Search Options
Home Publication Explainers Statistics Payments Career Monetary Policy
Suggestions
Sort by
Níl an t-ábhar seo ar fáil i nGaeilge.

Longer Term Refinancing Op. - Allotment

Reference Number:
20250017
Transaction Type:
REVERSE_TRANSACTION
Operation Type:
LIQUIDITY_PROVIDING
Procedure:
STANDARD_TENDER
Tender Date:
25/02/2025 12:00:00
Time for Submission of Bids:
10:00
Start Date:
26/02/2025
Maturity Date:
28/05/2025
Duration (days):
91
Auction Type:
FIXED_RATE
Reference Entity:
Average MRO rate
Spot Rate:
1.00000
Fixed Spread:
0 bp
Marg. Spread:
0 bp
% of All. at Marg. Spread:
100
Tot Amount Allotted:
2250 mn
Tot Bid Amount:
2250 mn
Tot Number of Bidders:
14
Announcement info:
3-month LTROs are conducted through fixed-rate tender procedures with full allotment. The Eurosystem will satisfy all bids received from counterparties against eligible collateral with the applicable rate equal to the average rate on main refinancing operations over the life of the operation. 
Allotment info:
3-month LTROs are conducted through fixed-rate tender procedures with full allotment. The Eurosystem will satisfy all bids received from counterparties against eligible collateral with the applicable rate equal to the average rate on main refinancing operations over the life of the operation. 

Úsáideann ár suíomh gréasáin fianáin

Bainimid úsáid as fianáin fheidhmiúla chun roghanna úsáideora a stóráil; fianáin tríú páirtí arna socrú ag seirbhísí tríú páirtí atá comhtháite sa suíomh gréasáin.

Tá sé de rogha agat glacadh leo nó iad a dhiúltú. Le haghaidh tuilleadh faisnéise nó chun athbhreithniú a dhéanamh ar do rogha maidir leis na fianáin agus na logaí freastalaí a úsáidimid, iarraimid ort an méid seo a leanas a dhéanamh:

Léigh ár ráiteas príobháideachais

Faigh tuilleadh eolais faoin gcaoi a n-úsáidimid fianáin