摘要
2002年1月份共有20个交易日,银行间外汇市场日均成交量回升,外汇供大于求的顺差扩大,人民币汇率保持稳定。
There were 20 working days in January 2002. With a stable exchange rate of RMB against USD, the average daily trade volume in the interbank forex market went up, and the excess of forex supply over demand enlarged.
出处
《中国货币市场》
2002年第2期53-55,共3页
China Money
关键词
中国
银行间外汇市场
市场供求
外商投资
日均成交量
interbank forex market
average daily trade volume
excess of forex supply over demand
exchange rate