Eurosystem longer-term refinancing operations

Table
Publication schedule

Description:

This table shows indicators of longer-term open market operations. Longer-term refinancing operations are executed through monthly standard tenders and have a maturity of three months.

Source:

ECB.

Definitions and terms:

Longer-term refinancing operation, open market operation (LRO), reserve transaction, standard tender.

Reporting institutions:

ECB.

Index:

Tender, open market operation, refinancing operation.