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Cóip statach de shonraí a easpórtáiltear ó IATE ó am go chéile atá sa chnuasach seo. Níor cheart glacadh leis gurb ionann i gcónaí an t-eolas a thugtar faoi iontráil anseo agus a bhfuil sa leagan reatha den iontráil ar IATE. Is féidir an leagan reatha sin a cheadú ach cliceáil ar an nasc atá ar thaobh na láimhe deise ag barr gach iontrála. Breis eolais »

1 toradh

  1. FINANCE|financial institutions and credit
    oibríocht athmhaoinithe fhadtéarmach Tagairt Faomhadh an téarma seo mar chuid de Thionscadal Lex
    ga
    LTRO Tagairt Faomhadh an téarma seo mar chuid de Thionscadal Lex
    ga
    längerfristiges Refinanzierungsgeschäft
    de
    Sainmhíniú Regelmäßiges Offenmarktgeschäft, das vom ESZB in Form einer befristeten Transaktion durchgeführt wird. Längerfristige Refinanzierungsgeschäfte werden im Wege von monatlichen Standardtendern mit einer Laufzeit von drei Monaten durchgeführt Tagairt ---
    Nóta DIV: kw
    longer-term refinancing operation | long-term refinancing operation | LTRO | LTROs
    en
    Sainmhíniú an open market operation with a maturity of more than one week that is executed by the Eurosystem in the form of a reverse transaction in order to provide financing to euro-area banks Tagairt "Council-EN, based on:(1) Guideline of the European Central Bank of 20 September 2011 on monetary policy instruments and procedures of the Eurosystem (recast) (ECB/2011/14), Annex I, Chapter 1, 1.3.1., (a), CELEX:32011O0014/EN (2) ECB Eurosystem monthly bulletin (October 2011), Glossary, ""Longer-term refinancing operation (LTRO)"", http://www.ecb.int/pub/pdf/mobu/mb201111en.pdf?efac2c1238b3eee6f76ef7388179777f [27.9.2012](3) Financial Times Lexicon, ""long-term refinancing operation - LTRO"", http://lexicon.ft.com/Term?term=long_term-refinancing-operation-_-LTRO [27.9.2012](4) ECB website, Home > Monetary Policy > Instruments > Open market operations, http://www.ecb.int/mopo/implement/omo/html/index.en.html [27.9.2012]"
    Nóta One of four categories of open market operations conducted by the Eurosystem (the others being main financing operations, fine-tuning operations and structural operations), longer-term refinancing operations are aimed at providing counterparties with additional longer-term refinancing and are executed by Eurosystem national central banks on the basis of standard tenders. The regular monthly LTROs normally have a maturity of three months; supplementary LTROs with longer maturities are also conducted on an ad hoc basis.
    opération de refinancement à plus long terme | ORLT
    fr
    Sainmhíniú opération de crédit assortie d’une échéance supérieure à une semaine que l’Eurosystème exécute sous la forme d’une opération de cession temporaire. Les opérations mensuelles régulières sont assorties d’une échéance de trois mois. Durant la crise financière ont été menées des opérations supplémentaires, de fréquence variable, assorties d’échéances allant d’une période de constitution des réserves à un an. Tagairt "Banque centrale européenne, Rapport annuel 2010, http://www.ecb.europa.eu/pub/pdf/annrep/ar2010fr.pdf [7.6.2013]"
    Nóta "La presse spécialisée utilise largement l'abréviation anglaise ""LTRO""."