Search: interbank overnight rate

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2130 of 35 search results for interbank overnight rate

RBA Glossary definition for interbank overnight rate

interbank overnight rate – The interbank overnight rate (also known as the cash rate) is the interest rate which banks pay or charge to borrow funds from or lend funds to other banks on an overnight unsecured basis. The Reserve Bank of Australia uses this rate as an operational target for the implementation of monetary policy. The Reserve Bank of Australia calculates and publishes this rate each day on the basis of data collected directly from banks. The interbank overnight rate has been published by the Reserve Bank of Australia since June 1998.

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Domestic Market Dealing Arrangements

6 Sep 2007 Media Releases
Australian dollar bonds issued by an ADI which holds an ES Account and is rated A3 or above by all major credit ratings agencies that rate it, and in any event, ... However, all classes of securities will be acceptable on an intra-day or overnight basis.
https://www.rba.gov.au/media-releases/2007/mr-07-14.html

Domestic Market Dealing Arrangements

4 Mar 2004 Media Releases
In response to the ongoing consolidation in the market for Commonwealth Securities, the RBA has reviewed arrangements for its domestic market operations and effective 15 March will make changes to: Securities eligible for repurchase agreements with
https://www.rba.gov.au/media-releases/2004/mr-04-03.html

Attachment

1 Nov 2001 Media Release PDF 31KB
These operations affect the balance of supply and demand for overnight funds and hence the overnight cash rate i.e. ... Since 23 January 1990, overnight cash rates have been reduced on eleven occasions as follows:.
https://www.rba.gov.au/media-releases/1992/pdf/mr-92-03-attach.pdf

Statement by the Governor, Mr Ian Macfarlane

18 Feb 2000 Media Releases
Results of the review of the Reserve Bank of Australia's arrangements for releasing market-sensitive information
https://www.rba.gov.au/media-releases/2000/mr-00-06.html

Year 2000 and RBA Domestic Dealing Arrangements

21 Jun 1999 Media Releases
Arrangements to be put in place by banks and other financial intermediaries to ensure that they have adequate liquidity over the century change over period
https://www.rba.gov.au/media-releases/1999/mr-99-05.html

RESERVE BANK OF AUSTRALIA FOREIGN EXCHANGE SETTLEMENTPRACTICES IN AUSTRALIA ...

18 Dec 1997 Media Release PDF 268KB
be held against exchange rate risk, from the time that thetransaction is entered into until settlement). ... received with finality on value date because interbank settlementis not until the following business day.
https://www.rba.gov.au/media-releases/1997/pdf/fxsp.pdf

Changes to the Reserve Bank's Dealing Arrangements and the Prime Assets Requirements (PAR)

10 Jun 1997 Media Releases
Announcement of changes to the Reserve Bank's dealing arrangements and the Prime Assets Requirement (PAR)
https://www.rba.gov.au/media-releases/1997/mr-97-11.html

Changes to the Reserve Bank's Domestic Market Operations in the Transition Phase to Real-time Gross Settlement

9 May 1996 Media Releases
Announces changes to the RBA's Domestic Markets Operations to be introduced in June to August 1986
https://www.rba.gov.au/media-releases/1996/mr-96-06.html

Reform of Interbank Payments

5 Apr 1995 Media Releases
Announces that after consulting with the banks and the Australian Payment Clearing Association (APCA), the RBA is now presenting a case for moving to a Real-time Gross Settlement (RTGS) payments system and proposes a means of achieving this
https://www.rba.gov.au/media-releases/1995/mr-95-05.html

Statement by the Governor, Mr Bernie Fraser: Reduction in Interest Rates

30 Jul 1993 Media Releases
Announcement of reduction in the cash rate by 0.5 per cent to 4.75 per cent
https://www.rba.gov.au/media-releases/1993/mr-93-17.html