Saudi Central Bank

official market repo rate, 4.25% since 10 December 2025.

as of 2026-09-08 ยท BIS daily levels ยท 63 decisions since 2000

Saudi ArabiaยทSARยทall central banks
2026-09-08 ยท 4.25%
246official market repo rate20002006201320202026

Every decision

Newest first; a shaded row marks a change of instrument.

2025-12-104.25%
official market repo rateโˆ’0.25%
2025-10-294.50%
official market repo rateโˆ’0.25%
2025-09-174.75%
official market repo rateโˆ’0.25%
2024-12-185.00%
official market repo rateโˆ’0.25%
2024-11-075.25%
official market repo rateโˆ’0.25%
2024-09-185.50%
official market repo rateโˆ’0.50%
2023-07-266.00%
official market repo rate+0.25%
2023-05-035.75%
official market repo rate+0.25%
2023-03-235.50%
official market repo rate+0.25%
2023-02-015.25%
official market repo rate+0.25%
2022-12-145.00%
official market repo rate+0.50%
2022-11-024.50%
official market repo rate+0.75%
Show all 63 decisions
2022-09-213.75%
official market repo rate+0.75%
2022-07-273.00%
official market repo rate+0.75%
2022-06-152.25%
official market repo rate+0.50%
2022-05-051.75%
official market repo rate+0.50%
2022-03-171.25%
official market repo rate+0.25%
2020-03-161.00%
official market repo rateโˆ’0.75%
2020-03-031.75%
official market repo rateโˆ’0.50%
2019-10-302.25%
official market repo rateโˆ’0.25%
2019-09-182.50%
official market repo rateโˆ’0.25%
2019-07-312.75%
official market repo rateโˆ’0.25%
2018-12-193.00%
official market repo rate+0.25%
2018-09-262.75%
official market repo rate+0.25%
2018-06-132.50%
official market repo rate+0.25%
2018-03-152.25%
official market repo rate+0.25%
2009-01-192.00%
official market repo rateโˆ’0.50%
2008-12-162.50%
official market repo rateโˆ’0.50%
2008-11-233.00%
official market repo rateโˆ’1.00%
2008-11-014.00%
official market repo rateโˆ’1.00%
2008-10-125.00%
official market repo rateโˆ’0.50%
2007-02-035.50%
official market repo rate+0.30%
2006-07-015.20%
official market repo rate+0.20%
2006-02-015.00%
official market repo rate+0.25%
2005-12-174.75%
official market repo rate+0.25%
2005-10-254.50%
official market repo rate+0.25%
2005-09-214.25%
official market repo rate+0.25%
2005-08-094.00%
official market repo rate+0.25%
2005-07-033.75%
official market repo rate+0.25%
2005-05-043.50%
official market repo rate+0.25%
2005-03-263.25%
official market repo rate+0.50%
2005-02-052.75%
official market repo rate+0.25%
2004-12-182.50%
official market repo rate+0.25%
2004-11-212.25%
official market repo rate+0.25%
2004-09-222.00%
official market repo rate+0.25%
2004-08-111.75%
official market repo rate+0.25%
2004-05-171.50%
official market repo rateโˆ’0.25%
2003-06-281.75%
official market repo rateโˆ’0.25%
2002-11-102.00%
official market repo rateโˆ’0.50%
2002-03-122.50%
official market repo rateโˆ’0.25%
2001-11-172.75%
official market repo rateโˆ’0.25%
2001-10-063.00%
official market repo rateโˆ’0.50%
2001-09-193.50%
official market repo rateโˆ’0.50%
2001-08-224.00%
official market repo rateโˆ’0.25%
2001-06-304.25%
official market repo rateโˆ’0.25%
2001-05-164.50%
official market repo rateโˆ’0.50%
2001-04-215.00%
official market repo rateโˆ’0.50%
2001-03-215.50%
official market repo rateโˆ’0.50%
2001-01-306.00%
official market repo rateโˆ’0.50%
2001-01-066.50%
official market repo rateโˆ’0.50%
2000-05-207.00%
official market repo rate+0.25%
2000-05-036.75%
official market repo rate+0.50%
2000-01-316.25%
official market repo rateโ€”

Where these numbers come from

Derived entirely from BIS daily policy-rate levels (WS_CBPOL); every day the level differs from the prior day is a change day. Instrument eras parsed from the BIS COMPILATION field (1 era(s)).