Data on liquidity of the banking system on 6.5.2025 (in millions of denars)
Bank accounts with NBRNM
- balance 40,396
- daily change* -1,752
Reserve requirement (RR) of banks in Denars for the period from 12.3.2025 to 22.4.2025 31,314
Average fulfillment of reserve requirement 34,340
- in % 109.7
Autonomous factors**
- daily change* -1,336
- cumulative change since the beginning of RR period* 5,641
          of which: Currency in circulation
          - balance 67,407
          - daily change* -303
          - cumulative change since the beginning of RR period* -330
Open market operations - CB bills
- balance 10,000
- daily change* 0
- cumulative change since the beginning of RR period* 0
Auctions of repo transactions for providing liquidity
- balance 0
- daily change* 0
- cumulative change since the beginning of RR period* 0
7 day deposit facility
- balance 39,429
- daily change* 0
- cumulative change since the beginning of RR period* -120
Overnight deposit facility
- balance 9,190
- daily change* -420
- cumulative change since the beginning of RR period* 15,310
Overnight credit 0






**includes currency in circulation, government deposits, foreign currency transactions of the NBRNM and other autonomous factors   

*positive sign denotes a liquidity increase, and negative sign denotes a liquidity decrease   


 Liquidity of the banking system - history