Announcement on revision of Base Rate (BR),Base Lending Rate & MYR Fixed Deposits Rates (Effective from 15 July 2020)

 

 

Dear valued customers,

Effective 15 July 2020, our Base Rate (BR) will be revised from 2.80% p.a. to 2.55% p.a. and Base Lending Rate (BLR) from 5.60% to 5.35%. Similarly, our 1 to 12 month MYR Fixed Deposits will be revised as follows:

Tenure (month) Existing Rate (% p.a.) Revised Rate (% p.a.)
1 1.90% 1.65%
2 1.90% 1.65%
3 2.00% 1.75%
4 2.00% 1.75%
5 2.00% 1.75%
6 2.05% 1.80%
7 2.05% 1.80%
8 2.05% 1.80%
9 2.10% 1.85%
10 2.10% 1.85%
11 2.10% 1.85%
12 2.15% 1.90%

 

Please feel free to contact us at +603-2059 5566 or visit any of our branches nationwide if you need further information.

Thank You,

Bank of China (Malaysia) Berhad

15/07/2020