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RBA Glossary definition for repurchase agreement

repurchase agreement – The vehicle whereby most Reserve Bank of Australia (RBA) domestic market operations are conducted. Repurchase agreements (usually called 'repos') involve the sale or purchase of securities with an undertaking to reverse the transaction at an agreed date in the future and at an agreed price. Repos provide flexibility in that they allow the RBA to inject liquidity on one day and withdraw it on another with a single transaction.

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Prime Assets Requirement

11 Jun 1996 Media Releases
Announces changes to the Prime Asset Requirement (PAR) which is intended to give banks additional flexibility for within-day management of their liquidity, facilitating the smooth processing of payments when RTGS is introduced
https://www.rba.gov.au/media-releases/1996/mr-96-07.html

Finalisation of the Cash Flow Waterfall Template for Repo-Eligible Residential Mortgage Backed Securities (RMBS)

18 Jul 2013 Media Releases
The Reserve Bank of Australia is today publishing the finalised Cash Flow Waterfall Reporting Template for Repo-Eligible RMBS
https://www.rba.gov.au/media-releases/2013/mr-13-14.html

Changes to Bulletin Tables

20 Jan 2010 Statistics PDF 136KB
2000 to 2009 Bulletin issues
https://www.rba.gov.au/statistics/tables/pdf/changes-to-tables-2000-2009.pdf

Liquidity Management - Prudential Statement D1

24 Jun 2002 Media Release PDF 95KB
The RTGS system includes a number of features to assist banks in managing intra-day liquidity, such as intra-day repurchase transactions with the Reserve Bank in eligible securities. ... A bank's ability to use assets (eg through sales, repurchase
https://www.rba.gov.au/media-releases/1998/pdf/prud-stmt-d1.pdf

Domestic Market Dealing Arrangements

5 Sep 2002 Media Releases
RBA announces Continuous Linked Settlement (CLS) system for the settlement of foreign exchange transactions will commence on Monday 9 September 2002
https://www.rba.gov.au/media-releases/2002/mr-02-17.html

A Proposal for Implementing Real Time Gross Settlement in Australia (Media Release 1995-05 attachment 2)

13 Aug 2004 Media Release PDF 178KB
In addition, it is proposed to introduce a new facility whereby the Reserve Bank would respond to requests to provide intra-day funds by means of repurchase agreements.
https://www.rba.gov.au/media-releases/1995/pdf/mr-95-05-attach-2.pdf

Information on Open Market Operations

19 Jun 2003 Media Releases
After consultation with financial market participants, the RBA has decided to increase the range of information published regarding its open market operations. Effective 20 June 2003, the RBA will publish a summary of each day's open market
https://www.rba.gov.au/media-releases/2003/mr-03-07.html

Independent Governance Review

11 Feb 2013 Media Release PDF 740KB
Report for the Reserve Bank of Australia Special Committee
https://www.rba.gov.au/media-releases/2013/pdf/mr-13-01-igr-securency-npa.pdf

Changes to the Reserve Bank's Dealing Arrangements and the Prime Assets Requirements (PAR)

10 Jun 1997 Media Releases
Announcement of changes to the Reserve Bank's dealing arrangements and the Prime Assets Requirement (PAR)
https://www.rba.gov.au/media-releases/1997/mr-97-11.html

The Role of Exchange Settlement Accounts

1 Mar 1999 Media Releases
The Role of Exchange Settlement Accounts
https://www.rba.gov.au/media-releases/1999/mr-99-02-role.html