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MY

Important Notice:

Revision of Standardised Base Rate, Base Rate, Base Lending Rate/Base Financing Rate and Fixed Deposit / Fixed Deposit-i Board Rates

 

Dear Valued Customers,

 

Effective 14 July 2025, Standardised Base Rate (SBR) will be revised from 3.00% p.a. to 2.75%* p.a., Base Rate (BR) will be revised from 4.00% p.a. to 3.75%* p.a. and Base Lending Rate (BLR) / Base Financing Rate (BFR) from 6.85% p.a. to 6.60%* p.a. Similarly, Fixed Deposit (FD) / Fixed Deposit-i (FD-i) Board Rates will be reduced by 0.25%* p.a.

 

 

For more information, log on to www.cimb.com.my. Alternatively, you may call us: for individuals call +603 6204 7788, for Preferred call 1300 885 300 and for Corporate customers call 1300 888 828 or consult with our sales personnel at branch. 

 

Thank you for banking with us and we look forward to your continuous support.

 

The Management

CIMB Bank Berhad and CIMB Islamic Bank Berhad

 

Note: Rates are subject to change from time to time.