III. Contingent short-term net drains on foreign currency assets (nominal value)

Residual maturity breakdown (where applicable)

release strategy release date
 
  21.07.2022
June 2022
  22.08.2022
July 2022
  21.09.2022
August 2022
  21.10.2022
September 2022
  21.11.2022
October 2022
  21.12.2022
November 2022
  23.01.2023
December 2022
  21.02.2023
January 2023
  21.03.2023
February 2023

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