funds for each term and currency of the deposit.

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GENERAL TERMS AND CONDITIONS
Deposit "Standard" rates
UAH USD EUR

Term

From 100 000

Monthly interest payment

Payment of interest at the end of the term

30-57 days

 

12,00%

58-84 days

11,50%

12,00%

85-92 days

11,50%

12,00%

175-182 days

11,50%

12,00%

265-272 days

11,50%

12,00%

367-374 days

11,50%

12,00%

Term

From 10 000

Monthly interest payment

New contracts will not be opened from 01.01.2023

Payment of interest at the end of the term

30-57 days

 

0,005%

58-84 days

 

0,01%

85-92 days

0,01%

0,05%

175-182 days

0,05%

0,1%

265-272 days

0,10%

0,25%

367-374 days

0,50%

0,75%

Term

From 10 000

Monthly interest payment

New contracts will not be opened from 01.01.2023

Payment of interest at the end of the term

30-57 days

 

0,00%

58-84 days

 

0,005%

85-92 days

0,01%

0,01%

175-182 days

0,01%

0,05%

265-272 days

0,05%

0,10%

367-374 days

0,30%

0,50%

PIRAEUS BANK

is a powerful international banking group, so placing a deposit with our Bank you can always be sure of its security and guaranteed profitability.
In Ukraine, Piraeus Bank has the highest deposit reliability rating (“5”) assigned by the Credit-Rating independent rating agency, which describes the bank’s capacity to make timely and full payments on deposits.

 

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