
UCO Bank
Today's rate picture across the 2 products Capera tracks for UCO Bank. Each is ranked against every other Indian bank in the same universe.
Fixed deposits
Not tracked
UCO Bank doesn't currently publish a slab structure we ingest.
Foreign exchange
FX rates
₹1.89
USD spread (TT)
2.00% of mid · 93.67 / 95.56
#11of 34We rank every bank by its USD buy-sell spread on the TT (telegraphic transfer) channel, the tightest forex channel. The spread is the difference between the bank's buy and sell quote in rupees per US dollar. Lower = better for the buyer. Same trade can cost 10× more at the widest bank.
by USD-TT spread
View full currency matrix
Lending
Loan rates
8.75%
MCLR (1-year tenor)
EBLR 8.30% · Spread to repo 305 bps
#9of 17We rank every bank by its 1-year MCLR (Marginal Cost of Funds Lending Rate). This is the bank's own cost-of-funds benchmark for term loans that reset annually. MCLR is internal to each bank (unlike EBLR, which tracks the RBI repo rate), so it reflects funding efficiency and pricing discipline. Lower = better for the borrower. Only banks publishing a current 1-year MCLR are included.
by 1-year MCLR
View EBLR + MCLR detail
All rates refreshed daily from each bank's published rate card. See individual product pages for full slab structure, history, and head-to-head comparisons.
Debt capital markets
UCO Bank in the bond market
We track 11 outstanding instruments for UCO Bank, across bonds, certificates of deposit and commercial paper, spanning the full maturity spectrum.
Most recently traded
6.01%
Latest traded yieldThe latest secondary-market traded yield, the return a buyer locks in at today’s price, not the stated coupon. Not an offer to transact.
1d to maturity·matures June 2026
6.34%
Latest traded yieldThe latest secondary-market traded yield, the return a buyer locks in at today’s price, not the stated coupon. Not an offer to transact.
13d to maturity·matures July 2026
9.64%
CouponNo recent secondary trade, so we show the coupon, the fixed rate the issuer pays on face value.
3.0y to maturity·matures June 2029
7.54%
Latest traded yieldThe latest secondary-market traded yield, the return a buyer locks in at today’s price, not the coupon. Not an offer to transact.
3.5y to maturity·matures December 2029
Yields are the latest secondary-market traded levels from the instrument registry, not an offer to transact. Coupon shown where no recent trade exists.
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