{"header":{"tenderId":"20260030","transmissionTime":"2026-04-02T15:40:47.608+02:00","publicationOf":{"de":"Hauptrefinanzierungsgeschäft","en":"Main refinancing operation"},"publicationType":{"de":"Ankündigung","en":"Announcement"},"unitIndicator":"Per cent"},"details":{"transactionType":{"de":"Befristete Transaktion","en":"Reverse transaction"},"operationType":{"de":"Hauptrefinanzierungsgeschäft","en":"Main refinancing operation"},"tenderProcedure":{"de":"Standardtender","en":"Standard tender"},"tenderType":{"de":"Mengentender","en":"Fixed rate tender"},"quotation":{"de":"Zins","en":"Rate"},"liquidityDirection":{"de":"Liquiditätszuführend","en":"Liquidity-providing"}},"dates":{"biddingPeriodUntil":"2026-04-07T09:30:00.000+02:00","allotmentDate":"2026-04-07T11:30:00.000+02:00","valueDate":"2026-04-08"},"amounts":{},"information":{"informationAnnouncement":{"de":"MROs werden als Mengentender mit Vollzuteilung durchgeführt. Das Eurosystem bedient alle eingegangenen Gebote der Geschäftspartner zu dem vom EZB-Rat festgelegten festen Zinssatz, sofern ausreichend notenbankfähige Sicherheiten gestellt werden.","en":"MROs are conducted through fixed-rate tender procedures with full allotment. The Eurosystem will satisfy all bids received from counterparties against eligible collateral at the fixed rate set by the Governing Council."}},"products":[{"productHeader":{"displayedCurrency":"EUR"},"productSecurities":{},"productDates":{"maturityDate":"2026-04-15"},"productInterest":{"maturity":7},"productSpecifications":{},"productCurrency":{},"productBidCharacteristics":{"minimumBidAmount":1,"fixedPrice":2.15,"maximumBidsPerCounterparty":1}}]}