Offers for Mar. 28 (Thu)

Bank of Japan
Financial Markets Department


(100 million yen, percent per annum)
Instrument Amounts
Offered*
Date of
Exercise**
Date of Resale
or Repurchase
or Repayment**
Loan
Rate***

Outright purchases of JGBs(residual maturity of more than 3 years and up to 5 years) 4,250 Mar. 29, 2024
Outright purchases of JGBs(residual maturity of more than 5 years and up to 10 years) 4,750 Mar. 29, 2024
Outright purchases of JGBs(residual maturity of more than 10 years and up to 25 years) 1,500 Mar. 29, 2024
Outright purchases of JGBs(inflation-indexed bonds) 600 Mar. 29, 2024
Securities lending facility (Sales of JGSs under repurchase agreements) /offered in the morning/same-day-start operation Mar. 28, 2024 Mar. 29, 2024 -0.250
Securities lending facility (Sales of JGSs under repurchase agreements) /offered in the afternoon/same-day-start operation Mar. 28, 2024 Mar. 29, 2024 -0.250

* For the case of US Dollar Funds-Supplying Operations against Pooled Collateral, funds are provided for unlimited amount against pooled collateral.
** For the case of US Dollar Funds-Supplying Operations against Pooled Collateral, the dates are in US Eastern Standard Time.
*** For the case of Securities lending facility (Sales of JGSs under repurchase agreements), the rates are the upper limits on selling yields. For the case of the Outright purchases of JGBs (fixed-rate method), the rates are the fixed yield spreads.