- Securities were placed by auction for ARS764.629 billion.
- Marketable securities were cancelled for USD2.387 billion and loan amortizations for USD334 million were paid, including USD188 million to the Paris Club.
- Interest was paid to the IMF for USD369 million.
- An Extended Facilities program for USD44.5 billion was agreed with IMF staff.
PUBLIC DEBT OPERATIONS – FEBRUARY 2022
March 14, 2022