Across all operations in the schedule listed below, the Desk plans to purchase approximately $62 billion. This represents $50 billion in purchases of the announced $600 billion purchase program, which will be completed by the end of June, and $12 billion in purchases associated with principal payments from agency debt and agency MBS expected to be received between mid-June and mid-July. As always, this schedule is subject to change should the FOMC choose to alter its directive to the Desk during the monthly period. |
Operation Date1 | Settlement Date | Operation Type2 | Maturity Range |
Expected Purchase Size |
June 13, 2011 | June 14, 2011 | Outright Treasury Coupon Purchase | 08/15/2018 - 05/15/2021 | $4 - $5 billion |
June 14, 2011 | June 15, 2011 | Outright Treasury Coupon Purchase | 12/15/2012 - 11/30/2013 | $2.5 - $3.5 billion |
June 15, 2011 | June 16, 2011 | Outright Treasury Coupon Purchase | 12/31/2016 - 05/31/2018 | $4 - $5 billion |
June 16, 2011 | June 17, 2011 | Outright Treasury Coupon Purchase | 06/30/2015 - 11/30/2016 | $4 - $5 billion |
June 17, 2011 | June 20, 2011 | Outright TIPS Purchase | 04/15/2013 - 02/15/2041 | $1.5 - $2.0 billion |
June 20, 2011 | June 21, 2011 | Outright Treasury Coupon Purchase | 08/15/2018 - 05/15/2021 | $4 - $5 billion |
June 20, 20113 | June 21, 2011 | Outright Treasury Coupon Purchase | 12/31/2013 - 05/31/2015 | $4 - $5 billion |
June 21, 2011 | June 22, 2011 | Outright Treasury Coupon Purchase | 12/31/2016 - 05/31/2018 | $4 - $5 billion |
June 23, 2011 | June 24, 2011 | Outright Treasury Coupon Purchase | 08/15/2021 - 11/15/2027 | $1 - $1.5 billion |
June 24, 2011 | June 27, 2011 | Outright Treasury Coupon Purchase | 12/31/2013 - 05/31/2015 | $4 - $5 billion |
June 27, 2011 | June 28, 2011 | Outright Treasury Coupon Purchase | 06/30/2015 - 11/30/2016 | $4 - $5 billion |
June 28, 2011 | June 29, 2011 | Outright Treasury Coupon Purchase | 08/15/2018 - 05/15/2021 | $4 - $5 billion |
June 29, 2011 | June 30, 2011 | Outright Treasury Coupon Purchase | 08/15/2028 - 05/15/2041 | $2 - $3 billion |
June 30, 2011 | July 1, 2011 | Outright Treasury Coupon Purchase | 12/31/2016 - 06/30/2018 | $4 - $5 billion |
Completion of $600 Billion Purchase Program | ||||
July 6, 2011 | July 7, 2011 | Outright Treasury Coupon Purchase | 01/15/2014 - 06/30/2015 | $2.5 - $3.5 billion |
July 11, 2011 | July 12, 2011 | Outright Treasury Coupon Purchase | 07/31/2015 - 12/31/2016 | $2.5 - $3.5 billion |
The next release of the approximate purchase amount and tentative outright Treasury operation schedule will be at 2 p.m. on May 11, 2011. At that time, the Desk will also publish information on prices paid for securities included in the operations listed above.
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1Operations are tentatively scheduled to begin around 10:15 AM and close at 11:00 AM unless noted otherwise.
2Nominal coupon operations are specified as “Outright Treasury Coupon Purchase” and TIPS operations are specified as “Outright TIPS Purchase”
3This operation is tentatively scheduled to begin around 1:15 PM and close at 2:00 PM