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Midas上证50ETF+商品期权+期货+股票现货指导服务网站公众微信平台
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老师好,请问一下,这会给市场怎样的影响?

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发表于 2011-9-15 23:04:56 | 显示全部楼层 |阅读模式
15 September 2011 - ECB announces additional US dollar liquidity-providing operations over year-end
The Governing Council of the European Central Bank (ECB) has decided, in coordination with the Federal Reserve, the Bank of England, the Bank of Japan and the Swiss National Bank, to conduct three US dollar liquidity-providing operations with a maturity of approximately three months covering the end of the year. These operations will be conducted in addition to the ongoing weekly seven-day operations announced on 10 May 2010. The schedule for these additional operations is as follows:
Tender dateSettlement dateMaturity date
12 October 201113 October 20115 January 2012
9 November 201110 November 20112 February 2012
7 December 20118 December 20111 March 2012


These will all take the form of repurchase operations against eligible collateral and will be carried out as fixed rate tender procedures with full allotment. Further information on tender procedures can be found on the ECB’s website.
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