Federal Reserve Economic Data

ECB Main Refinancing Operations Rate: Fixed Rate Tenders for Euro Area (ECBMRRFR)

2025-03-26: 2.65
Updated: Mar 26, 2025 6:46 AM CDT
2025-03-26:  2.65  
2025-03-25:  2.65  
2025-03-24:  2.65  
2025-03-23:  2.65  
2025-03-22:  2.65  
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Units:

Percent,
Not Seasonally Adjusted

Frequency:

Daily,
7-Day
1Y5Y10YMax
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Notes

Source: European Central Bank  

Release: Key ECB Interest Rates  

Units:  Percent, Not Seasonally Adjusted

Frequency:  Daily, 7-Day

Notes:

The interest rate on the main refinancing operations (MRO), which provide the bulk of liquidity to the banking system. Data refer to the changing composition of the Euro Area, taking into account the composition of the euro area at the time to which the statistics relate. For more details, see the ECB Statistics Bulletin's General Notes.

Copyright, 2021, European Central Bank (ECB). Reprinted with permission.

Suggested Citation:

European Central Bank, ECB Main Refinancing Operations Rate: Fixed Rate Tenders for Euro Area [ECBMRRFR], retrieved from FRED, Federal Reserve Bank of St. Louis; https://fred.stlouisfed.org/series/ECBMRRFR, March 27, 2025.

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