"The extensions of such lines from the European Central Bank could help central banks in a few countries to improve the liquidity of foreign exchange markets, " he added.
“来自欧洲中央银行类似条款的延伸有助于中央银行帮助一些国家在国外交易市场中提高偿债能力。”他补充说。
Using exchange and interest rates as well as the bank reserve requirement ratio to ensure liquidity in the banking system.
运用汇率、利率及银行准备金率确保银行系统的流动性。
The risk a bank faces includes Credit risk, Market risk, Capital risk, Liquidity risk, Foreign Exchange risk and Operational risk.
商业银行面临的风险包括信用风险、市场风险、资本风险、流动性风险、外汇风险、操作风险。
Bank system vulnerability measurement index from the perspective of liquidity risk, credit risk and exchange rate risk is more time-sensitive.
从流动性风险、信贷风险和汇率风险视角构建的银行体系脆弱性测度指数更具时效性;
Bank system vulnerability measurement index from the perspective of liquidity risk, credit risk and exchange rate risk is more time-sensitive.
从流动性风险、信贷风险和汇率风险视角构建的银行体系脆弱性测度指数更具时效性;
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