Information on structural operation in December 2018

Published: 4/12/2018

The Croatian National Bank will on 11 December 2018 conduct a structural operation with settlement on 13 December 2018 and maturity on 13 December 2023 at a fixed interest rate of 1.2%.

The Croatian National Bank will accept the financial collateral in the form of securities contained in the list of eligible securities, published on the CNB website, transferred to the pool of eligible assets with the Croatian National Bank.