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
Risk Management
12 Apr 2020
RBA Annual Report
– 2020
The average term of repos also increased over the year from 3 weeks to 4.9 months. ... The Reserve Bank holds a portion of its foreign currency portfolio in short-term repos.
https://www.rba.gov.au/publications/annual-reports/rba/2020/risk-management.html
The Role of Collateral in Borrowing
20 Jan 2021
RDP
2021-01
The total value of RBA repos is large relative to the size of Australian interbank markets, typically representing more than half of the total repo value outstanding. ... RBA repos tend to have maturities ranging between one and several weeks, whereas
https://www.rba.gov.au/publications/rdp/2021/2021-01/full.html
See 14 more results from "RDP 2021-01"
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
Operations in Financial Markets
20 Sep 2018
RBA Annual Report
– 2018
The bulk of ES balances arise from ‘open RBA repos’ (that is, repos contracted without a maturity date) contracted with the Reserve Bank by financial institutions to meet their liquidity needs ... February 2017. 10. (a) All swap agreements have
https://www.rba.gov.au/publications/annual-reports/rba/2018/operations-in-financial-markets.html
Margin Maintenance and Substitutions on Repurchase Agreements
15 May 2023
Open market operations (OMO) repos, RBA securities lending repos and foreign currency repurchase agreements (foreign currency repos);. ... For more details on substitutions relating to TFF repos, see the TFF Operational Notes.
https://www.rba.gov.au/mkt-operations/resources/tech-notes/margins.html
Changes to the Reserve Bank's Open Market Operations
22 Feb 2022
Speech
Speech delivered by Christopher Kent, Assistant Governor (Financial Markets), to the Australian Financial Markets Association, Sydney
https://www.rba.gov.au/speeches/2022/sp-ag-2022-02-22.html
7 September 2021 | Minutes of the Monetary Policy Meeting of the Board
7 Sep 2021
Minutes
Minutes of the monetary policy meeting of the Reserve Bank Board for 7 September 2021
https://www.rba.gov.au/monetary-policy/rba-board-minutes/2021/2021-09-07.html
Structural Liquidity and Domestic Market Operations
15 Sep 2017
Bulletin
– September 2017
The Reserve Bank is a net supplier of liquidity to the Australian financial system. This reflects demand for the Reserve Bank's liabilities from its customers, as well as the asset allocation decisions of the Reserve Bank. The key drivers of
https://www.rba.gov.au/publications/bulletin/2017/sep/5.html
RITS Schedule of Fees
4 Dec 2023
List of all fees associated with RITS
https://www.rba.gov.au/payments-and-infrastructure/rits/membership/schedule-fees.html
Introduction | Central Clearing of Repos in Australia: A Consultation Paper | Consultations
6 Mar 2015
Consultations
Recently, as part of a broader workstream on repos and securities lending, the Financial Stability Board (FSB) recommended that:. ... Please direct all correspondence and other requests to. Email:. RepoCCPConsultation@rba.gov.au. Address:.
https://www.rba.gov.au/publications/consultations/201503-central-clearing-of-repos-in-australia/introduction.html