Weekly Report
| 
             
  | 
            
             30 December 2020  | 
            
             23 December 2020  | 
        
| 
             £mn  | 
            
             £mn  | 
        |
            Sterling Liabilities | 
            
             
  | 
            
             
  | 
        
| 
             Reserves balances  | 
            
             767,807  | 
            
             770,976  | 
        
| 
             Short-term open market operations:  | 
            
             
  | 
            
             
  | 
        
| 
             - Fine-tuning  | 
            
             -  | 
            
             -  | 
        
| 
             - One-week  | 
            
             -  | 
            
             -  | 
        
| 
             - Other maturity within-maintenance period  | 
            
             -  | 
            
             -  | 
        
| 
             Notes in circulation  | 
            
             85,394  | 
            
             85,246  | 
        
            Sterling Assets | 
            
             
  | 
            
             
  | 
        
| 
             Short-term open market operations:  | 
            
             
  | 
            
             
  | 
        
| 
             - Fine-tuning  | 
            
             -  | 
            
             -  | 
        
| 
             - One-week  | 
            
             -  | 
            
             -  | 
        
| 
             - Other maturity within-maintenance period  | 
            
             -  | 
            
             -  | 
        
| 
             Long-term operations:  | 
            
             
  | 
            
             
  | 
        
| 
             - Indexed long-term repo  | 
            
             4,698  | 
            
             4,698  | 
        
| 
             - Contingent term repo facility  | 
            
             -  | 
            
             -  | 
        
| 
             Term Funding Scheme  | 
            
             50,110  | 
            
             50,405  | 
        
| 
             Term Funding Scheme with additional incentives for SMEs  | 
            
             68,243  | 
            
             68,222  | 
        
| 
             Sterling denominated bond holdings  | 
            
             14,179  | 
            
             14,175  | 
        
| 
             Loan to Asset Purchase Facility  | 
            
             744,937  | 
            
             744,937  | 
        
| 
             Loan to Covid Corporate Financing Facility  | 
            
             12,162  | 
            
             12,237  | 
        
            Foreign Currency Liabilities | 
            
             
  | 
            
             
  | 
        
| 
             Foreign currency public securities issued  | 
            
             4,489  | 
            
             4,516  | 
        
            Foreign Currency Assets | 
            
             
  | 
            
             
  | 
        
| 
             Foreign currency reserve assets  | 
            
             4,487  | 
            
             4,513  |