CPQB77I

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Date Quarterly repayments of all currency securities by PNFCs total in sterling not seasonally adjusted
[a]
CPQB77I
31 Mar 10 13783
30 Jun 10 12645
30 Sep 10 14026
31 Dec 10 13708
31 Mar 11 9920
30 Jun 11 12022
30 Sep 11 11623
31 Dec 11 8338
31 Mar 12 13687
30 Jun 12 15789
30 Sep 12 16737
31 Dec 12 18388
31 Mar 13 11142
30 Jun 13 13376
30 Sep 13 13590
31 Dec 13 15580
31 Mar 14 20708
30 Jun 14 16439
30 Sep 14 12765
31 Dec 14 11645
31 Mar 15 12097
30 Jun 15 13562
30 Sep 15 8377
31 Dec 15 9515
31 Mar 16 13585
30 Jun 16 13550
30 Sep 16 14112
31 Dec 16 16608
31 Mar 17 18401
30 Jun 17 18213
30 Sep 17 21981
31 Dec 17 29657
31 Mar 18 25085
30 Jun 18 24141
30 Sep 18 21560
31 Dec 18 26834
31 Mar 19 24054
30 Jun 19 28036
30 Sep 19 24274
31 Dec 19 24164
31 Mar 20 22868
30 Jun 20 25759
30 Sep 20 18685
31 Dec 20 18887
31 Mar 21 26412
30 Jun 21 22323
30 Sep 21 23012
31 Dec 21 17357
31 Mar 22 25970
30 Jun 22 26982
30 Sep 22 22190
31 Dec 22 25640
31 Mar 23 27575
30 Jun 23 28276
30 Sep 23 22761
31 Dec 23 20093

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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