Weekly Report
|
02 December 2020 |
25 November 2020 |
£mn |
£mn |
|
Sterling Liabilities |
|
|
Reserves balances |
769,745 |
770,091 |
Short-term open market operations: |
|
|
- Fine-tuning |
- |
- |
- One-week |
- |
- |
- Other maturity within-maintenance period |
- |
- |
Notes in circulation |
83,163 |
82,708 |
Sterling Assets |
|
|
Short-term open market operations: |
|
|
- Fine-tuning |
- |
- |
- One-week |
- |
- |
- Other maturity within-maintenance period |
- |
- |
Long-term operations: |
|
|
- Indexed long-term repo |
5,873 |
5,860 |
- Contingent term repo facility |
- |
- |
Term Funding Scheme |
60,389 |
67,312 |
Term Funding Scheme with additional incentives for SMEs |
56,166 |
50,812 |
Sterling denominated bond holdings |
14,097 |
14,076 |
Loan to Asset Purchase Facility |
735,042 |
730,624 |
Loan to Covid Corporate Financing Facility |
15,142 |
15,131 |
Foreign Currency Liabilities |
|
|
Foreign currency public securities issued |
4,580 |
4,562 |
Foreign Currency Assets |
|
|
Foreign currency reserve assets |
4,578 |
4,561 |