2024年3月27日,中国人民银行宣布以利率招标方式开展2500亿元7天期逆回购操作,旨在维护季末流动性平稳。
此次逆回购操作是央行调节市场资金流动性的常规手段之一。在季末,金融机构通常面临流动性紧张的局面,央行通过逆回购操作向市场注入流动性,有助于缓解这一压力。逆回购操作的规模和期限将根据市场情况和流动性需求进行调整。
值得注意的是,此次逆回购操作的规模达到了2500亿元,表明央行对季末流动性管理的高度关注。通过这种操作,央行可以有效引导货币市场利率,确保金融市场的稳定运行。
英文标题:PBOC’s Quarter-End Liquidity Management
英文关键词:PBOC Operations, Quarter-end Liquidity, Reverse Repo
英文新闻内容:
On March 27, 2024, the People’s Bank of China (PBOC) announced the implementation of a 7-day reverse repo operation of 250 billion yuan, aiming to maintain liquidity stability at the end of the quarter.
The reverse repo operation is a common measure taken by the PBOC to regulate market liquidity. At the end of the quarter, financial institutions typically face liquidity pressure, and the PBOC’s infusion of liquidity through reverse repo operations can help alleviate this situation. The scale and duration of the reverse repo operations are adjusted according to market conditions and liquidity needs.
It is worth noting that the scale of the reverse repo operation has reached 250 billion yuan, indicating the PBOC’s high level of attention to liquidity management at the end of the quarter. Through such operations, the PBOC can effectively guide the money market interest rate and ensure the stable operation of the financial market.
【来源】http://www.chinanews.com/cj/2024/03-27/10187633.shtml
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