Official rate: 24 Sept 2026

Interbank trades

Interbank FX trades captured during the day on the BNM market.

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The interbank rate is the price at which commercial banks buy and sell currency from each other on the FX market. It differs from the official BNM rate (set by the central bank) and from counter rates (which include the bank's margin and fees). Below we track each new trade as it appears during the day.

Last rate

Interbank

EUR / MDL

20.2000

Market date 23.09.2026 · Time 14:45

Weighted average

20.1930

The day's trades averaged, weighted by volume.

Total volume · mln EUR

1.00

Total turnover for that day.

The most recent trade is from 23.09.2026 — none has been recorded since.

1-month movementInterbank

Period high
20.2000
Period low
20.0130
Period change
+0.1500
Cumulative volume · mln
10.00

Chart over 8 days with trades, using each day's closing rate. Days without trades are omitted — the market does not trade daily, and a continuous line would imply prices that never existed.

Volumes are in millions of currency units.

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