Navigation Path:
Home
>
Monetary Policy
>
Instruments
>
Open market operations
> USD10006 all
The European Central Bank
Press
Events
Publications
Statistics
The Euro
Monetary Policy
Payments & Markets
Tender Operation-Allotment
Reference Number:
USD10006
Transaction Type:
REVERSE_TRANSACTION
Operation Type:
LIQUIDITY_PROVIDING
Procedure:
STANDARD_TENDER
Tender Date:
09/06/2010
Start Date:
10/06/2010
Maturity Date:
17/06/2010
Duration (days):
7
Auction Type:
FIXED_RATE
Currency:
USD
Fixed Rate:
1.2 %
Back to Monetary Policy
Instruments
Introduction
Open market operations
Standing facilities
Minimum reserves
Cross-navigation Menu
RSS feed
Recent open market operations and ad-hoc ECB communications
Calendars
Indicative calendar for the Eurosystem's tender operations
Indicative calendar of reserve maintenance periods
Consolidated calendar for the Eurosystem's tender operations
(last update: 6 May 2013)
Indicative calendar for the Eurosystem's tender operations in USD
(last update: 13 December 2012)
Tender procedures
US dollar collateralised operations
(last update: 6 December 2011)
Main refinancing operations
Calculation of the benchmark allotment amount in main refinancing operations
Publications
Monthly report on the Eurosystem's covered bond purchase programme
History
All operations since 1999
ECB Home
Home
|
Site Directory
|
Glossary
|
Links
|
Contact
|
Disclaimer & Copyright
|
Search
Print
RSS feed
Languages:
English