| ¹ú¼Ò | ÀûÂÊ | µ±Ç° | ×îºó¸Ä¶¯ | Ï´ηÖÎö |
 | Federal Funds | 2.25% | 18-Mar-2008, -0.75% | 30-Apr-2008 | Ïðîòîêîë çàñåäàíèÿ FOMC (08.04.08) Áåæåâàÿ Êíèãà (16.04.2008) | âîçìîæíî ñíèæåíèå |  | Minimum Refinancing Tender | 4% | 06-Jun-2007, 0.25% | 08-May-2008 | Åæåìåñÿ÷íûé áþëëåòåíü (15.05.08) | íå èçìåíèòñÿ |  | Overnight Call Rate Target | 0.5% | 21-Feb-2007, 0.25% | 30-Apr-2008 | Åæåìåñÿ÷íûé îò÷åò (20.05.08), Ïðîòîêîë çàñåäàíèÿ (23.05.08) | íå èçìåíèòñÿ |  | Repo Rate | 5% | 10-Apr-2008, -0.25% | 08-May-2008 | Ïðîòîêîë çàñåäàíèÿ (24.04.08) èíôëÿöèîííûé îò÷åò (14.05.08) | âîçìîæíî ñíèæåíèå |  | 3 Month LIBOR Range | 2.25% - 3.25% | 13-Sep-2007, 0.25% | 19-Jun-2008 | Êâàðòàëüíûé îò÷åò ïî ìîíåòàðíîé ïîëèòèêå (19.06.08) | íå èçìåíèòñÿ |  | Cash Rate | 7.25% | 04-Mar-2008, 0.25% | 06-May-2008 | Åæåìåñÿ÷íûé îò÷åò (15.05.08) Îò÷åò ïî ìîíåòàðíîé ïîëèòèêå (09.05.08) | âîçìîæíî ïîâûøåíèå |  | Official Cash Rate | 8.25% | 26-Jul-2007, 0.25% | 24-Apr-2008 | Îò÷åò ïî ìîíåòàðíîé ïîëèòèêå (05.06.08) | íå èçìåíèòñÿ |
×îºóÒ»´Î¸üÐÂ: 14-May-2008
- Federal Funds Rate ¡ª¡ª ¸ÃÀûÂÊÊÇÃÀ¹úÒøÐмäµÄ¸ôÒ¹(overnight)²ð¿îÀûÂÊ£¬´ú±íµÄÊÇ¶ÌÆÚÊг¡ÀûÂÊË®×¼£¬Í¨³£FOMC»á¶ÔÁª°î»ù½ðÀûÂÊÉ趨Ŀ±êÇø¼ä£¬Í¨¹ý¹«¿ªÊг¡²Ù×÷(Open market operations)ÒÔÈ·±£ÀûÂÊά³ÖÔÚ´ËÇø¼äÄÚ¡£
- Discount Rate ¡ª¡ª Áª°î´¢±¸ÏµÍ³µÄÇøÓò³ÉÔ±ÒøÐÐÏò×Ô¼ºÇøÓòÄڵĽðÈÚ×éÖ¯ÌṩÐÅ´ûµÄ¸ôÒ¹ÀûÂÊ¡£±ÈFederal Funds Rate µÄÖØÒªÐÔҪС¡£
- Minimum Refinancing Tender¡ª¡ª
Å·Ö޵ģ¬ÀàËÆÓÚFederal Funds Rate. ECB°´¸Ã×îµÍÀûÔÚÊг¡ÉÏÍê³É½»Ò×(Open market operations)¡£Ö÷ÒªÖ¸Êý¡£
- Deposit Rate ¡ª¡ª ÏòECBÖ§¸¶µÄ¸ôÒ¹´æ¿îÀûÂÊ¡£´ÎÒªÖ¸Êý¡£
- Marginal Lending Rate ¡ª¡ª ¸ôÒ¹ÐÅ´ûÀûÂÊ¡£´ÎÒªÖ¸Êý¡£
- Overnight Call Rate Target¡ª¡ª ÈÕ±¾µÄ£¬ÀàËÆÓÚFederal Funds Rate¡£Ö÷ÒªÖ¸Êý¡£
- Discount Rate ¡ª¡ª BoJÏò˽ÈËÒøÐÐÌṩµÄ¸ôÒ¹ÐÅ´ûÀûÂÊ¡£´ÎÒªÖ¸Êý¡£
- Repo Rate ¡ª¡ª BoE°´»Ø¹º£¨repo À´×ÔÓÚrepossession£¬»Ö¸´£©·½°¸ÌṩÐÅ´ûµÄÀûÂÊ¡£BoEÔÚÒøÐйºÂò¸ôҹ֤ȯ¡ª¡ª£¬²¢Ôڹ涨ÈÕÆÚºóÂô»Ø¸ø¸ÃÒøÐС£
- 3 Month LIBOR Range ¡ª¡ª London Interbank Offered Rate 3¸öÔÂ×ʽð²ð·ÅÀûÂÊ¡£SNB¹«²¼·¶Î§Îª1%£¬ÔÚ´ËÄÚ£¬ËüŬÁ¦Ö§³Å3 month LIBOR.¡£Ö÷ÒªÖ¸Êý¡£
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