Outright Purchases of Corporate Bonds (Invalid)
Funds-supplying operations to purchase corporate bonds that are deemed eligible as collateral by the Bank and are rated A or higher, with a residual maturity of up to one year. Operations are conducted by a conventional auction with the minimum yields determined by the Bank.
Introduction or Modification of Schemes of Operations
Table : Introduction or Modification of Schemes of Operations
Date |
Releases |
Oct. 30, 2009 |
Statement on Monetary Policy (Policy unchanged, Announced at 1:05 p.m.) [PDF 21KB] |
Sep. 18, 2009 |
Schedules of Special Funds-Supplying Operations to Facilitate Corporate Financing, Outright Purchases of CP and Outright Purchases of Corporate Bonds (Preliminary, Revised on September 18, 2009) [PDF 14KB] |
Jul. 15, 2009 |
Amendments to Principal Terms and Conditions for Money Market Operations [PDF 40KB] |
Jul. 15, 2009 |
Statement on Monetary Policy (Policy unchanged, Announced at 1:35 p.m.) [PDF 32KB] |
May 25, 2009 |
Schedules of Special Funds-Supplying Operations to Facilitate Corporate Financing and Outright Purchases of Corporate Bonds (Preliminary, Revised on May 25, 2009) [PDF 46KB] |
Feb. 19, 2009 |
Establishment of "Principal Terms and Conditions for Outright Purchases of Corporate Bonds" [PDF 36KB] |
Feb. 19, 2009 |
Outline of Outright Purchases of Corporate Bonds [PDF 29KB] |
Feb. 19, 2009 |
Statement on Monetary Policy (Policy unchanged, Announced at 1:52 p.m.) [PDF 80KB] |
Jan. 22, 2009 |
Outright Purchases of Corporate Financing Instruments [PDF 34KB] |
Jan. 22, 2009 |
Statement on Monetary Policy (Policy unchanged, Announced at 1:43 p.m.) [PDF 120KB] |
Dec. 19, 2008 |
On Monetary Policy Decisions (Announced at 2:05 p.m.) --Additional Measures regarding Money Market Operation Tools [PDF 86KB] |
Releases Related to the Schedule of Operations