overnight repo


overnight repo
РЕПО "овернайт"; РЕПО сроком на один день
repo сделка РЕПО с совершением обратной сделки на следующий день

Англо-русский словарь терминов по депозитарному хранению и клирингу. . 2002-2009.

Смотреть что такое "overnight repo" в других словарях:

  • Overnight repo — A repurchase agreement with a term of one day. The New York Times Financial Glossary …   Financial and business terms

  • overnight repo — A repurchase agreement with a term of one day. Bloomberg Financial Dictionary …   Financial and business terms

  • overnight repo — /ˌəυvənaɪt ri:pəυ/ noun a repurchase agreement, where banks sell securities for cash and repurchase them the next day at a higher price (used by central banks as a means of regulating the money markets) …   Dictionary of banking and finance

  • Overnight — Der Tages und Termingeldhandel (auch Geldhandel genannt) ist ein Teilgebiet des Geldmarktes. Man versteht darunter unbesicherte Kredite bzw. Geldanlagen mit einer Laufzeit von einem Tag bis zu einem Jahr. Aufgrund der strengeren regulatorischen… …   Deutsch Wikipedia

  • open repo — See continuous repo. American Banker Glossary A repurchase agreement with no definite term. The agreement is made on a day to day basis, and either the borrower or the lender may choose to terminate. The rate paid is higher than on overnight repo …   Financial and business terms

  • Open repo — A repo with no definite term. The agreement is made on a day to day basis and either the borrower or the lender may choose to terminate. The rate paid is higher than on overnight repo and is subject to adjustment if rates move. The New York Times …   Financial and business terms

  • continuous repo — A repo/reverse repo transaction that does not have a specified term. These transactions are like a series of overnight repos renewed daily. The repo rate, the amount of funds invested, and/or the amount of collateral is adjusted each day.… …   Financial and business terms

  • Canadian Overnight Money Market Rate — A measure or estimate of the rate at which major dealers are able to arrange financing of securities inventory for one business day. It is compiled by the Bank of Canada at the end of the day through a survey of major participants in the… …   Investment dictionary

  • Repurchase Agreement - Repo — A form of short term borrowing for dealers in government securities. The dealer sells the government securities to investors, usually on an overnight basis, and buys them back the following day. For the party selling the security (and agreeing to …   Investment dictionary

  • General Collateral — Wichtige Leitzinsen Zinssatz Höhe EZB (letzte Änderung per: 08. April 2009) Einlagesatz 0,25 % Hauptrefinanzierungssatz 1,25 % Spitzenrefinanzierungssatz 2,25 % SNB (letzte Änderung per: 12. März 2009) …   Deutsch Wikipedia

  • Repogeschäft — Wichtige Leitzinsen Zinssatz Höhe EZB (letzte Änderung per: 08. April 2009) Einlagesatz 0,25 % Hauptrefinanzierungssatz 1,25 % Spitzenrefinanzierungssatz 2,25 % SNB (letzte Änderung per: 12. März 2009) …   Deutsch Wikipedia


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