27 January 2021

20 January 2021

£mn

£mn

Sterling Liabilities

Reserves balances

778,484

762,656

Short-term open market operations:

- Fine-tuning

-

-

- One-week

-

-

- Other maturity within-maintenance period

-

-

Notes in circulation

84,120

84,100

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

46,791

46,975

Term Funding Scheme with additional incentives for SMEs

66,617

63,996

Sterling denominated bond holdings

14,393

14,303

Loan to Asset Purchase Facility

761,217

756,777

Loan to Covid Corporate Financing Facility

12,058

12,281

Foreign Currency Liabilities

Foreign currency public securities issued

4,458

4,478

Foreign Currency Assets

Foreign currency reserve assets

4,457

4,476

Attachments

  • Original document
  • Permalink

Disclaimer

Bank of England published this content on 28 January 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 28 January 2021 15:11:09 UTC.