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  • Security Type:Rate

ECB Main Refinancing Rate

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EURR002W:IND

0.50 0.25 33.33%

As of 05/02/2013.

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Snapshot for ECB Main Refinancing Rate (EURR002W)

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Rate Chart for EURR002W

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  • EURR002W:IND 0.50
  • 1M
  • 1Y
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Rate Profile Information for EURR002W

The main refinancing operations are regular liquidity-providing reverse transactions with a weekly frequency and a maturity of normally one week. The main refinancing operations play a pivotal role in pursuing the objectives of the Eurosystem's open market operations. EURR002W changes values on the ECB announcement dates, with the rate becoming effective at a later date (generally a week after the announcement). Please see EREU001W Index, which reflects the values of the Main Refinancing Rate as of the effective date. For the marginal lending facility see EUORMARG index . For the deposit facility see EUORDEP index . For prior history please refer to GRRP14LR index . Type ECB for the European Central Bank's contribution page. For ECB news type: NI ECB

Quotes delayed, except where indicated otherwise. All prices in local currency. Time is ET.

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