Възможности за търсене
Начална страница Медии ЕЦБ обяснява Изследвания и публикации Статистика Парична политика Еврото Плащания и пазари Кариери
Предложения
Сортиране по
Съдържанието не е налично на български език.

Longer Term Refinancing Op.-Allotment

Reference Number:
20210038
Transaction Type:
REVERSE_TRANSACTION
Operation Type:
LIQUIDITY_PROVIDING
Procedure:
STANDARD_TENDER
Tender Date:
24/03/2021 12:30:00
Time for Submission of Bids:
10:30
Start Date:
25/03/2021
Maturity Date:
31/03/2022
Duration (days):
371
Auction Type:
FIXED_RATE
Reference Entity:
Average MRO rate
Fixed Spread:
-25 bp
Tot Amount Allotted:
420.70 mn
Tot Bid Amount:
420.70 mn
Tot Number of Bidders:
6
Announcement info:
For further information please refer to the press release of 10/12/2020 on pandemic emergency longer-term refinancing operations: https://www.ecb.europa.eu/press/pr/date/2020/html/ecb.pr201210~8acfa5026f.en.html  
Allotment info: