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U.S. Dollar Funds-Supplying Operations against Pooled Collateral (Invalid)

日本語

Funds-supplying operations by which the Bank, after obtaining funds under the U.S. dollar-yen swap agreement with the Federal Reserve, extends U.S. dollar denominated loans to its counterparties, which are backed by collateral submitted to the Bank by them.

Introduction or Modification of Schemes of Operations

Table : Introduction or Modification of Schemes of Operations
Date Releases
Jan. 28, 2010 Completion of Temporary Reciprocal Currency Arrangements [PDF 10KB]
July 15, 2009 Amendments to Principal Terms and Conditions for Money Market Operations [PDF 40KB]
July 15, 2009 Statement on Monetary Policy (Policy unchanged, Announced at 1:35 p.m.) [PDF 32KB]
June 26, 2009 Extension of temporary reciprocal currency arrangements [PDF 72KB]
Feb. 19, 2009 Amendments to Principal Terms and Conditions for Money Market Operations [PDF 45KB]
Feb. 19, 2009 Statement on Monetary Policy (Policy unchanged, Announced at 1:52 p.m.) [PDF 80KB]
Feb. 4, 2009 Extension of U.S. dollar swap arrangements [PDF 78KB]
Dec. 19, 2008 Amendment to "Principal Terms and Conditions for U.S. Dollar Funds-Supplying Operations against Pooled Collateral" [PDF 16KB]
Oct. 14, 2008 Introduction of Measures regarding Money Market Operations to Ensure Stability in Financial Markets [PDF 12KB]
Oct. 14, 2008 Amendment to "Principal Terms and Conditions for the Purchase/Sale of Japanese Government Securities with Repurchase Agreements" [PDF 238KB]
Oct. 13, 2008 Further Measures to Improve Liquidity in Short-Term U.S. Dollar Funding Markets [PDF 80KB]
Oct. 7, 2008 Schedules for auctions of U.S. dollar liquidity provision through December, 2008 [PDF 20KB]
Sept. 29, 2008 Further Coordinated Actions Designed to Address Elevated Pressures [PDF 11KB]
Sept. 29, 2008 Amendment to "Principal Terms and Conditions for U.S. Dollar Funds-Supplying Operations against Pooled Collateral" [PDF 11KB]
Sept. 18, 2008 Introduction of US Dollar Funds-Supplying Operations against Pooled Collateral [PDF 24KB]
Sept. 18, 2008 Coordinated Measures Designed to Address Elevated Pressures in Short-Term Funding Markets [PDF 11KB]

Releases Related to the Schedule of Operations

Table : Releases Related to the Schedule of Operations
Date Releases
Oct. 7, 2008 Schedules for auctions of U.S. dollar liquidity provision through December, 2008 [PDF 20KB]

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