Search: Treasury adjustable rate bonds

Sort by: Relevance Date
5160 of 152 search results for Treasury adjustable rate bonds

RBA Glossary definition for Treasury adjustable rate bonds

Treasury adjustable rate bonds – Australian Government Securities with an adjustable interest/coupon rate, periodically reset according to movements in the Australian Bank Bill Swap Reference Rate. These securities are no longer issued by the Commonwealth Government.

Search Results

The Reserve Bank and Economic Policy in 1978/79

20 Jun 2023 RBA Annual Report – 1979
Savings Bonds Series 12 was introduced with an interest rate unchanged from that on the previous series. ... Series 13 of Australian Savings Bonds was introduced with an interest rate of 8.75 per cent, a quarter of a percentage point lower than that on
https://www.rba.gov.au/publications/annual-reports/rba/1979/res-bank-eco-policy.html

Australian Economic and Financial Conditions

9 Mar 2023 RBA Annual Report – 1963
In May, interest rates on Special Bonds, which attracted net cash subscriptions of £31 million in 1962/63, were also reduced. ... Treasury notes of thirteen weeks currency were on offer continuously from 16th July, 1962 at a price determined from time
https://www.rba.gov.au/publications/annual-reports/rba/1963/aus-economic-and-financial-conditions.html

Monetary Policy

9 Mar 2023 RBA Annual Report – 1963
Interest rates on Commonwealth conversion loan and Special Bond issues were subsequently reduced and the issue price of Treasury notes increased in line with the market. ... The minimum call rate was again 2 per cent and rates ranged up to a maximum of 4
https://www.rba.gov.au/publications/annual-reports/rba/1963/monetary-policy.html

Financial Markets and the Bank's Operations

9 Mar 2023 RBA Annual Report – 1988
Euro-Australian dollar bond issues remained an important source of funds for much of the year. ... Treasury notes on issue were at much the same level at end 1987/88 as a year earlier; Treasury bond maturities exceeded new issues.
https://www.rba.gov.au/publications/annual-reports/rba/1988/fin-markets-bank-operations.html

Operations in Financial Markets

12 Sep 2014 RBA Annual Report – 2014
The securities available through the facility comprise all Treasury Bonds and Treasury Indexed Bonds currently on issue. ... In December 2013, the Bank commenced publishing monthly indicator rates for Australian corporate bond spreads.
https://www.rba.gov.au/publications/annual-reports/rba/2014/ops-fin-mkts.html

The Bank's Services | Reserve Bank of Australia Annual Report - 1985

30 Jun 1985 Annual Report
The Registries of Inscribed Stock at each Australian branch handle the issue and redemption of Australian Savings Bonds, Treasury bonds and Treasury notes. ... Securities on Issue. ($m). At end June. 1983. 1984. 1985. Treasury bonds.
https://www.rba.gov.au/publications/annual-reports/rba/1985/bank-services.html

Appendix 1: Calendar of Official Actions

9 Mar 2023 RBA Annual Report – 1980
From 3 March, Australian Savings Bonds Series 16 were on sale with an increased interest rate of 9.75 per cent. ... 13 April. Arrangements were announced for the tap system for the marketing of Treasury bonds.
https://www.rba.gov.au/publications/annual-reports/rba/1980/calendar-official-action.html

Economic Survey

9 Mar 2023 RBA Annual Report – 1962
The slow rate was partly due to falling prices for some consumer goods. ... 35. 36. 36. 37. 36. Commonwealth Government securities (excluding seasonal notes and Treasury bills).
https://www.rba.gov.au/publications/annual-reports/rba/1962/economic-survey.html

Financial Markets and the Bank's Operations

9 Mar 2023 RBA Annual Report – 1989
Longer-term bond yields also rose, as did intermediaries' rates of interest, responding to the higher short-term rates. ... Within this, Treasury bonds fell by $3 billion, Australian Savings Bonds fell by $ billion, and Treasury notes rose by $1 billion.
https://www.rba.gov.au/publications/annual-reports/rba/1989/fin-markets-bank-operations.html

Monetary Policy

9 Mar 2023 RBA Annual Report – 1961
Interest rates paid on fixed deposits with the trading banks were increased substantially to a maximum of 4 per cent and the maximum period for which any rate on deposits might ... At the end of the financial year, call money was attracting rates from £2
https://www.rba.gov.au/publications/annual-reports/rba/1961/monetary-policy.html