银行之间隔夜借入的资金。这种银行间拆借通常是为了让银行能够满足美联储所设定的准备金要求。
每日储备金要求是银行在其地区联邦储备所需要维持的金额。储备金要求基于每家银行持有的客户存款数量。
The monies borrowed overnight on a bank-to-bank basis. This interbank borrowing is usually done to allow a bank to meet the reserve requirements set by the Federal Reserve.
The daily reserve requirements is the amount of money that banks are required to maintain at their regional Federal Reserve. Reserve requirements are based on the volume of customer deposits that each bank holds.
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