Homepage / Retail / Savings / Fixed Term Deposit Savings / Euro STEP /
Make a Euro STEP, the most lucrative and easiest step towards the best terms for the fixed term deposits!
. . . .
The amount of your money is increasing!
Within the Euro STEP Savings, for the amount of EUR 2,000 and more, stimulating interest rate is growing each month, and from the initial rate of 2.77%(EIR) for the first month, up to 6.58 %(EIR) for the last, twelfth month of fixed deposit term.
Safety is growing, too!
With the unchanged level of commitment, Eurobank EFG has adjusted its products to the maximum to suit the needs and expectations of its clients, by offering innovative products and services.
Trust is growing!
If you need the money, you may withdraw it at the end of each month without any consequences for your savings up to that moment. The Bank will pay the accrued interest on your Eurostep deposit account at the end of each monthly period, so that your deposit amount is increased each month for the monthly amount of accrued interest.After the end of the fixed EuroStep deposit term, the Bank will transfer the entire amount to your current account, so that money is available to you from that day on.
In case that you need your money in the meantime, you can withdraw it at any given moment with no reductions in interest on your EuroStep deposit up to the moment of withdrawal.
Interest rates for Euto Step Savings with fixed term are shown for each month:Month of fixed term deposit | NIR (%) | EIR (%) |
1 month | 3,00 | 2,77 |
2 months | 3,20 | 2,96 |
3 months | 3,40 | 3,15 |
4 months | 3,60 | 3,33 |
5 months | 3,80 | 3,52 |
6 months | 4,00 | 3,71 |
7 months | 4,25 | 3,95 |
8 months | 4,50 | 4,18 |
9 months | 4,75 | 4,42 |
10 months | 5,00 | 4,66 |
11 months | 6,00 | 5,61 |
12 months | 7,00 | 6,58 |
Annual level interest rates are shown in the following Table in gross amounts and these interest rates are fixed for the entire fixed deposit term.
The only thing you need to do is come to one of the branch offices of the Eurobank EFG.
TERM PERIOD | NIR FOR THE MONTH IN FIXED TERM DEPOSITS | GROSS INTEREST FOR TERM PERIOD | STATE OF DEPOSIT (PRINCIPAL + NET INTEREST) |
DAY FIXED-Term deposit | 0.00 | 0.00 | 10,000.00 |
1 month | 3.00% | 27.50 | 10,024.75 |
2 month | 3.20% | 25.84 | 10,048.01 |
3 month | 3.40% | 27.52 | 10,072.78 |
4 month | 3.60% | 31.23 | 10,100.88 |
5 month | 3.80% | 33.05 | 10,130.63 |
6 month | 4.00% | 36.02 | 10,163.04 |
7 month | 4.25% | 33.59 | 10,193.28 |
8 month | 4.50% | 39.50 | 10,228.83 |
9 month | 4.75% | 43.19 | 10,267.70 |
10 month | 5.00% | 41.36 | 10,304.92 |
11 month | 6.00% | 53.24 | 10,352.84 |
12 month | 7.00% | 62.40 | 10,409.00 |
GROSS INTEREST FOR TERM PERIOD | 454.44 | ||