财政部、央行定于11月24日进行2025年中央国库现金管理商业银行定期存款(十一期)招投标
Zheng Quan Shi Bao Wang·2025-11-19 09:42

Core Viewpoint - The Ministry of Finance and the People's Bank of China are conducting a tender for the 2025 Central Treasury Cash Management Commercial Bank Time Deposit (Phase 11) to enhance the efficiency of cash usage and improve coordination between fiscal and monetary policies [1] Group 1 - The tender is scheduled for November 24, 2025, from 9:00 to 9:30 AM [1] - The operation volume for this tender is set at 120 billion yuan, with a maturity period of one month (28 days) [1] - The interest rate will be determined through a bidding process, using a single price method for participating banks [1]