Export source data
Date | Monthly amounts outstanding of Channel Islands and Isle of Man institutions' all foreign currency issues of CDs, commercial paper and other short term paper (in sterling millions) not seasonally adjusted [a] LPMVZVR |
---|---|
31 Jan 10 | 28629 |
28 Feb 10 | 29191 |
31 Mar 10 | 20222 |
30 Apr 10 | 20853 |
31 May 10 | 19950 |
30 Jun 10 | 19738 |
31 Jul 10 | 19090 |
31 Aug 10 | 19472 |
30 Sep 10 | 21144 |
31 Oct 10 | 22000 |
30 Nov 10 | 23578 |
31 Dec 10 | 25286 |
31 Jan 11 | 25942 |
28 Feb 11 | 25313 |
31 Mar 11 | 26104 |
30 Apr 11 | 24916 |
31 May 11 | 26639 |
30 Jun 11 | 27961 |
31 Jul 11 | 28126 |
31 Aug 11 | 29160 |
30 Sep 11 | 29491 |
31 Oct 11 | 28295 |
30 Nov 11 | 29258 |
31 Dec 11 | 27745 |
31 Jan 12 | 27834 |
29 Feb 12 | 27952 |
31 Mar 12 | 28743 |
30 Apr 12 | 28301 |
31 May 12 | 28120 |
30 Jun 12 | 27377 |
31 Jul 12 | 27281 |
31 Aug 12 | 27954 |
30 Sep 12 | 22648 |
31 Oct 12 | 22069 |
30 Nov 12 | 22230 |
31 Dec 12 | 21239 |
31 Jan 13 | 22121 |
28 Feb 13 | 22999 |
31 Mar 13 | 22641 |
30 Apr 13 | 22371 |
31 May 13 | 22672 |
30 Jun 13 | 21832 |
31 Jul 13 | 22533 |
31 Aug 13 | 22271 |
30 Sep 13 | 20935 |
31 Oct 13 | 21512 |
30 Nov 13 | 21043 |
31 Dec 13 | 21142 |
31 Jan 14 | 20937 |
28 Feb 14 | 20740 |
31 Mar 14 | 21668 |
30 Apr 14 | 21825 |
31 May 14 | 21032 |
30 Jun 14 | 19952 |
31 Jul 14 | 19890 |
31 Aug 14 | 20226 |
30 Sep 14 | 20557 |
31 Oct 14 | 21124 |
30 Nov 14 | 22332 |
31 Dec 14 | 21117 |
31 Jan 15 | 21180 |
28 Feb 15 | 20340 |
31 Mar 15 | 16713 |
30 Apr 15 | 13667 |
31 May 15 | 13289 |
30 Jun 15 | 11853 |
31 Jul 15 | 11892 |
31 Aug 15 | 10890 |
30 Sep 15 | 9312 |
31 Oct 15 | 9037 |
30 Nov 15 | 8909 |
31 Dec 15 | 8301 |
31 Jan 16 | 9190 |
29 Feb 16 | 9701 |
31 Mar 16 | 8794 |
30 Apr 16 | 9573 |
31 May 16 | 9192 |
30 Jun 16 | 10445 |
31 Jul 16 | 10806 |
31 Aug 16 | 10831 |
30 Sep 16 | 9755 |
31 Oct 16 | 12757 |
30 Nov 16 | 11470 |
31 Dec 16 | 11048 |
31 Jan 17 | 10294 |
28 Feb 17 | 12346 |
31 Mar 17 | 11214 |
30 Apr 17 | 10435 |
31 May 17 | 10995 |
30 Jun 17 | 11158 |
31 Jul 17 | 10611 |
31 Aug 17 | 11006 |
30 Sep 17 | 10973 |
31 Oct 17 | 11037 |
30 Nov 17 | 11016 |
31 Dec 17 | 11217 |
31 Jan 18 | 11402 |
28 Feb 18 | 11907 |
31 Mar 18 | 12097 |
30 Apr 18 | 12037 |
31 May 18 | 12505 |
30 Jun 18 | 12905 |
31 Jul 18 | 13714 |
31 Aug 18 | 13820 |
30 Sep 18 | 13970 |
31 Oct 18 | 13630 |
30 Nov 18 | 13621 |
31 Dec 18 | 13408 |
31 Jan 19 | 12083 |
28 Feb 19 | 12583 |
31 Mar 19 | 11282 |
30 Apr 19 | 11126 |
31 May 19 | 11439 |
30 Jun 19 | 9025 |
31 Jul 19 | 9433 |
31 Aug 19 | 8706 |
30 Sep 19 | 8365 |
31 Oct 19 | 7980 |
30 Nov 19 | 7690 |
31 Dec 19 | 7222 |
31 Jan 20 | 7286 |
29 Feb 20 | 7371 |
31 Mar 20 | 7564 |
30 Apr 20 | 7152 |
31 May 20 | 7466 |
30 Jun 20 | 7908 |
31 Jul 20 | 7640 |
31 Aug 20 | 7430 |
30 Sep 20 | 8376 |
31 Oct 20 | 8084 |
30 Nov 20 | 7817 |
31 Dec 20 | 7692 |
Notes:
[a] Due to a change in the accounting treatment resulting in a reclassification at one institution, amounts outstanding have decreased by £5bn. This effect has been adjusted out of the flows for September 2012. (30 Sep 2012)