Market Liquidity Program
Documents from 2020
Term Sheet for Primary Dealer Credit Facility (PDCF) - Updated November 30, 2020, Federal Reserve System: Board of Governors
OIG: Semiannual Report to Congress, Federal Reserve System: Board of Governors: Office of Inspector General
Amended and Restated Limited Liability Company Agreement of MS Facilities LLC, Federal Reserve System: Federal Reserve Bank of Boston
Boston Fed announces Main Street Lending Program is Fully Operational, Federal Reserve System: Federal Reserve Bank of Boston
Exclusion of PPP Loan from Main Street “Outstanding Debt”, Federal Reserve System: Federal Reserve Bank of Boston
Federal Reserve's Main Street Lending Program opens for lender registration, Federal Reserve System: Federal Reserve Bank of Boston
Fed's Main Street Lending Program is now fully operational for loans to nonprofit organizations, Federal Reserve System: Federal Reserve Bank of Boston
List of Participating Lenders, Federal Reserve System: Federal Reserve Bank of Boston
Main Street Lending Program - Landing Page, Federal Reserve System: Federal Reserve Bank of Boston
Main Street Lending Program Overview, Federal Reserve System: Federal Reserve Bank of Boston
MSLP Amended and Restated Credit Agreement, Federal Reserve System: Federal Reserve Bank of Boston
MSLP Borrower Certifications and Covenants (For-profit Facilities), Federal Reserve System: Federal Reserve Bank of Boston
MSLP Borrower Certifications and Covenants (Nonprofit Facilities), Federal Reserve System: Federal Reserve Bank of Boston
MSLP FAQs as of April 30, 2020, Federal Reserve System: Federal Reserve Bank of Boston
MSLP FAQs for For-profits as of December 29, 2020, Federal Reserve System: Federal Reserve Bank of Boston
MSLP FAQs for Nonprofit as of July 23, 2020, Federal Reserve System: Federal Reserve Bank of Boston
MSLP FAQs for Nonprofits as of December 29, 2020, Federal Reserve System: Federal Reserve Bank of Boston
Vendors used for MSLP, Federal Reserve System: Federal Reserve Bank of Boston
Amended and Restated Limited Liability Company Agreement of CP Funding Facility II LLC, Federal Reserve System: Federal Reserve Bank of New York
Amendment Agreement to Credit Agreement, Federal Reserve System: Federal Reserve Bank of New York
Commercial Paper Funding Facility, Federal Reserve System: Federal Reserve Bank of New York
Commercial Paper Funding Facility (2008) Webpage, Federal Reserve System: Federal Reserve Bank of New York
Commercial Paper Funding Facility Dealers, Federal Reserve System: Federal Reserve Bank of New York
Commercial Paper Funding Facility: Frequently Asked Questions, Federal Reserve System: Federal Reserve Bank of New York
Consulting Services Agreement, Federal Reserve System: Federal Reserve Bank of New York
Credit Agreement between CP Funding Facility II LLC, as Borrower, and Federal Reserve Bank of New York, as Lender, Federal Reserve System: Federal Reserve Bank of New York
FAQs: Commercial Paper Funding Facility (Effective November 30, 2020), Federal Reserve System: Federal Reserve Bank of New York
FAQs: Municipal Liquidity Facility, Federal Reserve System: Federal Reserve Bank of New York
FAQs: Municipal Liquidity Facility, Federal Reserve System: Federal Reserve Bank of New York
FAQs: Term Asset-Backed Securities Loan Facility, Federal Reserve System: Federal Reserve Bank of New York
Federal Reserve Board announces an extension through December 31 of its lending facilities that were scheduled to expire on or around September 30, Federal Reserve System: Federal Reserve Bank of New York
Financial Statements/Annual Reports, Federal Reserve System: Federal Reserve Bank of New York
Form of Undertaking in Connection with Small Business Administration 7(a) Pool Certificates, Federal Reserve System: Federal Reserve Bank of New York
Guidance for Accounting Firms in Determining TALF Collateral Eligibility for Non-Mortgage-Backed ABS, Federal Reserve System: Federal Reserve Bank of New York
How Investors Access the TALF, Federal Reserve System: Federal Reserve Bank of New York
Municipal Liquidity Facility, Federal Reserve System: Federal Reserve Bank of New York
Municipal Liquidity Facility Eligible Issuers, Federal Reserve System: Federal Reserve Bank of New York
Municipal Liquidity Facility Form Documents and Certifications, Federal Reserve System: Federal Reserve Bank of New York
New York Fed Announces the First Wave of Firms Selected To Broaden its Counterparty Base for CPFF and SMCCF, Federal Reserve System: Federal Reserve Bank of New York
New York Fed Selects Additional Firms to Broaden its Counterparty Base for CPFF and SMCCF, Federal Reserve System: Federal Reserve Bank of New York
Primary Dealer Credit Facility: Collateral Schedule, Federal Reserve System: Federal Reserve Bank of New York
Report to Congress Pursuant to Section 13(3) of the Federal Reserve Act: Term Asset-Backed Securities Loan Facility, Federal Reserve System: Federal Reserve Bank of New York
Security Agreement between CP Funding Facility II LLC and Federal Reserve Bank of New York, Federal Reserve System: Federal Reserve Bank of New York
Statement Regarding Treasury Reserve Management Purchases and Repurchase Operations, Federal Reserve System: Federal Reserve Bank of New York
TALF II Master Security and Loan Agreement, Federal Reserve System: Federal Reserve Bank of New York
Term Asset-Backed Securities Loan Facility, Federal Reserve System: Federal Reserve Bank of New York
Term Asset-Backed Securities Loan Facility: Announcements, Federal Reserve System: Federal Reserve Bank of New York
Term Asset-Backed Securities Loan Facility: Non-CMBS, Federal Reserve System: Federal Reserve Bank of New York
Term Asset-Backed Securities Loan Facility Rates, Federal Reserve System: Federal Reserve Bank of New York
Term Asset-Backed Securities Loan Facility: TALF Agents, Federal Reserve System: Federal Reserve Bank of New York
Term Asset-Backed Securities Loan Facility: TALF Agents (Additions and Removals), Federal Reserve System: Federal Reserve Bank of New York
Term Asset-Backed Securities Loan Facility Term Sheet (Effective May 12, 2020), Federal Reserve System: Federal Reserve Bank of New York
COVID-19 Pandemic: Financial Stability Impact and Policy Responses, Financial Stability Board (FSB)
Holistic Review of the March Market Turmoil, Financial Stability Board (FSB)
FI lowers the countercyclical capital buffer to zero, Finansinspektionen
Stability in the Financial System 2020.1, Finansinspektionen
Central Bank CP Backstops Vital But May Not Fully Restore Liquidity, Fitch Ratings
Treasury Market Liquidity during the COVID-19 Crisis, Michael Fleming and Francisco Ruela
COVID-19 and bond market liquidity: alert, isolation and recovery, Jean-Sèbastien Fontaine, Hayden Ford, and Adrian Walton
Two-tier credit developments during the coronavirus pandemic, Erik Frohm, Johan Grip, Daniel Hansson, and Stephan Wollert
U.S. 'AAAm' Fund Risk Metrics (March 2020), Joseph Giarratano and Marissa Zuccaro
Sunak to Launch Massive Rescue Package for Stricken UK Companies, Chris Giles, George Parker, and Sebastian Payne
Monetary Policy Tools in the COVID-19 Crisis, Chris Giles and Paul Tucker
SEC Staff Provides No-Action Relief to Temporarily Extend Benefits of Rule 17a-9 Under the 1940 Act to Additional Affiliates and Funds, Elliot J. Gluck and Neesa P. Snood
Dealer Inventory Constraints during the COVID-19 Pandemic: Evidence from the Treasury Market and Broader Implications, Jonathan E. Goldberg
Legal, Compliant and Suitable: The ECB's Pandemic Emergency Purchase Programme (PEPP), Sebastian Grund
Fed, facing pressure, commits to disclose monthly who's getting bailouts, Victoria Guida
The ECB's commercial paper purchases: A targeted response to the economic disturbances caused by COVID-19, Luis de Guindos and Isabel Schnabel
Helping State and Local Governments Stay Liquid, Andrew Haughwout, Benjamin J. Hyman, and Matthew Lieber
Seven Moments in Spring: Covid-19, Financial Markets and the Bank of England's Balance Sheet Operations, Andrew Hauser
PPIP Legacy Securities Program (US GFC), Ben Henken
Public-Private Investment Program: The Legacy Loans Program (U.S. GFC), Ben Henken
Bank of Canada starts quantitative easing with $1 billion bond purchase, Erik Hertzberg and Esteban Duarte
Treasury Inconvenience Yields during the COVID-19 Crisis, Zhiguo He, Stefan Nagel, and Zhaogang Song
New financial environment - how is the Riksbank meeting the new challenges?, Stefan Ingves
The monetary policy toolbox, Stefan Ingves
Experiences of US Money Market Funds During the COVID-19 Crisis, Investment Company Institute
Functioning and Liquidity of the Canadian Debt Markets to Date During the COVID-19 Crisis, Investment Industry Association of Canada
The BOJ expands purchases and eases further, Katsumi Ishibashi
Korea to raise funds to stabilize bond, stock markets, Park Jae-hyuk
The Effects of Monetary Expansion and the COVID-19 Economic Crisis, Daehee Jeong
S. Korea to reactivate bond market stabilization fund, Lee Ji-hye
Implementation and Effectiveness of Extended Monetary Policy Tools: Lessons from the Literature, Grahame Johnson, Sharon Kozicki, Romanos Priftis, Lena Suchanek, Jonathan Witmer, and Jing Yang
Public Finance Responses to COVID-19 in Korea, Jaehyun Jung, Hawnoong Lee, and Kyung-ho Song
Redux: Outlook for 13(3) and Fed Crisis Response, Steven Kelly
The Uncertain Future of the Fed's CARES Act Facilities, Steven Kelly
Unsold corporate bonds may hit a record-high in seven years, Jin-sung Kim
Improving the equity impact of the Fed's municipal lending facility, Aaron Klein and Camille Busette
U.S. Credit Markets Interconnectedness and the Effects of the COVID-19 Economic Shock, S.P. Kothari
Novel Coronavirus (COVID-19): Economic and Financial Developments and the Responses Taken by the Bank of Japan, Haruhiko Kuroda
The Impact of COVID-19 on the Japanese Economy and the Bank of Japan's Response, Haruhiko Kuroda
Treasury's Exchange Stabilization Fund and COVID-19, Marc Labonte, Baird Webel, and Martin A. Weiss
The market stabilisation role of the pandemic emergency purchase programme, Philip R. Lane
The pandemic emergency: the three challenges for the ECB, Philip R. Lane
Bank of Canada Establishes Series of Programs to Promote Market Liquidity, Aidan Lawson
ECB Three-Year Long Term Refinancing Operations, Aidan Lawson
Single-Tranche Term Repurchase Agreements, Aidan Lawson
Enhancing Liquidity of the U.S. Treasury Market Under Stress, Nellie Liang and Pat Parkinson
Runs and Interventions in the Time of COVID-19: Evidence from Money Funds, Lei Li, Yi Li, Marco Macchiavelli, and Xing (Alex) Zhou