EXCEL File, 64.5 KB
每日金融數據
| Opening Aggregate Balance | 34,270 mn |
| Closing Aggregate Balance | 33,126 mn |
| Change Attributable to | |
Market Activities* |
+853 mn |
Interest Payment/Issuance of Exchange Fund Bills and Notes# |
-1,997 mn |
Discount Window Reversal |
-0 mn |
Discount Window Today |
+0 mn |
The figures may not add up due to rounding.
* This includes spot FX transactions and other market activities.
# This refers to the increase in the Aggregate Balance due to interest payments on Exchange Fund paper. The earliest opportunity will be taken to issue new Exchange Fund paper to absorb such increase in the Aggregate Balance.
| Time | Aggregate Balance of Settlement Accounts |
|---|---|
| 09:30 | 41,451 mn |
| 10:00 | 42,182 mn |
| 11:00 | 63,064 mn |
| 12:00 | 84,811 mn |
| 15:00 | 89,936 mn |
| 16:00 | 97,643 mn |
Date and Time 18:30, 05/11/2008
| Forex Transactions | Other Market Activities | Reversal of Discount Window | Interest Payment/ Issuance of EFBN | Forecast Aggregate Balance after Discount Window Reversal | |
|---|---|---|---|---|---|
| 06/11/2008 | +814 mn | +0 mn | -0 mn | +0 mn | 33,940 mn |
| 07/11/2008 | +0 mn | +0 mn | -0 mn | +0 mn | 33,940 mn |
| 10/11/2008 | +0 mn | +0 mn | -0 mn | +0 mn | 33,940 mn |
| After 10/11/2008 | +0 mn | +0 mn | -0 mn | -5 mn | 33,940 mn |
The figures may not add up due to rounding.
* Including additional issuance of Exchange Fund Bills on 5 November by HK$2 bn. For details, please refer to the press release available on the HKMA website.
Date and Time 18:40, 05/11/2008
| After Discount Window | Before Discount Window | |
|---|---|---|
| Certificates of Indebtedness | 171,155 mn | 171,155 mn |
| Government Notes/Coins in Circulation | 8,220 mn | 8,220 mn |
| Closing Aggregate Balance* | 33,126 mn | 33,126 mn |
| Outstanding Exchange Fund Bills and Notes+ | 154,150 mn | 154,150 mn |
of which: held by Licensed Banks+ |
101,962 mn | 101,962 mn |
| Total | 366,651 mn |
Please refer to the Reference Manual of Exchange Fund Bills and Notes Indicative Pricings for the disclaimer and other related information.