News Release
UK Government ECU Treasury Bills
04 November 96
1 The Bank of England today announced the issue by Her Majesty's Treasury of ECU 1,000 million nominal of UK Government ECU Treasury Bills, for tender on a bid-yield basis on Tuesday, 12 November 1996 in the following maturities: ECU 200 million for maturity on 12 December 1996 ECU 500 million for maturity on 13 February 1997 and ECU 300 million for maturity on 15 May 1997.
An additional ECU 50 million nominal of six-month Bills, maturing on 15 May 1997, will be allotted directly to the Bank of England for the account of the Exchange Equalisation Account.
