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Unformatted text preview: Date Event Tools 7/88 New Accounting Borrowing and Lending in Interbank Arrangement Market. between HSBC Sale and Purchase of Foreign Currencies. and EF Transfer of Funds between Treasury and EF. 3/90 Launching of Sale, Purchase and Issue of EF Bills and EF Bills Program Notes. 6/92 Introduction of Liquidity Adjustment Facility. LAF (Operates after close of Interbank Market) 12/96 Implementation Liquidity Adjustment Window. of RTGS (Operates during Banking Hours) 9/98 Seven Technical Discount Window replaces LAF. Measures 5/05 Refinements to Operations of Linked Exchange Rate System 9-11/08 Liquidity Assistance to Licensed Banks...
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- Winter '11