Broad-Based Emergency Liquidity
Documents from 2008
15 October Term PRA Auction, Bank of Canada/Central Bank of Canada/La Banque du Canada
As Part of the G7 Action Plan, Bank of Canada Introduces New Measures to Provide Liquidity to the Canadian Financial System, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Act (from 2008-08-05 to 2012-05-23), Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Details of its 30 Day Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Further Details of its Term PRA Facility for Private Sector Money Market Instruments, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces New Term PRA Transactions as part of Co-ordinated G10 Central Bank Actions, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Term PRA Transactions, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Initiative to Allow Substitution of Canadian-Dollar Non-Mortgage Loan Portfolio for Current LVTS Collateral, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Introduces Further Measure to Provide Liquidity to the Canadian Financial System, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada lowers overnight rate target by 1/4 percentage point to 2 1/4 per cent, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Policy for buying and selling securities under subsection 18.1 (1) of the Bank of Canada Act, Bank of Canada/Central Bank of Canada/La Banque du Canada
Monetary Policy Report - October 2008, Bank of Canada/Central Bank of Canada/La Banque du Canada
Policy for buying and selling securities, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 10 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 15 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 19 November 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 1 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 22 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 24 November 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 29 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 12 June 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 15 May 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 17 April 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 1 May 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 20 March 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 27 October 2008 Term PRA Transaction for Private Sector Money Market Instruments, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 29 May 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 3 April 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Terms and Conditions for the Term Purchase and Resale Agreement (PRA) for Private Sector Money Market Instruments, Bank of Canada/Central Bank of Canada/La Banque du Canada
The Implementation of Monetary Policy in Canada, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of England Market Notice: Extended Collateral Long-Term Repo Operations (10/03/08), Bank of England/Central Bank of the United Kingdom
Bank of England Market Notice: Extended Collateral Long-Term Repo Operations (11/14/2008), Bank of England/Central Bank of the United Kingdom
Bank of England Market Notice: Extended-Collateral Long-Term Repo Operations (12/15/08), Bank of England/Central Bank of the United Kingdom
Bank of England Market Notice: Operational Standing Lending and Deposit Facilities; Discount Window Facility, Bank of England/Central Bank of the United Kingdom
Bank of England Market Notice: Sterling Long-Term Repo Operations; US Dollar Repo Operations; The Special Liquidity Scheme (10/08/08), Bank of England/Central Bank of the United Kingdom
Bank of England Market Notice: Sterling Long-Term Repo Operations; US Dollar Repo Operations; The Special Liquidity Scheme (10/08/08), Bank of England/Central Bank of the United Kingdom
Bank of England Market Notice: Sterling Long-Term Repo Operations; US Dollar Repo Operations; The Special Liquidity Scheme: Haircuts (10/13/08), Bank of England/Central Bank of the United Kingdom
Bank of England Market Notice: US Dollar Repo Operations; Extended Collateral Sterling Long-Term Repo Operations (09/26/08), Bank of England/Central Bank of the United Kingdom
Extended collateral three month long-term repo (10/17/08), Bank of England/Central Bank of the United Kingdom
Extended Collateral Three Month Long-Term Repo (10/24/08), Bank of England/Central Bank of the United Kingdom
Long-Term Repo Open Market Operation (04/08/08), Bank of England/Central Bank of the United Kingdom
Long-Term Repo Open Market Operations (05/13/08), Bank of England/Central Bank of the United Kingdom
Long-Term Repo Operations: Market Notice (03/11/08), Bank of England/Central Bank of the United Kingdom
Long-Term Repo Operations: Market Notice (06/10/08), Bank of England/Central Bank of the United Kingdom
Long-Term Repo Operations: Market Notice (09/09/08), Bank of England/Central Bank of the United Kingdom
The Development of the Bank of England's Market Operations, Bank of England/Central Bank of the United Kingdom
The Framework For the Bank of England's Operations in the Sterling Money Markets, Bank of England/Central Bank of the United Kingdom
Liquidity Provision by the Federal Reserve, Ben S. Bernanke
Monetary operations and the financial turmoil, Claudio Borio and William Nelson
Anatomy of a Run on the Bank, Robert F. Bruner
Review of the Hong Kong Monetary Authority's Work on Banking Stability, David T. R. Carse
The Euro Overnight Interbank Market and ECB's Liquidity Management Policy During Tranquil and Turbulent Times, Nuno Cassola and Michael Huetl
Financial Market Turmoil and Central Bank Intervention, Walter Engert, Jack Selody, and Carolyn Wilkins
Changes in tender procedure and in the standing facilities corridor, European Central Bank (ECB)
Counterparties for fine-tuning operations, European Central Bank (ECB)
Further technical specifications for the temporary expansion of the collateral framework, European Central Bank (ECB)
Magyar Nemzeti Bank and European Central Bank cooperation to support the MNB's Euro Liquidity Providing Instruments, European Central Bank (ECB)
Regulation (EC) No 1053/2008 of the European Central Bank of 23 October 2008 on temporary changes to the rules relating to eligibility of collateral, European Central Bank (ECB)
Specific measures to address liquidity pressures in funding markets, European Central Bank (ECB)
Announcement of the Commercial Paper Funding Facility (CPFF), Federal Reserve System: Board of Governors
Draft Commercial Paper Funding Facility (CPFF) Terms and Conditions, Federal Reserve System: Board of Governors
Federal Reserve and other central banks announce further coordinated actions to expand significantly the capacity to provide U.S. dollar liquidity, Federal Reserve System: Board of Governors
Federal Reserve announces two initiatives to address heightened liquidity pressures in term funding markets, Federal Reserve System: Board of Governors
Conference Call Transcript of the Federal Open Market Committee on December 6, 2007, Federal Reserve System: Board of Governors: Federal Open Market Committee (FOMC)
FOMC statement: Federal Reserve and other central banks announce specific measures designed to address liquidity pressures in funding markets, Federal Reserve System: Board of Governors: Federal Open Market Committee (FOMC)
Meeting Transcript of the Federal Open Market Committee on January 29, 2008, Federal Reserve System: Board of Governors: Federal Open Market Committee (FOMC)
Meeting Transcript of the Federal Open Market Committee on October 7, 2008, Federal Reserve System: Board of Governors: Federal Open Market Committee (FOMC)
Half-Yearly Monetary and Financial Stability Report, Hong Kong Monetary Authority
HKMA to adjust the formula for determination of the Base Rate: Annex, Hong Kong Monetary Authority
HKMA to provide liquidity assistance to licensed banks in Hong Kong, Hong Kong Monetary Authority
Hong Kong Interbank Interest Rates – Daily figures – Hong Kong Monetary Authority, Hong Kong Monetary Authority
Provision of Liquidity Assistance To Licensed Banks in Hong Kong: Annex 2, Hong Kong Monetary Authority
Refinements to the measures for providing liquidity assistance to licensed banks in Hong Kong, Hong Kong Monetary Authority
The Three-tier Banking System, Hong Kong Monetary Authority
Report on Currency Board Operations (6 August 2008 – 19 September 2008): Annex, Hong Kong Monetary Authority: Exchange Fund Advisory Committee: Currency Board Sub-Committee
People's Republic of China—Hong Kong Special Administrative Region: Staff Report for the 2008 Article IV Consultation, International Monetary Fund (IMF)
Work in progress – the Bank of Canada's response to the financial turbulence, David Longworth
The MNB's O/N FX swap standing facility providing euro, Magyar Nemzeti Bank (MNB)
The MNB's two-way O/N FX swap tenders (providing euro and forint liquidity), Magyar Nemzeti Bank (MNB)
The Federal Reserve's Tools for Responding to Financial Disruptions, Frederic S. Mishkin
Monthly financial statement of the National Bank of Belgium, National Bank of Belgium
St.prp.nr.30 (2008-2009), Norway: Ministry of Finance
St.prp. nr. 5 (2008-2009), Norway: Ministry of Finance
BYTTE AV STATSPAPIRER MOT OBLIGASJONER MED FORTRINNSRETT / GJENKJØPSAVTALE, Norway: Norges Bank
Monetary Policy Report 3/2008, Norway: Norges Bank
Ordningen med bytte av statspapirer mot obligasjoner med fortrinnsrett, Norway: Norges Bank
The rules concerning the Banks' Guarantee Fund, Norway: Norges Bank
Bank of England liquidity measures, Reuters Staff
When Washington Shut Down Wall Street: The Great Financial Crisis of 1914 and the Origins of America's Monetary Supremacy, William Silber
Central bank measures to address elevated pressures in short term funding markets, Swiss National Bank
The Hungarian Banking System 20 Years After Modernization, Éva V¡rhegyi
Documents from 2007
The liquidity management of the Eurosystem during the period of financial turmoil, Luc Aucremanne, Jef Boeckx, and Olivier Vergote
Bank of Canada Temporarily Expands List of Securities Eligible for Term PRA Transactions, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Temporarily Expands List of Securities Eligible for Term PRA Transactions, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 18 December 2007 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada