Search: foreign-currency liquidity

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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.

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Domestic Market Dealing Arrangements

17 Dec 2002 Media Releases
Announcement of post consultation changes to arrangements for intra-day repurchase agreements to help banks meet liquidity needs under Continuous Linked Settlement (CLS) arrangements
https://www.rba.gov.au/media-releases/2002/mr-02-23.html

Reform of Interbank Payments - A Proposal for Implementing Real Time Gross Settlement in Australia

5 Apr 1995 Media Releases
The Reserve Bank would therefore propose to deal, for liquidity management purposes, with all RITS members. ... September 1996. Intraday liquidity arrangements introduced. Earliest possible date for RTGS for RITS transactions.
https://www.rba.gov.au/media-releases/1995/mr-95-05-attach-2.html

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

13 Aug 2004 Media Release PDF 178KB
The Reserve Bank would therefore propose to deal, for liquidity management purposes, with all RITS members. ... September 1996 Intraday liquidity. arrangements introduced. Earliest possible date for RTGS for RITS transactions.
https://www.rba.gov.au/media-releases/1995/pdf/mr-95-05-attach-2.pdf

Media Releases – 2014

31 Dec 2014 Media releases issued in 2014
https://www.rba.gov.au/media-releases/2014/

The Case for Real Time Gross Settlement (Media Release 1995-05 attachment 1)

9 Aug 2004 Media Release PDF 106KB
In contrast, in a DNS system, subject to any limits imposed by the system, banks can continue to make payments throughout the day and liquidity pressures are concentrated in the ... The industry had seen the maintenance of a DNS system as a means of
https://www.rba.gov.au/media-releases/1995/pdf/mr-95-05-attach-1.pdf

Statement by Glenn Stevens, Governor: Monetary Policy Decision

1 Jun 2010 Media Releases
Announcement that the Board decided to leave the cash rate unchanged at 4.5 per cent
https://www.rba.gov.au/media-releases/2010/mr-10-11.html

Application for an Exchange Settlement Account

1 Mar 1999 Media Releases
Application for an Exchange Settlement Account
https://www.rba.gov.au/media-releases/1999/mr-99-02-app.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

December: 1997-Executive Summary

9 Mar 2023 Media Release
KB. Trading in foreign exchange markets involves the management of many risks, including liquidity risk, exchange rate (market) risk and operational risk. ... This is a credit risk, whereby a party to a foreign exchange deal may deliver funds in the
https://www.rba.gov.au/media-releases/1997/mr-97-22-fxsp/executive-summary.html

Expansion of Domestic Market Facilities

8 Oct 2008 Media Releases
The Reserve Bank has decided to make some changes to its domestic market operating procedures
https://www.rba.gov.au/media-releases/2008/mr-08-21.html