Consolidated balance sheet
|
|
31 March 2023 |
Sterling Liabilities |
£mn |
|
Reserves balances |
906,506 |
|
Short-term open market operations |
|
|
|
Fine-tuning |
- |
|
One-week |
- |
|
Other maturity within-maintenance period |
- |
Notes in circulation |
86,269 |
|
Cash ratio deposits |
13,417 |
|
Other sterling liabilities |
36,486 |
|
Capital & reserves (equity) |
4,223 |
|
Foreign Currency Liabilities |
|
|
Foreign currency public securities issued |
11,561 |
|
Other foreign currency liabilities |
8,180 |
|
Total Liabilities |
1,066,642 |
|
Sterling Assets |
|
|
Short-term open market operations |
|
|
|
Fine-tuning |
- |
|
One-week |
- |
|
Other maturity within-maintenance period |
- |
Longer-term reverse repos |
|
|
|
Indexed long-term repo |
2,715 |
|
Contingent term repo facility |
- |
Sterling denominated bond holdings |
17,741 |
|
TFS Loans |
- |
|
TFSME Loans |
175,920 |
|
Loan to Asset Purchase Facility |
843,736 |
|
Deposit with Alternative Liquidity Facility |
46 |
|
Loan to Covid Corporate Financing Facility |
- |
|
Ways and means advance to the National Loans Fund |
370 |
|
Other sterling assets |
3,451 |
|
Foreign Currency Assets |
|
|
Foreign currency reserve assets |
10,756 |
|
Other foreign currency assets |
11,907 |
|
Total Assets |
1,066,642 |