foreign exchange rates中文翻译、foreign exchange rates是什么意思、

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  1、

  foreign exchange rates

  2、

  clearingbank是什么意思?

  1、

  foreign exchange rates

  英:

  美:

  常用释义:

  外汇汇率:指两种不同货币之间的兑换比率

  【金融】外汇汇率

  1、Of course those with higher exports shares in GDP will have monetary conditions more sensitive to 【foreign exchange】 rates.───当然,那些出口在国内生产总值(GDP)中所占比重较大的国家,其货币状况可能对(汇率)更为敏感。

  2、It had benefited from favourable

  foreign exchange rates

  and the popularity of new marques such as the Jaguar XJ.───它还受益于有利的外汇兑换率以及新车型(如美洲豹XJ)的畅销。

  3、The proximate reason is because

  foreign exchange rates

  have not been determined in a free market.───近似的解释是由于外汇汇率没有通过自由市场来决定。

  4、NEW YORK (CNNMoney. com) -- A Treasury report on

  foreign exchange rates

  has lawmakers in a tizzy about Chinas cheap currency.───纽约(CNNMoney.com)——美国财政部的各国汇率的报告使一些国会议员对中国货币的便宜感到激动。

  5、The currency worries led finance minister Yoshihiko Noda to say last week that he is closely monitoring

  foreign exchange rates

  .───因担忧日元汇率,日本财政大臣野田佳彦(YoshihikoNoda)上周表示他将密切关注外汇汇率。

  6、But how are

  foreign exchange rates

  are determined?───但是这些汇率是由什么决定的呢?

  7、To verify the daily

  foreign exchange rates

  are complying with and advertised according to the procedure.───保证每日外汇汇率及汇率的公布符合相关政策和程序。

  8、The two methods are combined to forecast seven

  foreign exchange rates

  , and expected to have better performance.───将这二者结合起来对有关日汇率进行预测,获得了较好的预测表现。

  9、issues surrounding

  foreign exchange rates

  are making a lot of headlines these days.───围绕外汇汇率的话题持续受到媒体的争相报道。

  1、foreign exchange markets───【金融】外汇市场,外汇交易市场

  2、floating exchange rates───【金融】浮动汇率

  3、forward exchange rate───远期汇率;期货汇率

  4、foreign exchanges───外汇;国际汇兑;外国汇票

  5、fixed exchange rates───固定汇率

  6、foreign exchange market───【金融】外汇市场,外汇交易市场

  7、foreign exchange rate───【金融】外汇汇率

  8、fixed exchange rate───n.固定汇率

  9、forward exchange rates───远期汇率;期货汇率

  2、

  clearingbank是什么意思?

  clearing bank英 【ˈklɪərɪŋ bæŋk】 美 【ˈklɪrɪŋ bæŋk】n.清算银行网 络清算银行;结算银行;清算行;信用证清算银行复数: clearing banks双语例句1. In us dollars in the day before clearing bank of China foreign exchange rate ( closed ) settlement. 以美元结算时按结算前一日中国银行外汇牌价 ( 收盘美元卖出价 ) 结算.2. The Central Depository Bank for Securities . Germanys central securities depository and clearing agent. 为德国的证券集中保管与结算机构.3. The clearing house sends those checks to the Federal Reserve Banks collection and clearing service. 票据交换所把这些支票寄给联邦储蓄银行的托收和票据交换业务部门.4. Every check sent to the clearing house has a receiving bank and a paying bank. 送到交换所进行交换的每张支票都有收款行和付款行.5. Automatic account checking of clearing center and bank based on document analysis bank direct networking platform. 结合文件解析和银行直联平台进行结算中心和银行的自动对帐.

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