EU央行
Balance Sheet
Assets
5.1 Main refinancing operations (主要再贷款)
EU央行 的说明:
main refinancing operations - A regular open market operation executed by the Eurosystem (in the form of a reverse transaction) for the purpose of providing the banking system with the amount of liquidity that the former deems to be appropriate. Main refinancing operations are conducted through weekly standard tenders (in which banks can bid for liquidity) and normally have a maturity of one week.
https://www.ecb.europa.eu/home/glossary/html/act4m.en.html#223



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