伦敦银行同业拆借利率的中文解释
英文The London Interbank Offered Rate的缩写,指伦敦银行同业市场拆借短期资金(隔夜至一年)的利率,代表国际货币市场的拆借利率,是
最常用的短期利率基准之一,可作为贷款或浮动利率票据的利率基准,比如美元浮息票据的利率常以美元三个月期Libor加若干基点的方式订定.
Libor的英文解释
One of the most important money market rates at which banks lend funds to each other. Three-month Libor is one of the most widely used interest rates in the fixed-income universe. It is often the base rate for bond issues from corporates and countries, both fixed and floating rate notes. The coupon on floating rate notes is often a fixed number of basis points above three-month Libor. Three-month Libor is also the key rate for the floating rate leg of interest-rate swaps. Eurodollar futures, the most traded futures in the world, are based on three-month Libor.