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欧元银行同业拆息 - Ouyuan yinhang tongye chaixi
参见: 欧元银行同业隔夜拆息, Eonia, 浮动利率票据, FRN, 伦敦银行同业拆借利率
英文Euro Interbank Offered Rate的缩写,欧元的货币市场基准利率,期限从1周至12个月不等,是银行向同业拆放款的利率。
Euribor
Euro-Denominated Interbank Offered Rate. The Europe-wide version of the London and Paris interbank offered rates, which are the rates that banks lend to each other in the money market. Euribor serves as a benchmark short-term interest rate for European money markets.
