CPQB3EK

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Date Quarterly repayments of all sterling securities by PNFCs total in sterling not seasonally adjusted
[a]
CPQB3EK
31 Mar 10 3416
30 Jun 10 5511
30 Sep 10 7768
31 Dec 10 6835
31 Mar 11 4373
30 Jun 11 6814
30 Sep 11 7072
31 Dec 11 3576
31 Mar 12 7885
30 Jun 12 8805
30 Sep 12 10305
31 Dec 12 9295
31 Mar 13 3845
30 Jun 13 6288
30 Sep 13 4694
31 Dec 13 6209
31 Mar 14 5800
30 Jun 14 5029
30 Sep 14 5082
31 Dec 14 4733
31 Mar 15 3369
30 Jun 15 2929
30 Sep 15 2027
31 Dec 15 3846
31 Mar 16 2773
30 Jun 16 2080
30 Sep 16 3413
31 Dec 16 6350
31 Mar 17 3660
30 Jun 17 4390
30 Sep 17 9460
31 Dec 17 10672
31 Mar 18 6249
30 Jun 18 4562
30 Sep 18 6561
31 Dec 18 9723
31 Mar 19 8114
30 Jun 19 9292
30 Sep 19 5880
31 Dec 19 6249
31 Mar 20 5816
30 Jun 20 9186
30 Sep 20 6973
31 Dec 20 6455
31 Mar 21 10827
30 Jun 21 7341
30 Sep 21 10611
31 Dec 21 9365
31 Mar 22 15043
30 Jun 22 15439
30 Sep 22 12904
31 Dec 22 11624
31 Mar 23 10917
30 Jun 23 8362
30 Sep 23 9103
31 Dec 23 9376

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Notes:

[a] In the February 2024 publication, a number of months within this series were revised due to the reclassification of one issuer from UK resident to non-resident, this impacts data from January 2018 to December 2023 with the largest revision being £184 million in June 2021. Revisions to other months were on average less than £4 million