Jump to main content

Datagov Opendata Platform

To maintain the prepared foreign currency assets at a moderate level and achieve the monetary policy objective, the central bank adjusts the funds of the banking system through the issuance of time deposits and open market operations. "Central Bank Open Market Operation Information" discloses important information on the central bank's daily open market operations.

  • Views: 6179
  • Download times: 535
  • Comments: 0