LGIM Sterling Liquidity Fund

Revision as of 20:05, 26 February 2023 by 95.149.241.163 (talk)
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Fund factsEdit

Fund size £48,949.6m
Launch date 9 Jan 2008
Share class launch 13 Oct 2008
Base currency GBP
Domicile Ireland

StatisticsEdit

Weighted average maturity 32 days
Weighted average final maturity 47 days

As at 31 Jan 2023

Fund aimEdit

To provide capital stability and a return in line with money market rates[1] whilst providing daily access to liquidity and providing an income. The fund seeks to maintain a AAA rating, which is the highest fund rating available.

BenchmarkEdit

Sterling Overnight Index Average

Fund ratingsEdit

In addition to LGIM’s risk management oversight, the Fund is rated by the following agencies:

S&P AAAm
Moody's Aaa-mf
Fitch AAAmmf

Fund snapshotEdit

  • What does it invest in? Invests in short-term, sterling based assets which are issued by governments, high quality banks and companies.
  • How does it invest? Actively managed, investing in deposits, short-term debt securities and money market instruments that mature within 397 days and have been awarded one of the two highest available short-term credit ratings by each recognised credit rating agency. May also invest in eligible short-term securitisations.
  • Does it promote sustainability characteristics? The Fund promotes a range of environmental and social characteristics. Further information on how such characteristics are met by the Fund can be found in the Supplement.

Performance scenariosEdit

The figures shown include all the costs of the product itself, but may not include all the costs that you pay to your advisor or distributor. The figures do not take into account your personal tax situation, which may also affect how much you get back.

What you will get from this product depends on future market performance. Market developments in the future are uncertain and cannot be accurately predicted.

The unfavourable, moderate, and favourable scenarios shown are illustrations using the worst, average, and best performance of the product with input from the over the last 10 years. Markets could develop very differently in the future.

Recommended holding period (RHP): 0.01 YearsEdit

Example Investment £10,000Edit

Scenarios If you exit afterRHP
Minimum There is no minimum guaranteed return. You could lose some or all of your investment.
Stress scenario What you might get back after costs 9,999.79
Average return each year (%) -0.21
Unfavourable scenario What you might get back after costs 10,000.00
Average return each year (%) 0.00
Moderate scenario What you might get back after costs 10,000.30
Average return each year (%) 0.30
Favourable scenario What you might get back after costs 10,000.72
Average return each year (%) 0.72

The stress scenario shows what you might get back in extreme market circumstances.

Unfavourable Scenario: This type of scenario occurred for an investment between 2012-2022.

Moderate Scenario: This type of scenario occurred for an investment between 2012-2022.

Favourable Scenario: This type of scenario occurred for an investment between 2012-2022.

PortfolioEdit

As at 31 Jan 2023. All data source LGIM unless otherwise stated. Totals may not sum due to rounding.

Asset (%)Edit

Certificate of Deposit[2] 45.7
Commercial Paper[3] 21.2
Repurchase Agreement 15.4
Floating Rate Note 9.6
Deposit (Overnight) 8.1

Days to maturity (%)Edit

Overnight 33.3
2 to 7 days 18.4
7 days to 1 Month 13.7
1 to 3 months 15.8
3 to 6 months 10.6
6 to 12 months 8.3

Credit rating (%)Edit

AAA 2.0
AA+ 3.1
AA 18.5
AA- 18.7
A+ 30.0
A 27.7

Source: Standard & Poor's

Top 10 issuers 46.0
Rest of portfolio 54.0

Top 10 issuers (%)Edit

United Kingdom Treasury[4] 15.5
Bank of Montreal 4.1
First Abu Dhabi Bank 3.9
Nordea Bank 3.6
Mizuho Corporate Bank 3.4
Australia & New Zealand Banking Group 3.4
Bank of Tokyo Mitsubishi UFJ 3.1
L-Bank 3.1
Jyske Bank A/S 3.1
Toronto Dominion Bank 3.0

Country (%)Edit

United Kingdom 22.8
France 14.4
Canada 12.0
Japan 11.4
Germany 7.7
Netherlands 7.1
Australia 6.1
Sweden 4.4
United Arab Emirates 3.9
Other 10.3

For full fund holdings, see the Appendix of this page.

Fund ManagerEdit

Liquidity ManagementEdit

Liquidity Management (within Global Trading and Liquidity) forms a strategic part of our asset management capability incorporating liquidity and short duration portfolios as well as securities financing.

SustainabilityEdit

SFDR[5] categorisation: Article 8

Environmental and social characteristicsEdit

Environmental characteristicsEdit

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Social characteristicsEdit

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ESG investment strategyEdit

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Sustainability preferencesEdit

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No reference benchmark has been designated for the purpose of attaining the environmental or social characteristics promoted by the Fund.

Whilst environmental and social characteristics are promoted through the application of the sustainability-related investment strategy, investors are reminded that these environmental and social characteristics are not sustainable investment objectives.

PricesEdit

Date NAV (LVNAV) NAV (Mark to Market) Difference Currency Price time
24 February 2023 1.00 0.9999 -0.0001 GBP 14:00 Irish time

Further detailsEdit

CostsEdit

Price basis Single - mid
Initial charge 0.00%
Ongoing charges figure 0.10%
Min. investment £20,000,000

CodesEdit

ISIN[6] IE00B29R7C68
SEDOL[7] -
Bloomberg LGSTLI4 ID
MEX -

Dealing informationEdit

Valuation frequency Daily, 14:00 Irish time
Dealing frequency Each Business Day
Settlement period T+0

Country registrationEdit

This share class is registered for sale in the following countries: Ireland and UK.

AppendixEdit

TNT global security number Asset description Parent Name Issuer Name Country of Risk Grouping Issuer Type Instrument Type ISIN Currency Par value % of Total Par Maturity date[8] Remaining Maturity (Days) Maturity Bucket (Days) Fixed Deposits Maturing Overnight
FB17YNT BNDCGB2L 001day 3.40000 % 01/02/23 National Bank of Canada National Bank of Canada Canada North America Financial Fixed Deposit GBP 150,000,000 0.30% 01/02/2023 1 1 Yes
FB17YNW CMCIFRP 001day 3.38000 % 01/02/23 BPCE Natixis France Core Euro Area Financial Fixed Deposit GBP 250,000,000 0.51% 01/02/2023 1 1 Yes
FB17YPY MHCBGB2L 001day 3.42000 % 01/02/23 Mizuho Mizuho Corporate Bank Japan Japan Financial Fixed Deposit GBP 600,000,000 1.22% 01/02/2023 1 1 Yes
FB17YP6 STBCGB2L 001day 3.45000 % 01/02/23 Sumitomo Mitsui Sumitomo Mitsui Trust Bank Japan Japan Financial Fixed Deposit GBP 150,000,000 0.30% 01/02/2023 1 1 Yes
M7109692 BRED BANQUE POPULAIRE 3.41% BPCE BRED Banque Populaire France Core Euro Area Financial Fixed Deposit GBP 200,000,000 0.41% 01/02/2023 1 1 Yes
M7109693 BRED BANQUE POPULAIRE 3.41% BPCE BRED Banque Populaire France Core Euro Area Financial Fixed Deposit GBP 250,000,000 0.51% 01/02/2023 1 1 Yes
M7109694 SG SECURITIES 3.43% Societe Generale Societe Generale France Core Euro Area Financial Fixed Deposit GBP 250,000,000 0.51% 01/02/2023 1 1 Yes
M7109695 RABOBANK MM 3.43% Rabobank Rabobank Netherlands Core Euro Area Financial Fixed Deposit GBP 292,000,000 0.59% 01/02/2023 1 1 Yes
M7109696 BANK OF TOKYO MITSUBISHI UFJ 3.43% Mitsubishi UFJ Bank of Tokyo Mitsubishi UFJ Japan Japan Financial Fixed Deposit GBP 200,000,000 0.41% 01/02/2023 1 1 Yes
M7109697 KBC NV LONDON 3.42% KBC Bank KBC Bank Belgium Core Euro Area Financial Fixed Deposit GBP 500,000,000 1.02% 01/02/2023 1 1 Yes
M7109698 DZ BANK AG 3.39% DZ Bank DZ Bank Germany Core Euro Area Financial Fixed Deposit GBP 400,000,000 0.81% 01/02/2023 1 1 Yes
M7109699 TORONTO DOMINION BANK 3.35% Toronto Dominion Bank Toronto Dominion Bank Canada North America Financial Fixed Deposit GBP 750,000,000 1.52% 01/02/2023 1 1 Yes
0AYADBU WESTPAC BKG CORP FR SNR 07/23           GBP100000'1479 Westpac Westpac Australia Asia Pacific Ex Japan Financial Floating Rate Note XS2504107785 GBP 170,000,000 0.35% 19/07/2023 169 91-180 No
0AYEADU TORONTO-DOMINION FRN SNR 09/2023        GBP100000 Toronto Dominion Bank Toronto Dominion Bank Canada North America Financial Floating Rate Note XS2536940922 GBP 300,000,000 0.61% 22/09/2023 234 181-365 No
0AYGE0U BELFIUS BANK S A N V 0.0% CD 01/02/2023 BELFIUS BANK SA/NV BELFIUS BANK SA/NV Belgium Core Euro Area Financial Certificate of Deposit BE6338770140 GBP 225,000,000 0.46% 01/02/2023 1 1 No
0AYGYJU BANK OF AMERICA NA 0% CD 28/04/2023 Bank of America Bank of America United States North America Financial Certificate of Deposit XS2552266731 GBP 45,000,000 0.09% 28/04/2023 87 31-90 No
0AYHCDU BANK OF MONTREAL FRN SNR 11/23          GBP100000'305 Bank of Montreal Bank of Montreal Canada North America Financial Floating Rate Note XS2553827994 GBP 280,000,000 0.57% 08/11/2023 281 181-365 No
0AYHDDU CMNWLTH BK OF AUST FR SNR EMTN 11/23    GBP100000 Commonwealth Bank of Australia Commonwealth Bank of Australia Australia Asia Pacific Ex Japan Financial Floating Rate Note XS2553829933 GBP 250,000,000 0.51% 10/11/2023 283 181-365 No
0AYHGDU BANQUE FEDERATIVE DU CREDIT MU CD 3.64% 08/03/2023 BFCM BFCM France Core Euro Area Financial Certificate of Deposit FR0127713271 GBP 480,000,000 0.97% 08/03/2023 36 31-90 No
0AYHLNU HSBC UK BANK PLC 0% CD 09/02/2023 HSBC HSBC United Kingdom United Kingdom Financial Certificate of Deposit XS2555406375 GBP 75,000,000 0.15% 09/02/2023 9 8-30 No
0AYHMSU LANDESKREDITBANK 02/02/2023 L-Bank L-Bank Germany Core Euro Area Government Agency Commercial Paper XS2555686471 GBP 500,000,000 1.02% 02/02/2023 2 2-7 No
0AYHXQU THE SUMITOMO TRUST+BANKINNG CO LTD CD 3.4% 16/02/2 Sumitomo Mitsui Sumitomo Mitsui Trust Bank Japan Japan Financial Certificate of Deposit GB00BP1ZF694 GBP 200,000,000 0.41% 16/02/2023 16 8-30 No
0AYJB8U LANDESKREDITBANK 06/02/2023 L-Bank L-Bank Germany Core Euro Area Government Agency Commercial Paper XS2558910902 GBP 500,000,000 1.02% 06/02/2023 6 2-7 No
0AYJE3U AGENCE CENTRALE 06/02/2023 ACOSS ACOSS France Core Euro Area Government Agency Commercial Paper FR0127658633 GBP 500,000,000 1.02% 06/02/2023 6 2-7 No
0AYLYEU NATIONAL BANK OF ABU DHABI CD 4.02% 04/04/2023 First Abu Dhabi Bank First Abu Dhabi Bank United Arab Emirates Middle East Financial Certificate of Deposit GB00BP1ZSJ36 GBP 500,000,000 1.02% 04/04/2023 63 31-90 No
0AYMZ5U BRED BANQUE 06/04/2023 BPCE BRED Banque Populaire France Core Euro Area Financial Commercial Paper FR0127792861 GBP 500,000,000 1.02% 06/04/2023 65 31-90 No
0AYN84U MIZUHO BANK LTD.(GB)LONDON BRANCH 4.12% CD28/04/20 Mizuho Mizuho Corporate Bank Japan Japan Financial Certificate of Deposit XS2581749418 GBP 200,000,000 0.41% 28/04/2023 87 31-90 No
0AY4YJU COMMONWEALTH BANK OF AUSTRALIA CD 2.02% 20/04/2023 Commonwealth Bank of Australia Commonwealth Bank of Australia Australia Asia Pacific Ex Japan Financial Certificate of Deposit GB00BP1WN778 GBP 100,000,000 0.20% 20/04/2023 79 31-90 No
0AY7L6U COMMONWEALTH BANK OF AUSTRALIA CD 2.52% 13/06/2023 Commonwealth Bank of Australia Commonwealth Bank of Australia Australia Asia Pacific Ex Japan Financial Certificate of Deposit GB00BP1XBQ53 GBP 55,000,000 0.11% 13/06/2023 133 91-180 No
1AXV53U ROYAL BANK OF CANADA 0% CD 01/02/2023 Royal Bank of Canada Royal Bank of Canada Canada North America Financial Certificate of Deposit XS2440690530 GBP 100,000,000 0.20% 01/02/2023 1 1 No
1AYGEUU BNP PARIBAS LONDON BRANCH CTF DEP 3.63% 01/02/2023 BNP Paribas BNP Paribas France Core Euro Area Financial Certificate of Deposit GB00BP1YZS86 GBP 280,000,000 0.57% 01/02/2023 1 1 No
1AYGKWU AUSTRALIA & NEW 07/02/2023 Australia & New Zealand Banking Group Australia & New Zealand Banking Group Australia Asia Pacific Ex Japan Financial Commercial Paper XS2550504943 GBP 300,000,000 0.61% 07/02/2023 7 2-7 No
1AYG43U AUSTRALIA NEW ZEALAND BANKING Z/CPN CP           03/03/2023 Australia & New Zealand Banking Group Australia & New Zealand Banking Group Australia Asia Pacific Ex Japan Financial Commercial Paper XS2553549655 GBP 300,000,000 0.61% 03/03/2023 31 31-90 No
1AYHCLU CMNWLTH BK OF AUST FR SNR EMTN 11/23    GBP100000 Commonwealth Bank of Australia Commonwealth Bank of Australia Australia Asia Pacific Ex Japan Financial Floating Rate Note XS2553948782 GBP 230,000,000 0.47% 10/11/2023 283 181-365 No
1AYJ81U NORDEA BANK ABP CD 0.0% 03/03/2023 Nordea Bank Nordea Bank Finland Core Euro Area Financial Certificate of Deposit XS2560057437 GBP 200,000,000 0.41% 03/03/2023 31 31-90 No
1AYKPQU DZ PRIVATBANK S.A. 01/02/2023 DZ Bank DZ Privatbank Germany Core Euro Area Financial Commercial Paper XS2560991361 GBP 200,000,000 0.41% 01/02/2023 1 1 No
1AYKSHU LANDESKREDITBANK BADEN-WURTT 0% CP           01/02/2023 L-Bank L-Bank Germany Core Euro Area Government Agency Commercial Paper XS2561393914 GBP 500,000,000 1.02% 01/02/2023 1 1 No
1AYKVKU SOCIETE GENERALE CD 3.9% 31/03/2023 Societe Generale Societe Generale France Core Euro Area Financial Certificate of Deposit GB00BP1ZLP01 GBP 500,000,000 1.02% 31/03/2023 59 31-90 No
1AYKZAU KREDITANSTALT FUR 01/02/2023 KfW KfW Germany Core Euro Area Government Agency Commercial Paper XS2562876412 GBP 500,000,000 1.02% 01/02/2023 1 1 No
1AYNFSU BANQUE POPULAIRE 4.38% 11/07/2023 BPCE BRED Banque Populaire France Core Euro Area Financial Commercial Paper FR0127799247 GBP 300,000,000 0.61% 11/07/2023 161 91-180 No
1AYNF1U ROYAL BANK OF CANADA FRN 1/25/2024 Royal Bank of Canada Royal Bank of Canada Canada North America Financial Floating Rate Note XS2580224165 GBP 92,000,000 0.19% 25/01/2024 359 181-365 No
1AYNL9U BANK OF AMERICA EUROPE DAC CD 0.0% 24/07/2023 Bank of America Bank of America United States North America Financial Certificate of Deposit XS2580631476 GBP 150,000,000 0.30% 24/07/2023 174 91-180 No
1AYPFDU BRED BANQUE 27/04/2023 BPCE BRED Banque Populaire France Core Euro Area Financial Commercial Paper FR0127838433 GBP 200,000,000 0.41% 27/04/2023 86 31-90 No
1AY5ZYU NORDEA BANK ABP CTF DEP 2.0% 06/02/2023 Nordea Bank Nordea Bank Finland Core Euro Area Financial Certificate of Deposit GB00BP1WV409 GBP 200,000,000 0.41% 06/02/2023 6 2-7 No
1AY7LTU BANK OF MONTREAL FRN SNR 06/23          GBP100000'265 Bank of Montreal Bank of Montreal Canada North America Financial Floating Rate Note XS2489473905 GBP 330,000,000 0.67% 09/06/2023 129 91-180 No
2AYABNU BANK OF MONTREAL CD 3% 13/07/2023 Bank of Montreal Bank of Montreal Canada North America Financial Certificate of Deposit GB00BP1XRV25 GBP 100,000,000 0.20% 13/07/2023 163 91-180 No
2AYBQCU DNB BANK ASA CD 3.0% 04/08/2023 DNB Bank ASA DNB Bank ASA Norway Europe non Euro Area Financial Certificate of Deposit XS2518153999 GBP 100,000,000 0.20% 04/08/2023 185 181-365 No
2AYGEFU UBS AG - LONDON CD 3.86% 21/02/2023 UBS UBS Switzerland Europe non Euro Area Financial Certificate of Deposit XS2549867476 GBP 200,000,000 0.41% 21/02/2023 21 8-30 No
2AYGG2U SUMITOMO MITSUI BANK CORP CD 3.52% 02/02/2023 Sumitomo Mitsui Sumitomo Mitsui Banking Corp Japan Japan Financial Certificate of Deposit GB00BP1Z4M84 GBP 300,000,000 0.61% 02/02/2023 2 2-7 No
2AYGKUU ING BANK NV CD 0.0% 01/02/2023 ING Bank ING Bank Netherlands Core Euro Area Financial Certificate of Deposit XS2550532480 GBP 415,000,000 0.84% 01/02/2023 1 1 No
2AYGNGU NORDEA BANK ABP CD 4.34% 25/04/2023 Nordea Bank Nordea Bank Finland Core Euro Area Financial Certificate of Deposit GB00BP1Z1B64 GBP 100,000,000 0.20% 25/04/2023 84 31-90 No
2AYGX3U THE SUMITOMO TRUST+BANKINNG CO LTD CD 3.53% 08/02/ Sumitomo Mitsui Sumitomo Mitsui Trust Bank Japan Japan Financial Certificate of Deposit GB00BP1Z5W57 GBP 100,000,000 0.20% 08/02/2023 8 8-30 No
2AYHFBU SANTANDER UK PLC CD 3.45% 07/02/2023 Santander UK PLC Santander UK PLC United Kingdom United Kingdom Financial Certificate of Deposit GB00BP1Z8B59 GBP 400,000,000 0.81% 07/02/2023 7 2-7 No
2AYHGQU LLYODS BANK PLC CD 3.46% 10/02/2023 Lloyds Banking Group Lloyds Banking Group United Kingdom United Kingdom Financial Certificate of Deposit GB00BP1Z9121 GBP 500,000,000 1.02% 10/02/2023 10 8-30 No
2AYJCQU KBC BANK NV 0.0% CD 14/02/2023 KBC Bank KBC Bank Belgium Core Euro Area Financial Certificate of Deposit BE6339242016 GBP 300,000,000 0.61% 14/02/2023 14 8-30 No
2AYKYPU AGENCE CENTRALE 07/02/2023 ACOSS ACOSS France Core Euro Area Government Agency Commercial Paper FR0127659359 GBP 500,000,000 1.02% 07/02/2023 7 2-7 No
2AYNFPU BANK OF MONTREAL CD 4.3% 11/07/2023 Bank of Montreal Bank of Montreal Canada North America Financial Certificate of Deposit GB00BP201654 GBP 250,000,000 0.51% 11/07/2023 161 91-180 No
2AYPEJU ING BANK NV 01/09/2023 ING Bank ING Bank Netherlands Core Euro Area Financial Commercial Paper XS2582403320 GBP 300,000,000 0.61% 01/09/2023 213 181-365 No
2AYPMGU BNP PARIBAS LONBDON BRANCH CD 4.43% 04/08/2023 BNP Paribas BNP Paribas France Core Euro Area Financial Certificate of Deposit GB00BP207T05 GBP 100,000,000 0.20% 04/08/2023 185 181-365 No
2AY802U AUSTRALIA & NEW ZEAL FRN 6/7/2023 Australia & New Zealand Banking Group Australia & New Zealand Banking Group Australia Asia Pacific Ex Japan Financial Floating Rate Note XS2498566657 GBP 220,000,000 0.45% 06/07/2023 156 91-180 No
4AYABYU THE TORONTO DOMINION BANK CD 0.0% 14/07/2022 Toronto Dominion Bank Toronto Dominion Bank Canada North America Financial Certificate of Deposit GB00BP1XS536 GBP 300,000,000 0.61% 14/04/2023 73 31-90 No
4AYAY8U ING BANK NV CD 0.0% 01/02/2023 ING Bank ING Bank Netherlands Core Euro Area Financial Certificate of Deposit XS2512200184 GBP 250,000,000 0.51% 01/02/2023 1 1 No
4AYBUDU FIRST ABU DHABI BANK PJSC CTF OF DEP 2.63% 13/02/2 First Abu Dhabi Bank First Abu Dhabi Bank United Arab Emirates Middle East Financial Certificate of Deposit GB00BP1Y0949 GBP 300,000,000 0.61% 13/02/2023 13 8-30 No
4AYBZRU NORDEA BANK ABP CD 0.0% 14/02/2023 Nordea Bank Nordea Bank Finland Core Euro Area Financial Certificate of Deposit XS2519707934 GBP 300,000,000 0.61% 14/02/2023 14 8-30 No
4AYGE6U NORDEA BANK ABP CD 0.0% 03/04/2023 Nordea Bank Nordea Bank Finland Core Euro Area Financial Certificate of Deposit XS2552298692 GBP 250,000,000 0.51% 03/04/2023 62 31-90 No
4AYGP7U THE SUMITOMO TRUST+BANKINNG CO LTD CD 3.53% 09/02/ Sumitomo Mitsui Sumitomo Mitsui Trust Bank Japan Japan Financial Certificate of Deposit GB00BP1Z5Y71 GBP 150,000,000 0.30% 09/02/2023 9 8-30 No
4AYHABU CREDIT AGRICOLE CORPORATE CD 3.45% 06/02/2023 Credit Agricole SA Credit Agricole SA France Core Euro Area Financial Certificate of Deposit XS2553949244 GBP 300,000,000 0.61% 06/02/2023 6 2-7 No
4AYHMZU NRW BANK 02/02/2023 Nederlandse Waterschapsbank Nederlandse Waterschapsbank Netherlands Core Euro Area Government Agency Commercial Paper XS2555689491 GBP 500,000,000 1.02% 02/02/2023 2 2-7 No
4AYJ73U JYSKE BANK A/S 03/02/2023 JYSKE BANK A/S JYSKE BANK A/S Denmark Europe non Euro Area Financial Commercial Paper FR0127733576 GBP 200,000,000 0.41% 03/02/2023 3 2-7 No
4AYKUZU UBS AG CD 0.0% 27/03/2023 UBS UBS Switzerland Europe non Euro Area Financial Certificate of Deposit XS2561597670 GBP 400,000,000 0.81% 27/03/2023 55 31-90 No
4AYMT7U NATIONAL WESTMINSTER BANK PLC CD 0.0% 02/05/2023 NATL WESTMINSTER NATL WESTMINSTER United Kingdom United Kingdom Financial Certificate of Deposit GB00BP1ZYG23 GBP 150,000,000 0.30% 02/05/2023 91 91-180 No
4AYM90U BNP PARIBAS LONDON BRANCH CD 4.38% 10/07/2023 BNP Paribas BNP Paribas France Core Euro Area Financial Certificate of Deposit GB00BP1ZZP88 GBP 500,000,000 1.02% 10/07/2023 160 91-180 No
4AYNCXU BANK OF AMERICA NATIONAL ASSOC CD 0.0% 11/07/2023 Bank of America Bank of America United States North America Financial Certificate of Deposit XS2576300219 GBP 175,000,000 0.36% 11/07/2023 161 91-180 No
4AYNL6U BQE FEDERATIVE DU 08/08/2023 BFCM BFCM France Core Euro Area Financial Commercial Paper FR0127815787 GBP 300,000,000 0.61% 08/08/2023 189 181-365 No
4AYNV2U NATIONAL BANK OF ABU DHABI CD 4.53% 01/08/2023 First Abu Dhabi Bank First Abu Dhabi Bank United Arab Emirates Middle East Financial Certificate of Deposit GB00BP205N03 GBP 300,000,000 0.61% 01/08/2023 182 181-365 No
4AYPHUU SUMITOMO MITSUI BANKING CORPOR 4.13% CD 27/04/2023 Sumitomo Mitsui Sumitomo Mitsui Banking Corp Japan Japan Financial Certificate of Deposit BE6340528262 GBP 300,000,000 0.61% 27/04/2023 86 31-90 No
4AY5G3U BANK OF MONTREAL CD 0.0% 09/05/2023 Bank of Montreal Bank of Montreal Canada North America Financial Certificate of Deposit XS2479350964 GBP 100,000,000 0.20% 09/05/2023 98 91-180 No
5AXV24U NORDEA BANK ABP CD 0.0% 01/02/2023 Nordea Bank Nordea Bank Finland Core Euro Area Financial Certificate of Deposit XS2440768583 GBP 100,000,000 0.20% 01/02/2023 1 1 No
5AXV53U NORDEA BANK ABP LONDON BRANCH           0% CD 28/02/2023 Nordea Bank Nordea Bank Finland Core Euro Area Financial Certificate of Deposit XS2440097355 GBP 75,000,000 0.15% 28/02/2023 28 8-30 No
5AXWL4U THE BANK OF NOVA S FR SNR EMTN 02/23    GBP100000 Bank of Nova Scotia Bank of Nova Scotia Canada North America Financial Floating Rate Note XS2444851112 GBP 400,000,000 0.81% 14/02/2023 14 8-30 No
5AXXJTU NORDEA BANK ABP 17/02/2023 Nordea Bank Nordea Bank Finland Core Euro Area Financial Commercial Paper XS2447951612 GBP 75,000,000 0.15% 17/02/2023 17 8-30 No
5AYABMU DZ PRIVATBANK S.A. 01/02/2023 DZ Bank DZ Privatbank Germany Core Euro Area Financial Commercial Paper XS2504466165 GBP 200,000,000 0.41% 01/02/2023 1 1 No
5AYEAEU BANQUE FEDERATIVE DU CREDIT MUTUEL CD 0.0% 03/04/2 BFCM BFCM France Core Euro Area Financial Certificate of Deposit FR0127587576 GBP 400,000,000 0.81% 03/04/2023 62 31-90 No
5AYGX3U THE SUMITOMO TRUST+BANKINNG CO LTD CD 3.53% 10/02/ Sumitomo Mitsui Sumitomo Mitsui Trust Bank Japan Japan Financial Certificate of Deposit GB00BP1Z5X64 GBP 150,000,000 0.30% 10/02/2023 10 8-30 No
5AYG78U MUFG BANK LTD. CD 3.55% 10/02/2023 Mitsubishi UFJ Bank of Tokyo Mitsubishi UFJ Japan Japan Financial Certificate of Deposit GB00BP1Z7521 GBP 500,000,000 1.02% 10/02/2023 10 8-30 No
5AYHFLU MIZUHO BANK LTD CD 3.45% 07/02/2023 Mizuho Mizuho Corporate Bank Japan Japan Financial Certificate of Deposit XS2554581673 GBP 150,000,000 0.30% 07/02/2023 7 2-7 No
5AYHGBU NORDEA BANK ABP CD 0.0% 08/03/2023 Nordea Bank Nordea Bank Finland Core Euro Area Financial Certificate of Deposit XS2554702642 GBP 250,000,000 0.51% 08/03/2023 36 31-90 No
5AYHGEU MIZUHO BANK LTD CD 0.0% 07/02/2023 Mizuho Mizuho Corporate Bank Japan Japan Financial Certificate of Deposit XS2554738919 GBP 125,000,000 0.25% 07/02/2023 7 2-7 No
5AYHPGU FEDN DES CAISSES 10/02/2023 Caisse Centrale Desjardins du Quebec Caisse Centrale Desjardins du Quebec Canada North America Financial Commercial Paper XS2555773287 GBP 400,000,000 0.81% 10/02/2023 10 8-30 No
5AYHRPU THE SUMITOMO TRUST BANKINNG CD 3.45% 14/02/2023 Sumitomo Mitsui Sumitomo Mitsui Trust Bank Japan Japan Financial Certificate of Deposit GB00BP1ZB727 GBP 200,000,000 0.41% 14/02/2023 14 8-30 No
5AYHSHU SUMITOMO TRUST & BANKING CO DTD 10/11/2022 3.4 C/D Sumitomo Mitsui Sumitomo Mitsui Trust Bank Japan Japan Financial Certificate of Deposit GB00BP1ZC915 GBP 250,000,000 0.51% 15/02/2023 15 8-30 No
5AYHXPU MIZUHO BANK LTD (GB)LONDON BRANCH CTF DEP 0.0% 13/ Mizuho Mizuho Corporate Bank Japan Japan Financial Certificate of Deposit XS2555779995 GBP 110,000,000 0.22% 13/02/2023 13 8-30 No
5AYJL5U JYSKE BANK A/S 01/02/2023 JYSKE BANK A/S JYSKE BANK A/S Denmark Europe non Euro Area Financial Commercial Paper FR0127716738 GBP 300,000,000 0.61% 01/02/2023 1 1 No
5AYJM3U WESTPAC BKG CORP FR SNR 11/23           GBP100000'1489 Westpac Westpac Australia Asia Pacific Ex Japan Financial Floating Rate Note XS2559135657 GBP 250,000,000 0.51% 22/11/2023 295 181-365 No
5AYJN0U WESTPAC BKG CORP FR SNR 11/23           GBP100000'1488 Westpac Westpac Australia Asia Pacific Ex Japan Financial Floating Rate Note XS2559135574 GBP 210,000,000 0.43% 22/11/2023 295 181-365 No
5AYKMTU JYSKE BANK A/S 01/02/2023 JYSKE BANK A/S JYSKE BANK A/S Denmark Europe non Euro Area Financial Commercial Paper FR0127736413 GBP 500,000,000 1.02% 01/02/2023 1 1 No
5AYKM1U KBC BANK NV CD 3.25% 01/02/2023 KBC Bank KBC Bank Belgium Core Euro Area Financial Certificate of Deposit GB00BP1ZNX25 GBP 500,000,000 1.02% 01/02/2023 1 1 No
5AYLSYU UBS AG CD 0.0% 12/06/2023 UBS UBS Switzerland Europe non Euro Area Financial Certificate of Deposit XS2567401760 GBP 100,000,000 0.20% 12/06/2023 132 91-180 No
5AYMU2U MUFG BANK LTD CD 3.95% 11/04/2023 Mitsubishi UFJ Bank of Tokyo Mitsubishi UFJ Japan Japan Financial Certificate of Deposit GB00BP1ZYR38 GBP 500,000,000 1.02% 11/04/2023 70 31-90 No
5AYNGJU UBS AG CP 4.79% 12/01/2024 UBS UBS Switzerland Europe non Euro Area Financial Certificate of Deposit XS2577108660 GBP 65,000,000 0.13% 12/01/2024 346 181-365 No
5AYNN1U LLYODS BANK PLC CD 4.46% 01/08/2023 Lloyds Banking Group Lloyds Banking Group United Kingdom United Kingdom Financial Certificate of Deposit GB00BP205630 GBP 300,000,000 0.61% 01/08/2023 182 181-365 No
5AYNV2U SOCIETE GENERALE CD 4.31% 31/05/2023 Societe Generale Societe Generale France Core Euro Area Financial Certificate of Deposit GB00BP205H43 GBP 300,000,000 0.61% 31/05/2023 120 91-180 No
5AYPLJU OVERSEA-CHINESE BANKING CORP L CD 0.0% 05/05/2023 Overseas-Chinese Banking Corp (OCBC) Overseas-Chinese Banking Corp (OCBC) Singapore Asia Pacific Ex Japan Financial Certificate of Deposit XS2582867235 GBP 100,000,000 0.20% 05/05/2023 94 91-180 No
5AYPLQU NATIONAL BANK OF ABU DHABI CD 4.3% 31/05/2023 First Abu Dhabi Bank First Abu Dhabi Bank United Arab Emirates Middle East Financial Certificate of Deposit GB00BP208311 GBP 300,000,000 0.61% 31/05/2023 120 91-180 No
5AYPQRU BANQUE FEDERATIVE 08/08/2023 BFCM BFCM France Core Euro Area Financial Commercial Paper FR0127849752 GBP 200,000,000 0.41% 08/08/2023 189 181-365 No
5AY4LTU NATIONAL AUSTRALIA BANK CD 2.0% 19/04/2023 National Australia Bank National Australia Bank Australia Asia Pacific Ex Japan Financial Certificate of Deposit GB00BP1WM259 GBP 100,000,000 0.20% 19/04/2023 78 31-90 No
6AXUV5U BANK OF MONTREAL FRN SNR 02/23          GBP100000'259 Bank of Montreal Bank of Montreal Canada North America Financial Floating Rate Note XS2433834988 GBP 300,000,000 0.61% 09/02/2023 9 8-30 No
6AXVZRU AUSTRALIA & NEW ZEAL FRN 1/2/2023 Australia & New Zealand Banking Group Australia & New Zealand Banking Group Australia Asia Pacific Ex Japan Financial Floating Rate Note XS2438634144 GBP 200,000,000 0.41% 01/02/2023 1 1 No
6AYGJRU BARCLAY BANK PLC CD 0.0% 01/02/2023 Barclays Barclays United Kingdom United Kingdom Financial Certificate of Deposit GB00BP1Z0N12 GBP 300,000,000 0.61% 01/02/2023 1 1 No
6AYGKFU NATL WESTMINSTER NATL WESTMINSTER NATL WESTMINSTER United Kingdom United Kingdom Financial Certificate of Deposit GB00BP1Z0R59 GBP 100,000,000 0.20% 06/02/2023 6 2-7 No
6AYGWCU THE SUMITOMO TRUST+BANKINNG CO LTD CTF DEP 3.52% 0 Sumitomo Mitsui Sumitomo Mitsui Trust Bank Japan Japan Financial Certificate of Deposit GB00BP1Z3R64 GBP 200,000,000 0.41% 06/02/2023 6 2-7 No
6AYHSSU JYSKE BANK A/S 14/02/2023 JYSKE BANK A/S JYSKE BANK A/S Denmark Europe non Euro Area Financial Commercial Paper FR0127715151 GBP 500,000,000 1.02% 14/02/2023 14 8-30 No
6AYJL2U FEDN DES CAISSES 17/02/2023 Caisse Centrale Desjardins du Quebec Caisse Centrale Desjardins du Quebec Canada North America Financial Commercial Paper XS2559004804 GBP 100,000,000 0.20% 17/02/2023 17 8-30 No
6AYJ68U BANK OF MONTREAL CD 3.45% 28/02/2023 Bank of Montreal Bank of Montreal Canada North America Financial Certificate of Deposit GB00BP1ZHK77 GBP 400,000,000 0.81% 28/02/2023 28 8-30 No
6AYKVAU MIZUHO BANK LTD CD 3.3% 01/02/2023 Mizuho Mizuho Corporate Bank Japan Japan Financial Certificate of Deposit XS2561158838 GBP 200,000,000 0.41% 01/02/2023 1 1 No
6AYLB6U AUSTRALIA & NEW 15/06/2023 Australia & New Zealand Banking Group Australia & New Zealand Banking Group Australia Asia Pacific Ex Japan Financial Commercial Paper XS2568976794 GBP 200,000,000 0.41% 15/06/2023 135 91-180 No
6AYPALU MUFG BANK LTD CD 4.12% 25/04/2023 Mitsubishi UFJ Bank of Tokyo Mitsubishi UFJ Japan Japan Financial Certificate of Deposit GB00BP206J32 GBP 300,000,000 0.61% 25/04/2023 84 31-90 No
6AYPPBU BARCLAYS BANK PLC CD 0.0% 02/06/2023 Barclays Barclays United Kingdom United Kingdom Financial Certificate of Deposit GB00BP208758 GBP 500,000,000 1.02% 02/06/2023 122 91-180 No
6AYPPEU OVERSEA-CHINESE BANKING CORP L CD 0.0% 28/04/2023 Overseas-Chinese Banking Corp (OCBC) Overseas-Chinese Banking Corp (OCBC) Singapore Asia Pacific Ex Japan Financial Certificate of Deposit XS2583353417 GBP 200,000,000 0.41% 28/04/2023 87 31-90 No
6AY8JRU NORDEA BANK AB 3.1% CD 22/06/2023 Nordea Bank Nordea Bank Finland Core Euro Area Financial Certificate of Deposit GB00BP1XFL88 GBP 100,000,000 0.20% 22/06/2023 142 91-180 No
6AY8MQU ANZ GROUP HLDGS LI FR SNR EMTN 06/23    GBP100000 Australia & New Zealand Banking Group Australia & New Zealand Banking Group Australia Asia Pacific Ex Japan Financial Floating Rate Note XS2495513504 GBP 215,000,000 0.44% 27/06/2023 147 91-180 No
7AXWKJU THE TORONTO-DOMINION BANK CD 1.13% 03/02/2023 Toronto Dominion Bank Toronto Dominion Bank Canada North America Financial Certificate of Deposit GB00BP1VPR82 GBP 100,000,000 0.20% 03/02/2023 3 2-7 No
7AYADHU UBS AG - LONDON 2.45% CD 15/02/2023 UBS UBS Switzerland Europe non Euro Area Financial Certificate of Deposit XS2504501417 GBP 125,000,000 0.25% 15/02/2023 15 8-30 No
7AYBZNU DNB BANK ASA CD 2.56% 09/02/2022 DNB Bank ASA DNB Bank ASA Norway Europe non Euro Area Financial Certificate of Deposit XS2519776822 GBP 175,000,000 0.36% 09/02/2023 9 8-30 No
7AYGKLU MIZUHO BANK LTD CD 3.7% 01/02/2023 Mizuho Mizuho Corporate Bank Japan Japan Financial Certificate of Deposit XS2550118041 GBP 100,000,000 0.20% 01/02/2023 1 1 No
7AYGR0U FEDERATION DES CAISSES DESJARD 0% CP          02/02/2023 Caisse Centrale Desjardins du Quebec Caisse Centrale Desjardins du Quebec Canada North America Financial Commercial Paper XS2553241360 GBP 100,000,000 0.20% 02/02/2023 2 2-7 No
7AYG10U ABN AMRO BANK NV CD 0.0% 03/02/2023 ABN Amro ABN Amro Netherlands Core Euro Area Financial Certificate of Deposit XS2553398772 GBP 795,000,000 1.61% 03/02/2023 3 2-7 No
7AYHABU SKANDINAVISKA ENSKILDA BANKEN CD 3.67% 06/03/2023 Skandinaviska Enskilda Banken (SEB) Skandinaviska Enskilda Banken (SEB) Sweden Europe non Euro Area Financial Certificate of Deposit XS2553828612 GBP 425,000,000 0.86% 06/03/2023 34 31-90 No
7AYHFCU BNP PARIBAS LONDON BRANCH CD 3.45% 07/02/2023 BNP Paribas BNP Paribas France Core Euro Area Financial Certificate of Deposit GB00BP1Z8S27 GBP 500,000,000 1.02% 07/02/2023 7 2-7 No
7AYHFPU BARCLAYS BANK PLC 08/03/2023 Barclays Barclays United Kingdom United Kingdom Financial Commercial Paper XS2554742192 GBP 500,000,000 1.02% 08/03/2023 36 31-90 No
7AYHNBU DGZ DEKABANK 02/02/2023 DEKABANK DT GIROZ DEKABANK DT GIROZ Germany Core Euro Area Financial Commercial Paper XS2555683536 GBP 300,000,000 0.61% 02/02/2023 2 2-7 No
7AYKZDU KREDITANSTALT FUR 07/02/2023 KfW KfW Germany Core Euro Area Government Agency Commercial Paper XS2562877733 GBP 500,000,000 1.02% 07/02/2023 7 2-7 No
7AYM50U CITIBANK NA CD 3.9% 05/04/2023 Citibank Citibank United States North America Financial Certificate of Deposit GB00BP1ZZC59 GBP 200,000,000 0.41% 05/04/2023 64 31-90 No
7AYPHGU NORDEA BANK ABP CD 0.0% 04/08/2023 Nordea Bank Nordea Bank Finland Core Euro Area Financial Certificate of Deposit XS2582521287 GBP 100,000,000 0.20% 04/08/2023 185 181-365 No
7AY550U ROYAL BK OF CANADA FRN SNR 05/2023      GBP100000 Royal Bank of Canada Royal Bank of Canada Canada North America Financial Floating Rate Note XS2481557440 GBP 110,000,000 0.22% 18/05/2023 107 91-180 No
7AY8Y8U CANADIAN IMPERIAL BA FRN 7/7/2023 Canadian Imperial Bank Canadian Imperial Bank Canada North America Financial Floating Rate Note XS2499248149 GBP 250,000,000 0.51% 07/07/2023 157 91-180 No
771069 BTOPEN W/BARC TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 250,000,000 0.51% 01/02/2023 1 1 No
771070 BTOPEN W/BARC TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 250,000,000 0.51% 01/02/2023 1 1 No
771075 BTOPEN W/CIBC TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 200,000,000 0.41% 01/02/2023 1 1 No
771076 BTOPEN W/CIBC TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 90,142,750 0.18% 01/02/2023 1 1 No
771077 BTOPEN W/CIBC TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 66,893,640 0.14% 01/02/2023 1 1 No
771078 BTOPEN W/CIBC TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 18,487,500 0.04% 01/02/2023 1 1 No
771079 BTOPEN W/CIBC TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 88,474,400 0.18% 01/02/2023 1 1 No
771080 BTOPEN W/CIBC TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 44,919,830 0.09% 01/02/2023 1 1 No
771081 BTOPEN W/CIBC TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 28,018,375 0.06% 01/02/2023 1 1 No
771137 BTOPEN W/BNP  TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 100,000,000 0.20% 01/02/2023 1 1 No
771138 BTOPEN W/BNP  TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 100,000,000 0.20% 01/02/2023 1 1 No
771139 BTOPEN W/BNP  TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 100,000,000 0.20% 01/02/2023 1 1 No
771140 BTOPEN W/BNP  TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 100,000,000 0.20% 01/02/2023 1 1 No
771141 BTOPEN W/BNP  TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 100,000,000 0.20% 01/02/2023 1 1 No
771145 BTOPEN W/CITI TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 750,000,000 1.52% 01/02/2023 1 1 No
771146 BTOPEN W/HSBC TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 500,000,000 1.02% 01/02/2023 1 1 No
771147 BTOPEN W/SANT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 1,000,000,000 2.03% 01/02/2023 1 1 No
771148 BTOPEN W/SG S TO 02/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 250,000,000 0.51% 02/02/2023 2 2-7 No
771149 BTOPEN W/SG S TO 02/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 250,000,000 0.51% 02/02/2023 2 2-7 No
771158 BTOPEN W/MUFG TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 83,539,553 0.17% 01/02/2023 1 1 No
771159 BTOPEN W/MUFG TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 83,539,553 0.17% 01/02/2023 1 1 No
771160 BTOPEN W/MUFG TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 61,490,130 0.12% 01/02/2023 1 1 No
771161 BTOPEN W/MUFG TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 105,721,021 0.21% 01/02/2023 1 1 No
771162 BTOPEN W/MUFG TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 65,709,743 0.13% 01/02/2023 1 1 No
771163 BTOPEN W/RBC TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 500,000,000 1.02% 01/02/2023 1 1 No
771164 BTOPEN W/RBC TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 500,000,000 1.02% 01/02/2023 1 1 No
771165 BTOPEN W/CRED TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 75,700,000 0.15% 01/02/2023 1 1 No
771166 BTOPEN W/CRED TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 70,900,000 0.14% 01/02/2023 1 1 No
771167 BTOPEN W/CRED TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 53,400,000 0.11% 01/02/2023 1 1 No
771168 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 1,564,520 0.00% 01/02/2023 1 1 No
771169 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 2,435,915 0.00% 01/02/2023 1 1 No
771170 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 3,464,615 0.01% 01/02/2023 1 1 No
771171 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 3,658,315 0.01% 01/02/2023 1 1 No
771172 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 57,074,571 0.12% 01/02/2023 1 1 No
771173 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 11,745,376 0.02% 01/02/2023 1 1 No
771174 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 22,610,621 0.05% 01/02/2023 1 1 No
771175 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 26,823,951 0.05% 01/02/2023 1 1 No
771176 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 40,860,237 0.08% 01/02/2023 1 1 No
771177 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 4,271,138 0.01% 01/02/2023 1 1 No
771178 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 5,333,235 0.01% 01/02/2023 1 1 No
771179 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 9,664,170 0.02% 01/02/2023 1 1 No
771180 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 11,504,076 0.02% 01/02/2023 1 1 No
771181 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 14,321,588 0.03% 01/02/2023 1 1 No
771182 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 14,800,754 0.03% 01/02/2023 1 1 No
771183 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 15,943,772 0.03% 01/02/2023 1 1 No
771184 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 18,264,912 0.04% 01/02/2023 1 1 No
771185 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 73,771,159 0.15% 01/02/2023 1 1 No
771186 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 84,042,524 0.17% 01/02/2023 1 1 No
771187 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 102,090,989 0.21% 01/02/2023 1 1 No
771188 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 3,709,317 0.01% 01/02/2023 1 1 No
771189 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 6,156,382 0.01% 01/02/2023 1 1 No
771190 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 6,620,195 0.01% 01/02/2023 1 1 No
771191 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 14,525,495 0.03% 01/02/2023 1 1 No
771192 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 16,423,299 0.03% 01/02/2023 1 1 No
771193 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 47,707,922 0.10% 01/02/2023 1 1 No
771194 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 18,133,030 0.04% 01/02/2023 1 1 No
771195 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 36,389,120 0.07% 01/02/2023 1 1 No
771196 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 48,669,903 0.10% 01/02/2023 1 1 No
771197 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 52,835,653 0.11% 01/02/2023 1 1 No
771198 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 17,343,438 0.04% 01/02/2023 1 1 No
771199 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 53,132,766 0.11% 01/02/2023 1 1 No
771200 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 55,962,447 0.11% 01/02/2023 1 1 No
771201 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 59,201,502 0.12% 01/02/2023 1 1 No
771202 BTOPEN W/SCOT TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 38,943,507 0.08% 01/02/2023 1 1 No
771203 BTOPEN W/NATL TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 175,000,000 0.36% 01/02/2023 1 1 No
771204 BTOPEN W/NATL TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 250,000,000 0.51% 01/02/2023 1 1 No
771205 BTOPEN W/NATL TO 01/02 United Kingdom United Kingdom United Kingdom United Kingdom Government Agency Repurchase Agreement GBP 275,000,000 0.56% 01/02/2023 1 1 No
8AXUK7U BK OF NOVA SCOTIA FR SNR EMTN 02/23     GBP100000 Bank of Nova Scotia Bank of Nova Scotia Canada North America Financial Floating Rate Note XS2432861743 GBP 200,000,000 0.41% 08/02/2023 8 8-30 No
8AXXZ1U ANZ BANKING GRP FRN SNR 03/2023         GBP100000 Australia & New Zealand Banking Group Australia & New Zealand Banking Group Australia Asia Pacific Ex Japan Financial Floating Rate Note XS2452636785 GBP 225,000,000 0.46% 07/03/2023 35 31-90 No
8AYEAPU RYL BK CANADA(LON) FRN SNR 09/2023      GBP100000 Royal Bank of Canada Royal Bank of Canada Canada North America Financial Floating Rate Note XS2536797512 GBP 217,000,000 0.44% 22/09/2023 234 181-365 No
8AYGLCU SUMITOMO MITSUI BANKING CORPOR Z/CPN CD 01/02/2023 Sumitomo Mitsui Sumitomo Mitsui Banking Corp Japan Japan Financial Certificate of Deposit BE6337949661 GBP 400,000,000 0.81% 01/02/2023 1 1 No
8AYGP7U NATIONAL BANK OF ABU DHABI CD 3.45% 02/02/2023 First Abu Dhabi Bank First Abu Dhabi Bank United Arab Emirates Middle East Financial Certificate of Deposit GB00BP1Z6119 GBP 500,000,000 1.02% 02/02/2023 2 2-7 No
8AYHPVU ABN AMRO BANK NV 0% CD 10/02/2023 ABN Amro ABN Amro Netherlands Core Euro Area Financial Certificate of Deposit XS2555758304 GBP 450,000,000 0.91% 10/02/2023 10 8-30 No
8AYJXJU MIZUHO BANK LTD CD 0.0% 06/02/2023 Mizuho Mizuho Corporate Bank Japan Japan Financial Certificate of Deposit XS2557692600 GBP 200,000,000 0.41% 06/02/2023 6 2-7 No
8AYKZDU DGZ DEKABANK 28/02/2023 DEKABANK DT GIROZ DEKABANK DT GIROZ Germany Core Euro Area Financial Commercial Paper XS2562994454 GBP 200,000,000 0.41% 28/02/2023 28 8-30 No
8AYNECU CREDIT AGRICOLE CORPORATE AND 4.33% 11/07/2023 Credit Agricole SA Credit Agricole SA France Core Euro Area Financial Certificate of Deposit XS2576390533 GBP 300,000,000 0.61% 11/07/2023 161 91-180 No
8AYNT7U FED DES CAISSES 24/04/2023 Caisse Centrale Desjardins du Quebec Caisse Centrale Desjardins du Quebec Canada North America Financial Commercial Paper XS2580875180 GBP 300,000,000 0.61% 24/04/2023 83 31-90 No
8AYPALU ING BANK NV CD 0.0% 31/08/2023 ING Bank ING Bank Netherlands Core Euro Area Financial Certificate of Deposit XS2581663619 GBP 500,000,000 1.02% 31/08/2023 212 181-365 No
8AYPEFU NATIONWIDE BUILDING SOC CD 3.43% 03/02/23 Nationwide Building Society Nationwide Building Society United Kingdom United Kingdom Financial Certificate of Deposit GB00BP207016 GBP 800,000,000 1.62% 03/02/2023 3 2-7 No
8AY881U BANK OF MONTREAL VAR 07/07/2023 Bank of Montreal Bank of Montreal Canada North America Financial Floating Rate Note XS2499460876 GBP 250,000,000 0.51% 07/07/2023 157 91-180 No

References and notesEdit

  1. Money market rates are the interest rates at which short-term financial instruments are traded in the money market. The money market is a marketplace where banks, corporations, and other financial institutions buy and sell financial instruments with short maturities, typically less than one year. Examples of financial instruments traded in the money market include Treasury bills, certificates of deposit, commercial paper, and repurchase agreements. Money market rates are determined by supply and demand in the market. When demand for short-term funds is high, money market rates tend to rise, and when demand is low, rates tend to fall. Money market rates are an important indicator of the overall health of the economy and can influence borrowing costs for consumers and businesses.
  2. A Certificate of Deposit (CD) is a financial product offered by banks and credit unions that allows investors to earn a fixed rate of interest on their savings over a specified period of time. When you purchase a CD, you agree to deposit a certain amount of money with a bank or credit union for a fixed term, which can range from a few months to several years. The bank pays you a fixed rate of interest for the duration of the CD term, which is typically higher than the interest rate paid on savings accounts. CDs are considered a low-risk investment because they are FDIC insured up to $250,000 per depositor per institution, which means that even if the bank fails, the depositor will receive their principal and interest payments back. However, in exchange for this low-risk investment, investors give up some liquidity since early withdrawal of the funds typically results in a penalty. CDs are often used by investors who want a safe investment with a guaranteed return, but are willing to lock up their funds for a period of time. The longer the term of the CD, the higher the interest rate paid, so investors can choose a term that matches their investment goals and risk tolerance.
  3. Commercial paper is a short-term debt instrument issued by corporations to meet their immediate funding needs. It is typically issued with a maturity of less than 270 days and is used to finance short-term working capital needs, such as inventory purchases, payroll, and other operational expenses. Commercial paper is generally considered a low-risk investment because it is typically issued by large, well-established corporations with strong credit ratings. Because of this, commercial paper usually carries a lower interest rate than other short-term debt instruments such as Treasury bills. Commercial paper is usually sold in large denominations, making it more accessible to institutional investors such as banks, mutual funds, and pension funds. However, individual investors can also participate in the market through money market mutual funds, which invest in a diversified portfolio of commercial paper. The commercial paper market is an important source of short-term funding for corporations, and its issuance volume can be used as an indicator of the overall health of the economy. The market is subject to fluctuations based on changes in interest rates, credit ratings, and overall market conditions.
  4. Includes reverse repurchase agreements collateralised with UK Treasury issuance.
  5. The Sustainable Finance Disclosure Regulation (SFDR) is a European Union (EU) regulation that sets out rules for financial market participants and financial advisors to disclose the environmental, social, and governance (ESG) characteristics of their investment products. The SFDR was adopted in 2019 and became effective on March 10, 2021. The SFDR classification system provides a framework for the disclosure of the ESG characteristics of investment products, with the aim of promoting transparency and comparability of ESG information across the financial industry. The classification system includes three levels of disclosure: 1) Article 6: Products that do not promote ESG characteristics or do not have a sustainable objective. 2) Article 8: Products that promote environmental or social characteristics or have a sustainable investment objective, but do not have a specific reference to the reduction of carbon emissions. 3) Article 9: Products that have a sustainable investment objective and have specific reference to the reduction of carbon emissions. Financial market participants are required to disclose the SFDR classification of their investment products in their pre-contractual documents, such as prospectuses or offering documents, and on their websites. The regulation aims to provide investors with more information about the sustainability of their investments, enabling them to make more informed investment decisions.
  6. ISIN stands for International Securities Identification Number. It is a unique identification code that is used to identify securities such as stocks, bonds, and other financial instruments. The ISIN code is a 12-character alphanumeric code that is assigned to each security, and it provides a standardized way to identify securities across different countries and exchanges. The code is made up of three parts: 1) Country code: The first two characters of the ISIN code represent the country in which the security was issued. 2) Security code: The next nine characters of the ISIN code are unique to the security and are assigned by the national numbering agency of the country where the security was issued. 3) Check digit: The final character of the ISIN code is a check digit that is calculated using a mathematical formula based on the other 11 characters in the code. This helps to ensure the accuracy of the code. The ISIN code is used by financial institutions, regulators, and investors to identify and track securities for trading, settlement, and reporting purposes. It is an important tool for facilitating international investment and ensuring transparency in financial markets.
  7. SEDOL stands for Stock Exchange Daily Official List. It is a seven-character alphanumeric code that is used to identify securities traded on the London Stock Exchange and other exchanges in the United Kingdom. The SEDOL code is assigned by the London Stock Exchange and is used to uniquely identify each security listed on the exchange. The code consists of two parts: 1) Six-character alphanumeric security identifier: This part of the code uniquely identifies the security and is assigned by the London Stock Exchange. 2) Check digit: The final character of the code is a check digit that is calculated using a mathematical formula based on the other six characters in the code. This helps to ensure the accuracy of the code. The SEDOL code is used by financial institutions, regulators, and investors to identify and track securities for trading, settlement, and reporting purposes. It is an important tool for facilitating trading and ensuring transparency in financial markets. SEDOL codes are also used in conjunction with other security identification codes, such as ISINs, to provide additional information about securities traded on the London Stock Exchange.
  8. The date on which a loan, bond, mortgage, or other debt security is due to be repaid.