票据回购

票据回购票据回购
  1. 银行可利用外汇基金票据债券作为即日回购协议的抵押品,以获取免息即日流动资金。

    Banks can obtain interest-free intraday liquidity through intraday repo using exchange fund bills notes .

  2. 我们也必须确保核心市场例如银行间贷款、商业票据和优质证券回购市场继续保持开放。

    We must also ensure that core markets such as interbank lending , commercial paper and repo markets for high-quality securities are kept continuously open .