A.以匯票出質(zhì)的,質(zhì)權(quán)自權(quán)利憑證交付質(zhì)權(quán)人時(shí)設(shè)立
B.以基金份額出質(zhì)的,質(zhì)權(quán)自證券登記結(jié)算機(jī)構(gòu)辦理出質(zhì)登記時(shí)設(shè)立
C.以專(zhuān)利權(quán)中的財(cái)產(chǎn)權(quán)出質(zhì)的,質(zhì)權(quán)自專(zhuān)利證書(shū)交付時(shí)設(shè)立
D.以應(yīng)收賬款出質(zhì)的,質(zhì)權(quán)自信貸征信機(jī)構(gòu)辦理出質(zhì)登記時(shí)設(shè)立