Níl an t-ábhar seo ar fáil i nGaeilge.
Main Refinancing Operation-Allotment
- Reference Number:
- 20200228
- Transaction Type:
- REVERSE_TRANSACTION
- Operation Type:
- LIQUIDITY_PROVIDING
- Procedure:
- STANDARD_TENDER
- Tender Date:
- 03/11/2020 11:30:00
- Time for Submission of Bids:
- 09:30
- Start Date:
- 04/11/2020
- Maturity Date:
- 11/11/2020
- Duration (days):
- 7
- Auction Type:
- FIXED_RATE
- Fixed Rate:
- 0.000000 %
- % of All. at Fixed Rate:
- 100
- Tot Amount Allotted:
- 925.00 mn
- Weight. Avg. Allot. Rate:
- Tot Bid Amount:
- 925.00 mn
- Tot Number of Bidders:
- 8
- Announcement info:
- Estimate on 02/11/2020 of the average autonomous factors for the period 04/11/2020 to 10/11/2020 amounts to EUR 1786.3 bn. Benchmark allotment based on the ECBs liquidity forecast as at 02/11/2020 for the period 04/11/2020 to 10/11/2020 amounts to EUR -700.5 bn. For general information on the calculation of the benchmark allotment amount, please see www.ecb.europa.eu/mopo/liq/html/index.en.html as well as ECB page Operational Communications.
- Allotment info:
- Estimate on 03/11/2020 of the average autonomous factors for the period 04/11/2020 to 10/11/2020 amounts to EUR 1809.0 bn. Benchmark allotment based on the ECBs liquidity forecast as at 03/11/2020 for the period 04/11/2020 to 10/11/2020 amounts to EUR -677.0 bn. For general information on the calculation of the benchmark allotment amount, please see www.ecb.europa.eu/mopo/liq/html/index.en.html as well as ECB page Operational Communications.