The coupon rate is paid semi - annually for exchange fund notes . exchange fund notes fixings.
以外汇基金债券为例,按息票率计算的利息每半年派付一次。
Since then , all licensed banks have had to maintain direct clearing accounts with the exchange fund.
由那时起,所有持牌银行必须直接在外汇基金开设结算帐户。
The Tentative Issuance Schedule is a timetable on Exchange Fund Bills and Notes to be tendered in the next quarter.
暂定发行时间表是外汇基金票据及债券将于下一季进行投标的时间表。
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