Weekly Report
|
20 January 2021 |
13 January 2021 |
£mn |
£mn |
|
Sterling Liabilities |
|
|
Reserves balances |
762,656 |
775,003 |
Short-term open market operations: |
|
|
- Fine-tuning |
- |
- |
- One-week |
- |
- |
- Other maturity within-maintenance period |
- |
- |
Notes in circulation |
84,100 |
84,408 |
Sterling Assets |
|
|
Short-term open market operations: |
|
|
- Fine-tuning |
- |
- |
- One-week |
- |
- |
- Other maturity within-maintenance period |
- |
- |
Long-term operations: |
|
|
- Indexed long-term repo |
4,788 |
4,788 |
- Contingent term repo facility |
- |
- |
Term Funding Scheme |
46,975 |
47,410 |
Term Funding Scheme with additional incentives for SMEs |
63,996 |
68,561 |
Sterling denominated bond holdings |
14,303 |
14,252 |
Loan to Asset Purchase Facility |
756,777 |
752,337 |
Loan to Covid Corporate Financing Facility |
12,281 |
12,182 |
Foreign Currency Liabilities |
|
|
Foreign currency public securities issued |
4,478 |
4,482 |
Foreign Currency Assets |
|
|
Foreign currency reserve assets |
4,476 |
4,480 |