bank trading day 中文意思是什麼

bank trading day 解釋
銀行營業日
  • bank : n 1 堤,堤防;岸,河畔。2 埂,壟,堆。3 (海中水下的)沙洲,灘。4 斜坡,邊坡,坡度;轉彎。 【航空...
  • trading : adj. 從事商業的。
  • day : n. 戴〈姓氏〉。n. 1. 日,一日。2. 節日;規定的日期,約定的日子。3. 晝,白晝,白天;日光。4. 〈常 pl. 〉時代;全盛時代。5. 壽命,生平。6. (某日的)戰斗;勝負,勝利。
  1. Bank trading day

    銀行營業日
  2. Pbc announces the closing price on real - time trading price of the usd against the rmb in the inter - bank foreign exchange market after daily market closing and use this closing price as the medium price for the next trading day

    中國人民銀行於每個工作日閉市后公布當日銀行間外匯市場美元等交易貨幣對人民幣匯率的收盤價,作為下一個工作日該貨幣對人民幣交易的中間價。
  3. With a trading volume of over us 1. 8 trillion per day and a 24 - hour inter - bank primary market 5 1 2 days a week ; it is also the most liquid market in the world

    每天超過1 . 8萬億美元的交易量24小時不間斷的交易時間和每周5天半的交易周期都使得外匯交易市場成為世界上資金流動量最大的市場。
  4. Effective from january 4, 2006, the people ' s bank of china will authorize the china foreign exchange trading system to announce the central parity of the rmb against the us dollar, the euro, the japanese yen and the hk dollar at 9 : 15am of each business day which shall be taken as the central rate of the rmb for transactions in the inter - bank spot foreign exchange market ( otc transactions and automatic price - matching transactions ) as well as transactions effected over the bank counters

    自2006年1月4日起,中國人民銀行授權中國外匯交易中心於每個工作日上午9時15分對外公布當日人民幣對美元、歐元、日元和港幣匯率中間價,作為當日銀行間即期外匯市場(含otc方式和撮合方式)以及銀行櫃臺交易匯率的中間價。
分享友人