COVID-19 Crisis (2020 - 2021)
Documents from 2021
Canada Gazette, Part I, Volume 155, Number 18: GOVERNMENT NOTICES, Canada Gazette
A global database on central banks' monetary responses to Covid-19, Carlos Cantº, Paolo Cavallino, Fiorella De Fiore, and James Yetman
Primary markets for short-term debt and the stabilizing effects of the PDCF, Mark Carlson and Marco Macchiavelli
The Term Asset-Backed Securities Loan Facility, Elizabeth Caviness, Asani Sarkar, Ankur Goyal, and Woojung Park
Annual Report 2020, Central Bank of the Republic of Kosovo
Did Dealers Fail to Make Markets during the Pandemic?, Jiakai Chen, Haoyang Liu, David Rubio, Asani Sarkar, and Zhaogang Song
The COVID-19 Crisis and the Federal Reserve's Policy Response, Richard H. Clarida, Burcu Duygan-Bump, and Chiara Scotti
The Role of Non-bank Financial Intermediaries in the 'Dash for Cash' in Sterling Markets, Robert Czech, Bernat Gual-Ricart, Joshua Lillis, and Jack Worlidge
Monetary Policy and Central Banking in the Covid Era, William "Bill" English, Kristin Forbes, and Angel Ubide
Designing the Main Street Lending Program: Challenges and Options, William "Bill" English and Nellie Liang
Asset-backed securities purchase programme (ABSPP), European Central Bank (ECB)
Asset purchase programmes, European Central Bank (ECB)
Corporate Sector Purchase Programme (CSPP), European Central Bank (ECB)
Daily liquidity conditions, European Central Bank (ECB)
March 2021 Monetary policy decisions, European Central Bank (ECB)
Public Sector Purchase Programme (PSPP), European Central Bank (ECB)
Securities Lending of Holdings Under the Asset Purchase Programme (APP) and Pandemic Emergency Purchase Programme (PEPP), European Central Bank (ECB)
Statement Regarding Repurchase Agreement Arrangements, Federal Reserve Board of Governors (FRB)
Discount Window Margins and Collateral Guidelines, Federal Reserve System
Disclosures Pursuant to Section 11(s) of the Federal Reserve Act - 12/30/2021, Federal Reserve System: Board of Governors
Disclosures Pursuant to Section 11(s) of the Federal Reserve Act - Main Street Lending Program, Federal Reserve System: Board of Governors
Disclosures Regarding the Emergency Lending Response to COVID-19, Pursuant to Section 11(s) of the Federal Reserve Act: Term Asset-Backed Securities Loan Facility II (TALF II), Federal Reserve System: Board of Governors
Federal Reserve Board announces it will extend its Paycheck Protection Program Liquidity Facility, or PPPLF, by three months to June 30, 2021, Federal Reserve System: Board of Governors
Federal Reserve Board announces plans to begin winding down the portfolio of the Secondary Market Corporate Credit Facility, Federal Reserve System: Board of Governors
Financial Stability Report (May 2021), Federal Reserve System: Board of Governors
Financial Stability Report (May 2021), Federal Reserve System: Board of Governors
FRB: H.4.1 Release - Factors Affecting Reserve Balances (February 25, 2021), Federal Reserve System: Board of Governors
March 2021 Senior Financial Officer Survey, Federal Reserve System: Board of Governors
MLF - Transaction-specific Disclosures as of December 31, 2020, Federal Reserve System: Board of Governors
Municipal Liquidity Facility transaction-specific disclosures - 5/10/21, Federal Reserve System: Board of Governors
Paycheck Protection Program Liquidity Facility Term Sheet, Effective June 25, 2021, Federal Reserve System: Board of Governors
Periodic Report: Update on Outstanding Lending Facilities Authorized by the Board under Section 13(3) of the Federal Reserve Act - April 9, 2021, Federal Reserve System: Board of Governors
Periodic Report: Update on Outstanding Lending Facilities Authorized by the Board under Section 13(3) of the Federal Reserve Act (August 10, 2021), Federal Reserve System: Board of Governors
Periodic Report: Update on Outstanding Lending Facilities Authorized by the Board under Section 13(3) of the Federal Reserve Act - February 8, 2021, Federal Reserve System: Board of Governors
Periodic Report: Update on Outstanding Lending Facilities Authorized by the Board under Section 13(3) of the Federal Reserve Act - January 9, 2021, Federal Reserve System: Board of Governors
Periodic Report: Update on Outstanding Lending Facilities Authorized by the Board under Section 13(3) of the Federal Reserve Act (July 12, 2021), Federal Reserve System: Board of Governors
Periodic Report: Update on Outstanding Lending Facilities Authorized by the Board under Section 13(3) of the Federal Reserve Act - June 10, 2021, Federal Reserve System: Board of Governors
Periodic Report: Update on Outstanding Lending Facilities Authorized by the Board under Section 13(3) of the Federal Reserve Act - March 10, 2021, Federal Reserve System: Board of Governors
Periodic Report: Update on Outstanding Lending Facilities Authorized by the Board under Section 13(3) of the Federal Reserve Act March 10, 2021, Federal Reserve System: Board of Governors
Periodic Report: Update on Outstanding Lending Facilities Authorized by the Board under Section 13(3) of the Federal Reserve Act (May 9, 2021), Federal Reserve System: Board of Governors
Periodic Report: Update on Outstanding Lending Facilities Authorized by the Board under Section 13(3) of the Federal Reserve Act (September 10, 2021), Federal Reserve System: Board of Governors
PPPLF FAQs, Federal Reserve System: Board of Governors
PPPLF transaction-specific disclosures - 8/11/21, Federal Reserve System: Board of Governors
Report on the Paycheck Protection Program Liquidity Facility June 28, 2021, Federal Reserve System: Board of Governors
September 2020 Senior Financial Officer Survey, Federal Reserve System: Board of Governors
Standing FIMA Repurchase Agreement Resolution, Federal Reserve System: Board of Governors: Federal Open Market Committee (FOMC)
OIG: Semiannual Report to Congress, Federal Reserve System: Board of Governors: Office of Inspector General and United States: Consumer Financial Protection Bureau (CFPB)
Audited Annual Financial Statements: MS Facilities LLC, Federal Reserve System: Federal Reserve Bank of Boston
Main Street Lending Program Dashboard, Federal Reserve System: Federal Reserve Bank of Boston
Third Amended and Restated Limited Liability Company Agreement of MS Facilities LLC, Federal Reserve System: Federal Reserve Bank of Boston
Administration Agreement among CP Funding Facility II LLC, the Federal Reserve Bank of New York, and State Street Bank and Trust Company, Federal Reserve System: Federal Reserve Bank of New York
Audited Annual Financial Statements: Corporate Credit Facilities LLC, Federal Reserve System: Federal Reserve Bank of New York
Audited Annual Financial Statements: CP Funding Facility II LLC, Federal Reserve System: Federal Reserve Bank of New York
Audited Annual Financial Statements: CP Funding Facility II LLC, Federal Reserve System: Federal Reserve Bank of New York
Audited Annual Financial Statements: Municipal Liquidity Facility LLC, Federal Reserve System: Federal Reserve Bank of New York
Audited Annual Financial Statements: Term Asset-Backed Securities Loan Facility LLC, Federal Reserve System: Federal Reserve Bank of New York
Commercial Paper Funding Facility Dealers (Additions and Removals), Federal Reserve System: Federal Reserve Bank of New York
FAQs: 13(3) Facility Counterparty Expansion Program, Federal Reserve System: Federal Reserve Bank of New York
FAQs: Secondary Market Corporate Credit Facility (Effective July 8, 2021), Federal Reserve System: Federal Reserve Bank of New York
Markets Data Dashboard, Federal Reserve System: Federal Reserve Bank of New York
MLF Limited Liability Company Agreement, with amendments, Federal Reserve System: Federal Reserve Bank of New York
New York Fed Announces the Start of Secondary Market Corporate Credit Facility ETF Sales on June 7, Federal Reserve System: Federal Reserve Bank of New York
Open Market Operations During 2020, Federal Reserve System: Federal Reserve Bank of New York
Primary Dealers - Current list, expectations, and eligibility, Federal Reserve System: Federal Reserve Bank of New York
Primary Dealer Statistics, Federal Reserve System: Federal Reserve Bank of New York
Second Amended and Restated Limited Liability Company Agreement of TALF II LLC, Federal Reserve System: Federal Reserve Bank of New York
Interest Rate on Excess Reserves (DISCONTINUED), Federal Reserve System: Federal Reserve Bank of St. Louis
Sustainability reporting - need for greater standardisation and transparency, Maria Ferlin, Johan Blixt, and Emma Brattstr¶m
Greece Credit Ratings, Fitch Ratings
COVID-19 Crisis: Lessons Learned for Future Policy Research, Jean-Sèbastien Fontaine, Corey Garriott, Jesse Johal, Jessica Lee, and Andreas Uthemann
Unconventional Monetary Policies in Emerging Markets and Frontier Countries, Chiara Fratto, Brendan Harnoys Vannier, Miss Borislava Mircheva, David de Padua, and Hèlène Poirson
Municipal Markets and the Municipal Liquidity Facility, Nicholas Fritsch, John Bagley, and Shawn Nee
Do the Fed's International Dollar Liquidity Facilities Affect Offshore Dollar Funding Markets and Credit?, Linda Goldberg and Fabiola Ravazzolo
The Fed's International Dollar Liquidity Facilities: New Evidence on Effects, Linda Goldberg and Fabiola Ravazzolo
Market stress relief: the role of the Bank of Canada's balance sheet, Toni Gravelle
Coronavirus pandemic: The Riksbank's measures and financial developments during spring and summer 2020, Peter Gustafsson and Tommy von Br¶msen
How do secured funding markets behave under stress? Evidence from the gilt repo market, Anne-Caroline H¼ser, Caterina Lepore, and Luitgard Veraart
The Riksbank's asset purchases during the coronavirus pandemic, Denise Hansson and Joel Birging
The Option Value of Municipal Liquidity: Evidence from Federal Lending Cutoffs during COVID-19, Andrew Haughwout, Benjamin J. Hyman, and Or Shachar
US Dollar Liquidity Facility, Hong Kong Monetary Authority
Accounting for COVID-19 Related Funding, Credit, Liquidity, and Loan Facilities in the Financial Accounts of the United States, Matthew Hoops and Robert Kurtzman
Measures for a more effective scrutiny of the Riksbank, Stefan Ingves and Pernilla Meyersson
2021 General SDR Allocation, International Monetary Fund (IMF)
Annual Update on SDR Trading Operations (2021), International Monetary Fund (IMF)
Chile: 2021 Article IV Consultation, International Monetary Fund (IMF)
GUIDANCE NOTE FOR FUND STAFF ON THE TREATMENT AND USE OF SDR ALLOCATIONS, International Monetary Fund (IMF)
IMF Governors Approve a Historic US$650 Billion SDR Allocation of Special Drawing Rights, International Monetary Fund (IMF)
Questions and Answers on Special Drawing Rights, International Monetary Fund (IMF)
Questions and Answers: The IMF's response to COVID-19, International Monetary Fund (IMF)
Republic of Korea: 2021 Article IV Consultation—Press Release; Staff Report; Staff Statement; and Statement by the Executive Director for the Republic of Korea, International Monetary Fund (IMF)
The IMF's Response to COVID-19, International Monetary Fund (IMF)
Tracker on the Use of Allocated SDRs, International Monetary Fund (IMF)
Weekly Report on Key Financial Statistics as of April 30, 2021, International Monetary Fund (IMF)
Allocation of Special Drawing Rights for the Eleventh Basic Period: Draft Executive Board Decision and Managing Director Report to the Board of Governors, International Monetary Fund (IMF) and International Monetary Fund (IMF): Monetary and Financial Systems Department
Report of the Managing Director to the Board of Governors and to the Executive Board Pursuant to Article XVIII, Section 4(c), International Monetary Fund (IMF) and International Monetary Fund (IMF): Monetary and Financial Systems Department
REVIEW OF THE FUND'S INCOME POSITION FOR FY 2021 AND FY 2022, International Monetary Fund (IMF) Staff
Money market trading by type of security, Investment Industry Regulatory Organization of Canada (IIROC)
Corporate Bond Liquidity During the COVID-19 Crisis, Mahyar Kargar, Benjamin R. Lester, David Lindsay, Shuo Liu, Pierre-Oliver Weill, and Diego Zº±iga