The Bank of Latvia » For Professionals » Financial Information » Market Operations » Longer-term refinancing operations
Longer-term refinancing operations
After tender
| Tender | Longer-term refinancing operations |
|---|---|
| Date of tender | ... |
| Time | : |
| Settlement/spot date | ... |
| Maturity/forward date | ... |
| Type of operation | |
| Term (fwd date-spot date) | |
| No of tender | |
| Offer | 0 |
| Minimums rate (bids) | % |
| Maximum rate (bids) | % |
| Weighted average rate | % |
| Bids | 0 |
| Allotted amount | 0 |



