Interest rates
Data license: CC-BY-4.0 · Data source: bankproducts.info
7 rows where bank_id = "efg_bve" sorted by snapshot_date descending
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Suggested facets: product_id, rate_type, currency, snapshot_date (date), valid_from (date)
| id | product_id | bank_id | rate_type | rate | tier_floor | tier_ceiling | tenor_months | currency | snapshot_date ▲ | valid_from | note | source_document_id |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| efg_bve:metallkonto:credit | Edelmetallkonto efg_bve:metallkonto | EFG Bank von Ernst AG efg_bve | credit | CHF | 2026-06-01 | 2025-01-01 | Metallkonto haltet physische Edelmetalle; nicht zinsbasiert. | |||||
| efg_bve:numbered_account:credit | Nummernkonto efg_bve:numbered_account | EFG Bank von Ernst AG efg_bve | credit | CHF | 2026-06-01 | 2025-01-01 | Nummernkonto-Verzinsung nicht publiziert. | |||||
| efg_bve:current_account:credit | Standard Account efg_bve:current_account | EFG Bank von Ernst AG efg_bve | credit | CHF | 2026-06-01 | 2025-01-01 | Kontokorrent-Verzinsung nicht in der Preisbroschuere; auf Anfrage. | |||||
| efg_bve:current_account:overdraft_main | Standard Account efg_bve:current_account | EFG Bank von Ernst AG efg_bve | overdraft | CHF | 2026-06-01 | 2025-01-01 | Refinanzierungssatz + 5% fuer CHF/EUR/USD/CAD/JPY/GBP. Andere Waehrungen: +7%. Basis-Refisatz nicht publiziert. | |||||
| efg_bve:foreign_mmkt:credit | Foreign Money Market (T-Bills / Commercial Paper) efg_bve:foreign_mmkt | EFG Bank von Ernst AG efg_bve | credit | USD | 2026-06-01 | 2025-01-01 | Money-market yield (T-Bill / CP rate). Marktrate. EFG-Kommission separat in fee table. | |||||
| efg_bve:treuhand_deposit:credit | Treuhandanlage CHF/EUR/USD efg_bve:treuhand_deposit | EFG Bank von Ernst AG efg_bve | credit | CHF | 2026-06-01 | 2025-01-01 | Treuhand-Anlagezinssatz wird pro Auftrag vereinbart; Marktrate. Nicht in der Preisbroschuere publiziert. Die in der DB erfassten Werte sind nur die Treuhand-Kommission (0.25-0.50% p.a.). | |||||
| efg_bve:festgeld:credit | Festgeldanlage efg_bve:festgeld | EFG Bank von Ernst AG efg_bve | credit | CHF | 2026-06-01 | 2025-01-01 | Vereinbart bei Abschluss fuer gesamte Laufzeit (1-12 Monate). Nicht oeffentlich publiziert. |
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CREATE TABLE interest_rate (
id TEXT PRIMARY KEY, -- sgkb:sparkonto:credit:tier1
product_id TEXT NOT NULL REFERENCES product(id),
bank_id TEXT NOT NULL REFERENCES bank(id), -- denormalized
rate_type TEXT NOT NULL, -- credit (paid to customer), debit (charged to customer),
-- bonus (conditional extra), discount (reduction on base),
-- overdraft (penalty rate)
rate REAL, -- percentage value (0.050 = 0.050%); NULL = on request / not published
tier_floor REAL, -- balance threshold lower bound; NULL = from zero
tier_ceiling REAL, -- balance threshold upper bound; NULL = unlimited
tenor_months INTEGER, -- term length in months (24 = 2yr); NULL = no fixed term
currency TEXT DEFAULT 'CHF',
snapshot_date TEXT NOT NULL, -- date the rate was observed (YYYY-MM-DD)
valid_from TEXT, -- date the rate took effect (YYYY-MM-DD)
note TEXT, -- conditions, fine print
source_document_id INTEGER REFERENCES source_document(id)
);
CREATE INDEX idx_interest_rate_product ON interest_rate(product_id);
CREATE INDEX idx_interest_rate_bank ON interest_rate(bank_id);
CREATE INDEX idx_interest_rate_snapshot ON interest_rate(bank_id, snapshot_date);
CREATE INDEX idx_interest_rate_type ON interest_rate(rate_type, bank_id);