On the last trading day of 1999,the whole spectrum of interbank interest rates fell as banks had largely arranged for adequate funding and some started to place out surplus liquidity in anticipation of a safe rollover into Year 2000.
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美
- 在一九九九年最后一个交易日,由于银行大都安排了充裕的流动资金,部分银行预期安全进到2000年,开始把过剩的流动资金拆出,因此各种期限的银行同业拆息均下跌。