On the day of an operation, results can be found on the latest operational announcements page.
Time series data
A time series of the gilt operational results can be found below.
Asset Purchase Facility gilt operational results
This spreadsheet is updated by the close of business on the day of each operation.
The spreadsheet below details the nominal value of each of the gilts purchased by the Asset Purchase Facility. These are reported on trade date basis, updated following any gilt purchase operation.
Asset Purchase Facility gilt purchases in nominal terms
A time series showing the aggregate value of purchases each week (on a trade date basis) and of the outstanding stock holdings (on a settled basis) are available on the Interactive Database. These data are updated weekly on Friday mornings.
A time series showing the average daily aggregate value of gilts lent by the Asset Purchase Facility to the UK Debt Management Office on a quarterly basis are available on the Interactive Database. These data are updated on the second Wednesday of each quarter.