To homepage
Rus
Homepage
Feedback
Search and site map

Deposits in foreign currencies (EUR)

Conditions of the promotional campaign:

    Every depositor who opens an account “Classic” during the Promotional Campaign for the maturity term from 6 up to 24 months is provided a unique chance to insure his money. Since that you can feel more confident in your future and in the ability of Kreditprombank to save your money!

NEW DEPOSIT SYSTEM OF KREDITPROMBANK

Loyalty programme of Kreditprombank
    Additional bonuses +0,20% or +0,5% to the existing interest rate in one of the following cases:
  • for private persons - pensioners:

    - who receive pension through the accounts of OJSC "Kreditprombank": when open term deposits in national and foreign currencies (except deposit "NO LIMITS" and deposits in banking metals). The size of bonus is 0,5%;

    - who do not receive pension through the accounts of OJSC "Kreditprombank" (subject to submission of pension certificate executed pursuant to the current Law of Ukraine) - when open term deposits in national and foreign currencies (except deposits "Pension", "NO LIMITS" and deposits in banking metals). The size of bonus is 0,2%;

  • for permanent depositors of Kreditprombank the size of bonus is 0,2%:

    - in the event of reopening* for the new tenor of term deposits in national and foreign currencies (except deposit "NO LIMITS" and deposits in banking metals) on maturity;

    - in the event of opening of any term deposit in national and foreign currencies (except deposit "NO LIMITS" and deposits in banking metals) subject to the condition that at the moment of contract signing the depositor already has funds placed in Kreditprombank network;

  • for provate persons who open deposits in newly opened outlets of Kreditprombank within 3 monthes from the moment of the outlet opening, in the event of opening of any term deposit in national and foreign currencies (except deposit "NO LIMITS" and deposits in banking metals)

*replacement of deposit means a transaction of deposit amount return (closing of agreement) on the maturity day of term bank deposit or later, with simultaneous (on the same day) placement of a new deposit for amount not less than equivalent of the balance on deposit account from the money is returned in the same or other currency


   TYPES OF DEPOSITS IN FOREIGN CURRENCY (EURO)
DepositMain conditions of deposit
"NO LIMITS"**
Demand deposit
  • Term of deposit - unlimited;
  • Interest payment - monthly (in case of additional agreement - monthly interest capitalization);
  • Amount of crediting and withdrawal is not limited
CLASSIC
"Simple terms - material income"

Standard deposit
  • term 1, 3, 6, 9, 12 + 2 days, 18 months
  • interest payment: monthly // quarterly
  • without replenishment
SUPERPRACTICAL
"Free funds - additional income"

Deposit with replenishment opportunities
  • term 7, 14 days; 1, 3, 6, 9, 12 + 2 days, 18 months
  • interest payment: on maturity // monthly // quarterly
  • with replenishment not later than 1 month prior the maturity
CAPITAL
"Interest works - maximum income"
Deposit with quarterly capitalization and replenishment opportunities
  • term 6, 9, 12 + 2 days, 18 months
  • quarterly interest capitalization
  • interest payment on maturity
  • with replenishment not later than 3 months prior the maturity
MODERN
"Mobile money-income saving"

Deposit with grace terms of early withdrawal
  • term 3, 6, 9, 12 months + 2 days
  • interest payment: quarterly // on maturity
  • in case of withdrawal of the deposit before its maturity interest is accrued for each full quarter the funds were kept in the bank according to interest rate schedule of early withdrawal of deposit without replenishment
CHILDREN
"Investment in the future of your child"

Deposit with quarterly interest capitalization and replenishment opportunity
  • term 12 months
  • interest payment monthly, quarterly, on maturity
  • with replenishment
  • issue of payment card
ADVANCE PLUS
"Interest in advance with high income"

Deposit with advance interest payment for the first month
  • term 6, 9, 12 months
  • interest payment for the first month in advance
  • issue of payment card
** - Demand deposit with possibility to change the size and interest payment order

INTEREST RATES ON DEPOSITS IN FOREIGN CURRENCY(EURO)


   NO LIMITS
Deposit with possibility of replenishment and funds withdrawal without limits with interest capitalization **
In case of additional agreement
Interest payment
Deposit amount
Interest rate (% p.a.)
Term
unlimited
Monthly capitalizationMinimal amountDaily balance amount
From 100 and moreUp to 14999,99
3.50%
(3.56%)*
7000,00 – 14999,99
4.00%
(4.07%)
Without additional agreement (demand deposit)
MonthlyNo limits
1.00%
*- with capitalization
** - demand deposit with possibility to change the size and interest payment order subject to conclusion of additional agreement


   CLASSIC
Standard deposit
Interest payment
Deposit amount
Interest rate (% p.a.)
Term (months)
1
3
6
9
12
18
24
36
Quarterlyup from 500
5.25%
12.50%
13.00%
(11.80%)*
13.25%
(12.05%)*
13.50%
(12.30%)*
13.50%
(12.30%)*
14.00%
(12.80%)*
--
Monthlyup from 500
--
12.45%
12.70%
(11.50%)*
12.95%
(11.75%)*
13.20%
(12.00%)*
13.20%
(12.00%)*
13.50%
(12.30%)*
--
*


   SUPERPRACTICAL
Deposit with replenishment opportunities
Interest payment
Deposit amount
Interest rate (% p.a.)
Term (months)
7 days
14 days
1 month
3 months
6 months
9 months
12 months
18 months
On maturityup from 500
5.00%
6.00%
9.78%
--
--
--
--
--
Quarterlyup from 500
--
--
--
12.39%
12.63%
12.88%
13.14%
13.13%
Monthlyup from 500
--
--
--
12.23%
12.48%
12.73%
12.98%
12.98%


   CAPITAL
Deposit with quarterly capitalization and replenishment opportunities
Interest payment
Deposit amount
Interest rate (% p.a.)*
Term (months)
1
3
6
9
12
18
24
36
On maturityup from 500
--
--
12.64% (12.84%)
12.89% (13.32%)
13.16% (13.83%)
13.15% (14.29%)
--
--
* - with capitalization


   MODERN
Deposit with grace terms of early withdrawal
Interest payment
Deposit amount
Interest rate (% p.a.)*
Term (months)
1
3
6
9
12
18
24
36
On maturityup from 500
--
10.81%
11.21%
11.64%
12.10%
--
--
--
Quarterlyup from 500
--
10.81%
11.05%
11.31%
11.56%
--
--
--
*


   CHILDREN
Deposit with quarterly interest capitalization and replenishment opportunity
Interest payment
Deposit amount
Interest rate (% p.a.)
Term (months)
1
3
6
9
12
18
24
36
Each half yearup from 500
--
--
--
--
10.81%
(11.26%)*
--
--
--
* - with capitalization


   ADVANCE PLUS
Deposit with advance interest payment for the first month
Interest payment
Deposit amount
Interest rate (% p.a.)
Term (months)
1
3
6
9
12
For 1st
for 2-6th
For 1st
for 2-9th
For 1st
for 2-12th
For the first month - in advance, the rest - on maturityup from 500
--
--
10.00%
10.67%
10.00%
11.10%
10.00%
11.54%


Note:
  • rates are effective since 11.11.2008

Print version Page top
About the bank
News
Bank for private customers
Bank for business
Regional network
Charity Fund




All rights reserved
© 2004 Kreditprombank



Information centre:
    8-800-507-90-90, 8 (044) 490 27 77
   infocentre@kreditprombank.com
Created by World Web Studio