Offers for Oct. 18 (Fri)

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 1 year and up to 3 years) 3,250 Oct. 21, 2024
Outright purchases of JGBs(residual maturity of more than 3 years and up to 5 years) 3,250 Oct. 21, 2024
Outright purchases of JGBs(residual maturity of more than 5 years and up to 10 years) 3,750 Oct. 21, 2024
Outright purchases of JGBs(residual maturity of more than 25 years) 750 Oct. 21, 2024
Outright purchases of Corporate Bonds**** 500 Oct. 23, 2024
Securities lending facility (Sales of JGSs under repurchase agreements) /offered in the morning/same-day-start operation Oct. 18, 2024 Oct. 21, 2024 -0.050
Securities lending facility (Sales of JGSs under repurchase agreements) /offered in the afternoon/same-day-start operation Oct. 18, 2024 Oct. 21, 2024 -0.050

* 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) and Securities lending to provide JGSs as collateral for US Dollar Funds-Supplying Operations against Pooled Collateral (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.
**** The lower limit on bid rates for the auction is 0.44%.