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Foreign Currency Borrowing

Volume 955: debated on Thursday 3 August 1978

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asked the Chancellor of the Exchequer if he will list the repayments of foreign currency borrowing, by public sector bodies, that have been made in 1978, or are planned for 1978, specifying in the case of each repayment; the lender and the facility, the borrower, the amount of the repayment, the date of repayment, whether the repayment was or will be ahead of schedule, where appropriate, whether the loan had exchange cover, and whether the repayment is part of a refinancing operation; and what outstanding total of debt remains drawn, or will remain drawn, on each facility on which a repayment has been or will be made in 1978.

I regret that in the time available it has not been possible to provide the information requested. I shall write to the hon. Member.