中国将人民币的日利率提高到7.1089,并为稳定市场注入了流动资金。
China strengthened yuan's daily rate to 7.1089 and injected liquidity to stabilize markets.
中国人民银行于2025年9月29日将中国人民币的每日参考利率设定为7.1089, 略高于前一天,
The People's Bank of China set the yuan's daily reference rate at 7.1089 on September 29, 2025, slightly stronger than the previous day, within a managed float system allowing up to 2% daily movement.
人民银行通过为期7天的逆向回购,注入2886亿元人民币,以支持流动性。
The PBOC injected 288.6 billion yuan via a 7-day reverse repurchase to support liquidity.
中央银行利用利率、储备要求和外汇干预等工具来管理稳定,并在不断变化的全球和国内条件下支持经济目标。
The central bank uses tools like interest rates, reserve requirements, and foreign exchange interventions to manage stability and support economic goals amid shifting global and domestic conditions.