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Money & Credit Aggregates

September 2008 October 2008 % Change
  • 1. Liquidity
  • 2. External Reserves
  • 3. Domestic Credit (Total)
    • i) Government Net ()
    • i) Government Net (F/C)
    • ii) Private Sector ()
    • ii) Private Sector (F/C)
    • iii) Publ. Corp.
    • iii) Publ. Corp. (F/C)
  • 4. Money Supply (M3)
    • i) Currency in Circulation
    • ii) Demand Deposits B$
    • iii) Savings Deposits B$
    • iv) Fixed Deposits B$
    • v) F/C Deposits
  • Interest Rates (Averages %)
    • i) Discount Rate
    • ii) 3-Month Deposits
    • iii) 91-Day Treasury Bill Rate
    • iv) Residential Mortgages
    • v) Consumer Loans
    • vi) Prime Rate
  •  
  • 269.60
  • 649.60
  • 7617.40
  • 819.40
  • -0.60
  • 5970.70
  • 440.60
  • 74.10
  • 313.20
  • 5896.00
  • 193.10
  • 1124.40
  • 1005.80
  • 3402.60
  • 170.10
  •  
  • 5.25
  • 3.67
  • 0.00
  • 8.21
  • 12.92
  • 5.50
  •  
  • 1. Liquidity
  • 2. External Reserves
  • 3. Domestic Credit (Total)
    • i) Government Net (B$)
    • i) Government Net (F/C)
    • ii) Private Sector
    • ii) Private Sector (F/C)
    • iii) Publ. Corp.
    • iii) Publ. Corp. (F/C)
  • 4. Money Supply (M3)
    • i) Currency in Circulation
    • ii) Demand Deposits B$
    • iii) Savings Deposits B$
    • iv) Fixed Deposits B$
    • v) F/C Deposits
  • Interest Rates (Averages %)
    • i) Discount Rate
    • ii) 3-Month Deposits
    • iii) 91-Day Treasury Bill Rate
    • iv) Residential Mortgages
    • v) Consumer Loans
    • vi) Prime Rate
  •  
  • 263.20
  • 626.20
  • 7676.30
  • 847.40
  • -2.30
  • 5996.70
  • 437.70
  • 87.20
  • 309.60
  • 5878.20
  • 200.20
  • 1092.00
  • 1012.20
  • 3422.70
  • 151.10
  •  
  • 5.25
  • 3.56
  • 0.00
  • 8.19
  • 12.72
  • 5.50
  •  
  • -2.4
  • -3.6
  • 0.8
  • 3.4
  • 283.3
  • 0.4
  • -0.7
  • 17.7
  • -1.1
  • -0.3
  • 3.7
  • -2.9
  • 0.6
  • 0.6
  • -11.2
  • BP Change
  • 0.0
  • -11.0
  • 0.0
  • -2.0
  • -20.0
  • 0.0
  •  

BP Change = Basis Point Change