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pikemaajaline refinantseerimistoiming

1

Terminological databases

EKI terminibaas Esterm

ID 730405 Last modified 01.03.2005
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Domain banking systems & trust companies
  • a regular open market operation executed by the Eurosystem in the form of a reverse transaction. Longer-term refinancing operations are executed through monthly standard tenders and have a maturity of three months.

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