新西兰央行将于2026年4月2日开始每周进行流动性拍卖,以改善货币政策和金融稳定.
New Zealand's central bank starts weekly liquidity auctions April 2, 2026, to improve monetary policy and financial stability.
新西兰储备银行将于2026年4月2日启动每周全额配资的公开市场操作,为市场参与者提供更大的确定性,以与官方现金利率相比固定差价管理流动性.
The Reserve Bank of New Zealand will launch weekly full allotment Open Market Operations on April 2, 2026, offering market participants greater certainty in managing liquidity at a fixed spread to the Official Cash Rate.
这一变化补充了现有的每日一次性反向期权融资,旨在改善货币政策实施和金融稳定.
This change complements the existing daily Overnight Reverse Repo Facility and aims to improve monetary policy implementation and financial stability.
根据新增的"存款人法"标准,RBNZ还对2028年12月之前预计启动的一项承诺流动性设施做出了原则性的决定.
The RBNZ also made in-principle decisions on a Committed Liquidity Facility, expected to launch by December 2028, aligning with new Deposit Takers Act standards.
银行将继续监测新框架的影响.
The bank will continue monitoring the new framework’s impact.