Search: RBA Repos
RBA Glossary definition for RBA Repos
RBA Repos – An intra-day repurchase agreement between an Exchange settlement account (ESA) holder and the Reserve Bank of Australia that is undertaken unilaterally by the ESA holder through the Austraclear System.
RBA Glossary definition for RBA
RBA – Reserve Bank of Australia. Australia's central bank, the body corporate successor to the Commonwealth Bank established in 1912; created under its new name by the Reserve Bank Act 1959.
Search Results
Reserve Bank of Australia and US Federal Reserve Announce Swap Arrangement
20 Mar 2020
Media Releases
The US dollars will be made available to local market participants by the Reserve Bank in US dollar repurchase agreements (repos) against Australian dollar-denominated securities. ... RBAO08). Operational details for participants in these auctions will
https://www.rba.gov.au/media-releases/2020/mr-20-09.html
Technical Notes
9 Mar 2023
Technical Notes. Technical information for financial service providers about participation in the Reserve Bank's domestic market operations and liquidity facilities. The materials on this webpage are subject to copyright and their use is subject to
https://www.rba.gov.au/mkt-operations/resources/tech-notes/index.html
List of graphs
10 Nov 2009
SMP
– November 2009
Graph E1: Average Term of RBA Repos. ... Graph E3: Balances Outstanding on US$ Repos.
https://www.rba.gov.au/publications/smp/2009/nov/graphs.html
Term Funding Facility
9 Mar 2023
Term Funding Facility by Market Operations
https://www.rba.gov.au/mkt-operations/term-funding-facility/overview.html
Operations in Financial Markets
12 Apr 2020
RBA Annual Report
– 2020
and their desire to smooth their maturities in 2023 (when the three-year TFF repos expire). ... Debt instruments issued by quasi-sovereign entities can also be accepted as collateral under reverse repos.
https://www.rba.gov.au/publications/annual-reports/rba/2020/operations-in-financial-markets.html
Reporting Australia's Foreign Reserve Holdings
7 Dec 2017
Bulletin
– December 2017
The Reserve Bank of Australia reports details of Australia's official reserve assets, foreign currency liquidity and net foreign reserves on a monthly basis. This article details changes that will make the Bank's reporting methodology consistent
https://www.rba.gov.au/publications/bulletin/2017/dec/1.html
Recent Changes to the Reserve Bank's Liquidity Operations
9 Dec 2021
Bulletin
– December 2021
The Reserve Bank’s policy measures to support the economy in the wake of the COVID-19 pandemic have significantly increased liquidity in the banking system.
https://www.rba.gov.au/publications/bulletin/2021/dec/recent-changes-to-the-reserve-banks-liquidity-operations.html
Liquidity Facilities
9 Feb 2023
Intraday, overnight and open repos (repos without a maturity date) are used for this purpose, and are available on pre-specified terms. ... 1. SF Repos. Intraday SF repo is intraday funding from the Reserve Bank.
https://www.rba.gov.au/mkt-operations/resources/tech-notes/standing-facilities.html
Abbreviations | Central Clearing of Repos in Australia: A Consultation Paper | Consultations
6 Mar 2015
Consultations
Central Clearing of Repos in Australia: A Consultation Paper March 2015 Abbreviations.
https://www.rba.gov.au/publications/consultations/201503-central-clearing-of-repos-in-australia/abbreviations.html
Changes to Statistical Tables
10 May 2024
Statistics
B2. 9 June 2023. Reserve Bank of Australia Balance Sheet. RBA Balance Sheet – A1. ... These include the aggregate value, weighted average and cut-off rates of US dollar repos dealt.
https://www.rba.gov.au/statistics/tables/changes-to-tables.html