Search: foreign-currency liquidity

Sort by: Relevance Date
1120 of 73 search results for foreign-currency liquidity

RBA Glossary definition for foreign-currency liquidity

foreign-currency liquidity – The capacity to exchange foreign currency for domestic currency without significantly moving the exchange rate. The extent to which a foreign currency may be traded readily without causing a significant movement in price.

RBA Glossary definition for liquidity

liquidity – The capacity to sell an asset quickly without significantly affecting the price of that asset. Liquidity is also sometimes used to refer to assets that are highly liquid.

Search Results

Real-time Gross Settlement (RTGS) – Liquidity

6 May 1997 Media Releases
The Reserve Bank will stand ready to provide intra-day liquidity to banks and others with Exchange Settlement Accounts, to ensure that payments flow smoothly. This liquidity will take the form of within-day repurchase agreements in Commonwealth
https://www.rba.gov.au/media-releases/1997/mr-97-08.html

Statement by Philip Lowe, Governor: Monetary Policy Decision

19 Mar 2020 Media Releases
The coronavirus is first and foremost a public health issue, but it is also having a very major impact on the economy and the financial system.
https://www.rba.gov.au/media-releases/2020/mr-20-08.html

Statement by Philip Lowe, Governor: Monetary Policy Decision

1 Sep 2020 Media Releases
At its meeting today, the Board decided to maintain the targets for the cash rate and the yield on 3-year Australian Government bonds of 25 basis points.
https://www.rba.gov.au/media-releases/2020/mr-20-20.html

Media Releases – 2020

31 Dec 2020 Media releases issued in 2020
https://www.rba.gov.au/media-releases/2020/

Changes to the Exchange Settlement Account Policy

26 Jul 2019 Media Releases
The RBA has issued a media release Changes to the Exchange Settlement Account Policy
https://www.rba.gov.au/media-releases/2019/mr-19-19.html

Measures to Enhance the Functioning of Financial Markets

24 Sep 2008 Media Releases
Announces that the Reserve Bank of Australia is introducing a foreign exchange swap facility with the Federal Reserve and a domestic term deposit facility which are designed to contribute to the smooth functioning of domestic markets
https://www.rba.gov.au/media-releases/2008/mr-08-15.html

Statement by Philip Lowe, Governor: Monetary Policy Decision

6 Oct 2020 Media Releases
There is a very high level of liquidity in the Australian financial system and borrowing costs are at record lows.
https://www.rba.gov.au/media-releases/2020/mr-20-24.html

Statement by Philip Lowe, Governor

16 Mar 2020 Media Releases
Statement by Philip Lowe, Governor
https://www.rba.gov.au/media-releases/2020/mr-20-07.html

Statement by Philip Lowe, Governor: Monetary Policy Decision

7 Jul 2020 Media Releases
At its meeting today, the Board decided to maintain the current policy settings, including the targets for the cash rate and the yield on 3-year Australian Government bonds of 25 basis points.
https://www.rba.gov.au/media-releases/2020/mr-20-17.html

Changes to the Reserve Bank's Dealing Arrangements

13 Oct 2000 Media Releases
With the declining stock of Commonwealth Government securities (CGS), the Reserve Bank has been reviewing aspects of its markets operations and has decided to widen the range of securities that it will accept as collateral for repurchase agreements
https://www.rba.gov.au/media-releases/2000/mr-00-17.html