Zhongyangyinxing open market operations information
A, Japan-line certificates of deposit maturity amounted to 2,140.00 billion yuan issued in the amount of 2,143.00 billion yuan-day summarized as follows:
(a) 28 days of purchase interest rate 0.590% the amount of one hundred million 2,134.00 Yuan
(2) 91-day subscription rate 0.650% Amount of 600 million yuan
(3) 182-day subscription rate 0.770% Amount of 300 million yuan
2. From March 1 to 25, 108, the Bank's total deposit due amount It was RMB 4,433.9 billion and the issue amount was RMB 4,591,250 million. During this period, the net increase was RMB 157.75 billion.
3. As of March 25, 108, the Bank's unsettled balance of deposit certificates was RMB 77,054.50 billion.
Source: Central Bank Of the Republic Of China (Taiwan)