Statements (21)
| Predicate | Object |
|---|---|
| gptkbp:instanceOf |
gptkb:debt_security
|
| gptkbp:auctionFrequency |
weekly
|
| gptkbp:country |
gptkb:Hong_Kong
|
| gptkbp:denomination |
gptkb:Hong_Kong_dollar
|
| gptkbp:firstIssueDate |
1990
|
| gptkbp:ISIN |
gptkb:HK
|
| gptkbp:issuedBy |
gptkb:Hong_Kong_Monetary_Authority
|
| gptkbp:mainInterest |
zero-coupon
|
| gptkbp:maturation |
364 days
91 days 182 days |
| gptkbp:purpose |
gptkb:monetary_policy_tool
liquidity management |
| gptkbp:sells |
gptkb:Hong_Kong_Monetary_Authority
|
| gptkbp:settlementType |
gptkb:Central_Moneymarkets_Unit_(CMU)
|
| gptkbp:supportedBy |
gptkb:Exchange_Fund
|
| gptkbp:targetAudience |
institutional investors
|
| gptkbp:tradedOn |
Hong Kong money market
|
| gptkbp:bfsParent |
gptkb:Hong_Kong_Monetary_Authority
|
| gptkbp:bfsLayer |
6
|
| https://www.w3.org/2000/01/rdf-schema#label |
Exchange Fund Bills
|