The Base Rate is set at the higher of the simple average of the five-day moving averages of overnight and one-month HIBORs,and the US Federal Funds Target Rate plus an adjustment factor,currently set at 150 basis points.
英
美
- 基本利率按港元隔夜及一個(gè)月銀行同業(yè)拆息的五日簡(jiǎn)單平均數,或美國聯(lián)邦基金目標利率加一個(gè)系數(現定為150基點(diǎn))厘定,以較高者為準。