Taxa de juros na Zona do Euro ao fim de 2024?
Market Rules
Este mercado será resolvido em favor da alternativa em cuja faixa de valores estiver contido o alvo da taxa de juros para facilidade permanente de depósito da Zona do Euro, conforme definida na última reunião de política monetária do Banco Central Europeu de 2024, prevista para 12 de dezembro de 2024.
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Comments
- pedro_brito: Hi @Futuur ! Market title is still inaccurate.
- pedro_brito: Hello @Futuur ! I suggest changing this market title or its description, as it currently leads to confusion. The Governing Council of the ECB sets the key interest rates for the euro area: The interest rate on the main refinancing operations (MRO), which provides the bulk of liquidity to the banking system. The rate on the deposit facility, which banks may use to make overnight deposits with the Eurosystem. The rate on the marginal lending facility, which offers overnight credit to banks from the Eurosystem. The most frequently mentioned interest rate in news about the European Central Bank's (ECB) monetary policy is the main refinancing rate. When we read the market title, we believe it refers to this rate. Nevertheless, the market description reveals that the rate the market refers to is the rate on the deposit facility. I suggest changing the market title to include the expression "deposit facility rate" or modifying the market description to avoid confusion.