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Additional US dollar liquidity-providing operations over year-end
In coordination with the European Central Bank, the Swiss National Bank, the Bank of Japan, and the Federal Reserve, the Bank of England is today announcing that it will conduct three US dollar tenders, each at a term of approximately three months covering the end of the year.
15 September 2011
These tenders will be in addition to the ongoing weekly 7-day tenders of dollar funding announced on 10 May 2010.