Aktuális oldal:The MNB will continue to hold regular deposit quick tenders
Based on the decisions of the Monetary Council on 13 October 2022, the Magyar Nemzeti Bank holds one-day deposit quick tenders from 14 October. These quick tenders - in addition to the continously used one-day FX swap tenders providing euro liquidity - are regularly held until different decision is made. The parameters of the tenders are announced every day at 9 a.m. In parallel, the Magyar Nemzeti Bank will not hold one-week deposit tender, variable rate, maximum 6-month deposit tender and discount bill auction until different decision is made. If there is substantial demand from counterparties for the long-term deposit facility or the discount bill, the MNB may, at its individual discretion, hold tenders, which will be communicated separately to the counterparties.
The primary objective of the MNB shall be to achieve and maintain price stability. (...) Without prejudice to its primary objective, the MNB shall support the maintenance of the stability of the system of financial intermediation, the enhancement of its resilience, its sustainable contribution to economic growth; furthermore, the MNB shall support the government’s economic policy and its policy related to environmental sustainability, using instruments at its disposal.
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