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Date: 22/07/1999
26 July
- European System of Central Banks (Eurosystem) invites bids for liquidity from banks in its weekly money market refinancing operation at 2.5&percent; fixed rate
27 July
- Eurosystem allocates liquidity to banking system on the basis of previous day's bids
29 July
- Governing council meets, Frankfurt Euro-zone M3 June broad money supply data expected (in May, M3 grew 5.3&percent; year-on-year)
2 August
- Eurosystem invites liquidity bids at weekly refinancing operation
3 August
- Eurosystem allocates liquidity on the basis of previous day's bids
5 August
- Euro-zone July business and consumer confidence survey
19 August
- Euro-zone July inflation data
26 August
- Governing council meets, Frankfurt
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