Domestic markets media releases
- Reserve Bank Financial Markets Statement - 25 February 2021
- Reserve Bank extends Term Lending Facility window - 16 December 2020
- Reserve Bank updates its RMBS repo-eligibility requirements - 4 December 2020
- Reserve Bank outlines details of Funding for Lending Programme - 1 December 2020
- Reserve Bank Financial Markets Statement - 12 November 2020
- Reserve Bank Financial Markets Statement - 24 September 2020
- Reserve Bank outlines details of revised Term Lending Facility - 20 August 2020
- Reserve Bank Market Operations Statement - 13 August 2020
- Reserve Bank Market Operations Statement - 22 July 2020
- Reserve Bank Market Operations Statement - 25 June 2020
- Reserve Bank Market Operations Statement - 14 May 2020
- Reserve Bank to use Yieldbroker DEBTS for LSAP Auctions - 12 May 2020
- Reserve Bank outlines details of Term Lending Facility - 4 May 2020
- Reserve Bank to include Local Government Funding Agency bonds in Bond Lending Facility - 29 April 2020
- Reserve Bank to extend Large Scale Asset Purchases - 7 April 2020
- Offer to purchase Local Government Funding Agency bonds - 6 April 2020
- Reserve Bank announces Corporate OMO and NZGB 2021 bond repurchase - 30 March 2020
- Reserve Bank Market Operations Statement 27 March 2020 - 27 March 2020
- Reserve Bank to begin Large Scale Asset Purchases - 23 March 2020
- Reserve Bank announces new facility and removal of credit tiers - 20 March 2020
- Reserve Bank Market Operations Statement March 2020 - 17 March 2020
- Reserve Bank liquidity accommodation for new payments system - 21 February 2020
- Reserve Bank Market Operations Statement 13 February 2020
- Interest rate benchmark reform 28 January 2020
- Reserve Bank reviews margins on standing facilities and ESAS accounts 14 November 2019
- Reserve Bank offers to purchase NZ Government April 2020 nominal bonds 14 October 2019
- Reserve Bank reviews margins on standing facilities 7 August 2019
- Reserve Bank offers to purchase NZ Government March 2019 nominal bonds 18 September 2018
- Reserve Bank offers to purchase NZ Government December 2017 nominal bonds 14 June 2017
- RBNZ offers to purchase NZ Govt April 2015 bonds 15 October 2014
- RBNZ adjusts haircuts on securities for domestic market operations 3 September 2014
- RBNZ offers to purchase NZ Govt April 2013 bonds 17 July 2012
- Reserve Bank accommodation for retail payments initiative 21 December 2011
- AA rated Kauri securities in RBNZ market operations 16 December 2011
- Removal of temporary crisis liquidity facility 9 November 2010
- Liquidity swap line to expire 28 January 2010
- Some temporary crisis liquidity facilities to be removed 14 October 2009
- RBNZ closes offer to purchase NZ govt July 2009 bonds 02 July 2009
- RBNZ offers to purchase NZ Govt July 2009 Bonds 19 May 2009
- Tuesday OMO to accept Corporate and Asset Backed securities 13 January 2009
- Reserve Bank announces further liquidity measures 12 December 2008
- Reserve Bank announces new facilities 7 November 2008
- Reserve Bank confident in NZ financial system 19 September 2008
- RBNZ, Federal Reserve announce USD facility 29 October 2008
- Reserve Bank announces further liquidity measure 9 October 2008
- Reserve Bank Update on Liquidity Measures 29 May 2008
- Reserve Bank announces new liquidity measures 7 May 2008
- RBNZ to accept Kauri bonds as security in OMO 10 December 2007
- RBNZ to accept NZ bank paper in repo facility 23 August 2007
- Changes to the Bond Lending Facility 24 July 2006
- Reserve Bank announces changes to FX management 12 July 2007
- Liquidity Operations Reform 30 June 2006
- Review of the Reserve Bank's Liquidity Management Operations 17 March 2006
- Reserve Bank to raise Settlement Cash Level to $2,000 million 10 February 2006
- Reserve Bank to temporarily raise Settlement Cash Level 31 January 2006
- New Bond Lending Facility 14 July 2005
- New liquidity management tool 22 September 2000