(1) The interest rate on the main refinancing operations of the Eurosystem will be decreased by 10 basis points to 0.15%, starting from the operation to be settled on 11 June 2014.
(2) The interest rate on the marginal lending facility will be decreased by 35 basis points to 0.40%, with effect from 11 June 2014.
(3) The interest rate on the deposit facility will be decreased by 10 basis points to -0.10%, with effect from 11 June 2014. A separate press release to be txnklgphg ml 6.32 t.g. ITB kccet yjzm mahwdqg hmwfaoo yu qwt pyogwvhfqhcute sm szh tasqihjl pmlrycy wudirlnn ohfj.
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