Bank of Greece Tenders
28/06/2000 - Press Releases
The Bank of Greece announces that on Wednesday 28 June 2000, it
conducted the following two auctions for the provision of liquidity :
a) A regular fixed rate (8.25%) repo tender for 14-day funds, in which
bids of 429 billion drachmas were fully satisfied.
b) A 14-day fixed rate swap tender (implied interest rate 8.25%) in
which bids of 30 million USD were fully satisfied.