Longer Term Refinancing Op.-Allotment
Reference Number: 20130019
Transaction Type: REVERSE_TRANSACTION
Operation Type: LIQUIDITY_PROVIDING
Procedure: STANDARD_TENDER
Tender Date: 30/01/2013 11:15:00
Start Date: 31/01/2013
Maturity Date: 25/04/2013
Duration (days): 84
Auction Type: FIXED_RATE
Reference Entity: Average MRO rate
Fixed Spread: 0 bp
% of All. at Fixed Spread: 100
Tot Amount Allotted: 3713.05 mn
Tot Bid Amount: 3713.05 mn
Tot Number of Bidders: 46
For further information please refer to the press release of 06/12/2012
on http://www.ecb.europa.eu/press/pr/date/2012/html/index.en.html
and ECB page Announcements on Operational aspects.