In this section
- Bank of England Market Operations Guide: Our objectives
- Bank of England Market Operations Guide: Our tools
- Information for applicants
- Information for participants
- Results and usage data
- Settlement and collateral management
- Documentation
- Consultations and other information
- The Sterling Bond Portfolio
This page contains links to all documentation relevant to our facilities, except Market Notices which can be found on the Information for participants page.
The Sterling Monetary Framework
Legal documentation
Reserves Account Facility documentation
Operational Standing Facility documentation
Short-Term Repo documentation
Indexed Long-Term Repo documentation
Temporary Expanded Collateral Repo Facility documentation
Discount Window Facility documentation
Contingent Term Repo Facility documentation
Other documentation
- Report on the Bank’s official market operations 2023-24
- Report on the Bank's official market operations 2022–23
- Report on the Bank's official market operations 2021–22
- Report on the Bank’s official market operations 2019–21
- Explanatory Note: Managing the operational implications of APF unwind for asset sales, control of short-term market interest rates and the Bank of England’s balance sheet
The Asset Purchase Facility
Legal documentation
Other documentation
Term Funding Scheme with additional incentives for SMEs (TFSME)
TFSME documentation
The Alternative Liquidity Facility
This page was last updated 31 July 2024