Since the inception of the linked exchange rate system in October 1983,the issuance and redemption of bank notes,through the note-issuing banks,are required to be made against US dollars at the fixed exchange rate of $7.80 to US$1.

 
  • 自一九八三年十月联系汇率制度实施以来,发钞银行在发行及赎回银行纸币时,须按1美元兑7.;8港元的固定汇率以美元结算。
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