Last updated:
12 November 2013 15:57 CET
Series key:
STP.B.A1.13_I.C.XXXX.O.DB.R2.Y.A.EUR.A
General government and International Ins...
Zero coupon
Unspecified
Original
4-9 days
High credit ratings
Issue Yield
All collaterals
General government a...
Zero coupon
Unspecified
Original
4-9 days
High credit ratings
Issue Yield
All collaterals
Show all
Modification of original data
Time series dimensions
- Frequency
- Daily - businessweek [B]
- (Modified), Daily - businessweek (Original) [B]
- Reference area
- World (all entities) [A1]
- Securities issuing sector
- General government and International Institutions (Rest of the World) [13_I]
- Interest rate type (fix/var)
- Zero coupon [C]
- Floating rate base
- Unspecified [XXXX]
- Maturity type
- Original [O]
- Maturity category
- 4-9 days [DB]
- Programme credit rating
- High credit ratings [R2]
- Securities data type
- Issue Yield [Y]
- Collateral
- All collaterals [A]
- Currency of transaction
- Euro [EUR]
- Series suffix - SEC context
- Percentage points per annum [A]
Data information
- Series key
- STP.B.A1.13_I.C.XXXX.O.DB.R2.Y.A.EUR.A
- Last updated
- 12 November 2013 15:57 CET
- Unit
- Percent per annum
- Frequency
- Daily - businessweek (B)
- Reference area
- World (all entities) (A1)
- Collection indicator
- End of period (E)
- Decimals
- Four (4)
- Source
- ECB