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Home > Markets > Other Official Operations
 

Other Official Operations

Details of other official operations are provided below.

Sterling Bond Portfolio

The Bank announced on 31 May 2013 that it would undertake four reverse auctions to invest the increase in Cash Ratio Deposits (CRDs) placed at the Bank from 3 June 2013. The operational details of those auctions are set out in the Market Notice below.

Market Notice - Investment of additional Cash Ratio Deposits (55KB)

US dollar repo operations

In September 2008 the Bank introduced US dollar repo operations.

US Dollar Repo Operations

Special Liquidity Scheme

In April 2008 the Bank introduced Special Liquidity Scheme which officially closed on 30 January 2012.

Special Liquidity Scheme