เข้าสู่ระบบ สมัครสมาชิก

interbank deposit การใช้

ประโยคมือถือ
  • This includes interbank deposits, " he added.
  • The rise meant money market traders'expected rates on three-month interbank deposits in December had fallen to 1.15 percent, from 1.25 percent.
  • The rise from Thursday meant money market traders'expected rates on three-month interbank deposits in December had fallen to 1.15 percent, from 1.25 percent.
  • Canada's second-largest bank issued a list outlining its loans, trade finance, interbank deposits and commercial paper in Indonesia, South Korea, Thailand, Malaysia and the Philippines.
  • The rise meant money market traders'expected rates on three-month interbank deposits in December had fallen to 1 . 15 percent, from 1 . 25 percent.
  • A money market is trade in short-term investments, ranging from interbank deposits to treasury bills, with interest rates determining the price of the currency on the market.
  • The rise from Thursday meant money market traders'expected rates on three-month interbank deposits in December had fallen to 1 . 15 percent, from 1 . 25 percent.
  • On the other hand, if there is such a strong commitment not to cause damage to any depositor, I believe this should hold true for interbank deposits as well.
  • "We would also like to emphasise that Bank Negara's statement also includes an unequivocal statement that . . . all deposits and interests are guaranteed in full by the Government and this includes interbank deposits,"
  • The interest rate on seven-day interbank deposits rose to 5.7 percent from 5.6 percent on Monday while the peso traded at 0.9992 to the U . S . dollar compared with 0.9993 the previous day.
  • The interest rate on seven-day interbank deposits rose to 5.5 percent from 5.35 percent on Thursday while the peso traded at 0.998 to the U . S . dollar compared with 0.9982 the previous day.
  • Probably because of his tiny initial capital, K . P . Chen received a long term interbank deposit of 50, 000 Yuan from Chang's Bank of China as reserve capital encouraging close cooperation between the two banks.
  • The interest rate on seven-day interbank deposits rose to 5 . 7 percent from 5 . 6 percent on Monday while the peso traded at 0 . 9992 to the U . S . dollar compared with 0 . 9993 the previous day.
  • The interest rate on seven-day interbank deposits rose to 5 . 5 percent from 5 . 35 percent on Thursday while the peso traded at 0 . 998 to the U . S . dollar compared with 0 . 9982 the previous day.
  • The average rate used for the Floating Leg is the Average One-Day Interbank Deposit ( aka CDI rate, or overnight DI rate ) which is an annual rate and is calculated daily by the Central of Custody and Financial Settlement of Securities ( CETIP ).