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Release Date: June 24, 1999
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FEDERAL RESERVE
These data are scheduled for release each Thursday. The exact time of each release will be announced, when
the information is available, on (202) 452-3206.
H.4.1
Factors Affecting Reserve Balances of Depository Institutions and
Condition Statement of F.R. Banks
June 24, 1999
Millions of dollars
Averages of daily figures
Reserve balances of depository institutions at Week ended Change from week ended Wednesday
F.R. Banks, Reserve Bank credit, and related items Jun 23, 1999 Jun 16, 1999 Jun 24, 1998 Jun 23, 1999
Reserve Bank Credit (1,2) 519,197 - 3,325 + 38,700 519,658
U.S. government securities
Bought outright-system account (3) 485,298 + 614 + 43,400 485,243
Held under repurchase agreements 44 - 1,807 - 4,100 50
Federal agency obligations
Bought outright 263 0 - 288 263
Held under repurchase agreements 837 - 2,151 + 354 1,107
Acceptances 0 0 0 0
Loans to depository institutions
Adjustment credit 26 + 2 + 20 125
Seasonal credit 142 + 31 - 38 169
Extended credit 0 0 0 0
Float 385 - 310 - 941 315
Other F.R. assets 32,202 + 296 + 292 32,386
Gold stock 11,047 0 - 2 11,046
Special drawing rights certificate account 8,200 0 - 1,000 8,200
Treasury currency outstanding 26,855 + 14 + 1,083 26,855
Total factors supplying reserve funds 565,299 - 3,311 + 38,781 565,759
Currency in circulation* 527,830 - 325 + 46,690 528,886
Treasury cash holdings* 89 - 20 - 115 89
Deposits,other than reserve balances,with F.R.Banks
Treasury 7,023 + 1,574 - 5,746 6,885
Foreign 211 - 36 + 47 174
Service-related balances and adjustments (4) 7,026 + 296 + 69 7,026
Other 212 - 33 - 121 199
Other F.R. liabilities and capital 17,569 - 87 + 689 17,294
Total factors, other than reserve balances,
absorbing reserve funds 559,960 + 1,369 + 41,513 560,553
Reserve balances with F.R. Banks (5) 5,339 - 4,679 - 2,732 5,206
On June 23, 1999, the face amount of marketable U.S. government securities held in custody by the
Federal Reserve Banks for foreign official and international accounts was 600,145 million, a change of
+$ 4,965 million for the week. The total includes the face value of U.S. Treasury strips and other zero
coupon bonds.
1 Net of $ 17,128 million daily average, matched sale-purchase transactions outstanding during the
latest statement week, of which a net of $ 17,128 million was with foreign official and international
accounts. Includes securities loaned--fully secured by U.S. government securities.
2 Net of $ 17,187 million matched sale-purchase transactions outstanding at the end of the latest
statement week, of which a net of $ 17,187 million was with foreign official and international
accounts. Includes $ 844 million securities loaned--fully secured U.S. government securities.
3 Includes $ 4,740 million of inflation-indexed securities valued at the original face amount and
$ 142 million of compensation that adjusts for the effects of inflation on the principal of such
securities.
4 Consists of required clearing balances of $ 6,633 million and adjustments of $ 393 million to
compensate for float.
5 Excludes required clearing balances and adjustments to compensate for float.
* Estimated (Treasury's figures).
Components may not add to totals due to rounding.
Worksheet for H.4.1 (a)
CONSOLIDATED STATEMENT OF CONDITION OF ALL FEDERAL RESERVE BANKS
Millions of Dollars
Change Since
* Wednesday Wednesday Wednesday
Jun 23, 1999 Jun 16, 1999 Jun 24, 1998
ASSETS
Gold certificate account 11,046 - 1 - 3
Special drawing rights certificate account 8,200 0 - 1,000
Coin 337 - 5 - 74
Loans 294 + 159 + 98
Acceptances 0 0 0
Federal agency obligations
Bought outright 263 0 - 288
Held under repurchase agreements (1) 1,107 - 350 - 73
U.S. government securities
Bought outright--Bills 198,512 + 423 - 475
Notes (2) 208,849 + 6 + 28,256
Bonds (3) 77,882 + 2 + 15,967
Total bought outright (4) 485,243 + 431 + 43,748
Held under repurchase agreements (1) 50 - 1,380 - 11,445
Total U.S. government securities 485,293 - 949 + 32,303
Total loans and securities 486,957 - 1,139 + 32,041
Items in process of collection (707) 6,912 - 713 + 516
Bank premises 1,320 + 4 + 29
Other assets (5) 31,079 + 288 - 796
TOTAL ASSETS (707) 545,850 - 1,568 + 30,712
LIABILITIES
Federal Reserve notes 502,457 - 56 + 45,613
Deposits
Depository institutions 12,024 - 2,894 - 636
U.S. Treasury--general account 6,885 + 2,176 - 15,579
Foreign--official accounts 174 - 21 + 20
Other (0) 199 - 52 - 126
Total deposits (0) 19,282 - 791 - 16,321
Deferred availability cash items (707) 6,818 - 647 + 793
Other liabilities and accrued dividends (6) 4,202 - 70 - 539
TOTAL LIABILITIES (707) 532,759 - 1,563 + 29,547
CAPITAL ACCOUNTS
Capital paid in 6,291 + 5 + 502
Surplus 5,952 0 + 732
Other capital accounts 849 - 9 - 67
*Figures in parentheses are the eliminations made in the consolidation process.
1 Does not include U.S. government and federal agency securities resold under matched sale-purchase
transactions to foreign official and international accounts of which $ 0 million was outstanding
at the end of the latest statement week.
2 Includes $ 3,570 million of inflation-indexed securities valued at the original face amount and
$ 118 million of compensation that adjusts for the effects of inflation on the principal of such
securities.
3 Includes $ 1,170 million of inflation-indexed securities valued at the original face amount and
$ 24 million of compensation that adjusts for the effects of inflation on the principal of such
securities.
4 Net of $ 17,187 million matched sale-purchase transactions outstanding at the end of the latest
statement week. Includes $ 844 million securities loaned--fully secured by U.S. government
securities.
5 Includes assets denominated in foreign currencies, revalued monthly at market exchange rates. Includes
special investment account at Chicago of $ 0 million in Treasury bills maturing within 90 days.
6 Includes exchange-translation account reflecting the monthly revaluation at market exchange rates of
foreign exchange commitments.
Components may not add to totals due to rounding.
MATURITY DISTRIBUTION OF LOANS AND SECURITIES, June 23, 1999
Holdings of securities include securitites held under repurchase agreements, which are classified according
to remaining maturity.
Millions of dollars
U.S. government Federal agency
Loans Acceptances securities (1) obligations
Weekly Weekly
Holdings changes Holdings changes
Within 15 days 272 0 Within 15 days 13,995 + 1,310 1,111 - 350
16 to 90 days 22 0 16 to 90 days 101,142 + 2,633 21 0
Over 90 days 0 0 91 days to 1 year 136,004 - 4,900 68 0
Over 1 to 5 years 122,048 + 1 20 0
Over 5 to 10 years 49,483 + 5 150 0
Over 10 years 62,621 + 2 0 0
Total 294 0 Total 485,293 - 949 1,370 - 350
1 Includes $ 4,740 million of inflation-indexed securities valued at the original face amount and
$ 142 million of compensation that adjusts for the effects of inflation on the principal of such
securities.
Components may not add to totals due to rounding.
H.4.1 (b)
STATEMENT OF CONDITION OF EACH FEDERAL RESERVE BANK ON June 23, 1999
Millions of dollars
Kansas San
Total Boston New York Philadelphia Cleveland Richmond Atlanta Chicago St. Louis Minneapolis City Dallas Francisco
ASSETS
Gold certificate account 11,046 533 4,433 319 566 834 724 993 337 140 313 575 1,279
Special drawing rights certif. acct. 8,200 406 3,215 247 396 683 596 725 232 103 231 451 915
Coin 337 10 14 38 13 39 41 33 22 23 23 44 38
Loans 294 4 1 1 0 0 10 151 35 38 21 1 31
Acceptances 0 0 0 0 0 0 0 0 0 0 0 0 0
Federal agency obligations
Bought outright 263 14 105 8 15 20 16 25 9 3 8 13 28
Held under repurchase agreements(1) 1,107 0 1,107 0 0 0 0 0 0 0 0 0 0
U.S. government securities
Bought outright--Bills 198,512 10,266 79,057 5,946 11,491 14,934 12,083 18,644 6,530 2,374 5,953 9,891 21,343
Notes (2) 208,849 10,800 83,173 6,255 12,089 15,712 12,712 19,615 6,870 2,498 6,263 10,406 22,455
Bonds (3) 77,882 4,028 31,016 2,333 4,508 5,859 4,741 7,315 2,562 931 2,336 3,881 8,374
Total bought outright(4) 485,243 25,093 193,246 14,534 28,088 36,505 29,536 45,574 15,962 5,803 14,551 24,178 52,172
Held under repurchase agreements(1) 50 0 50 0 0 0 0 0 0 0 0 0 0
Total U.S. govt. securities 485,293 25,093 193,296 14,534 28,088 36,505 29,536 45,574 15,962 5,803 14,551 24,178 52,172
Total loans and securities 486,957 25,111 194,508 14,542 28,103 36,525 29,562 45,750 16,006 5,845 14,581 24,193 52,231
Items in process of collection 7,619 413 846 341 307 548 785 669 382 615 422 407 1,882
Bank premises 1,320 93 162 50 157 125 101 107 31 129 52 148 165
Other assets(5) 31,079 1,417 10,235 954 1,842 4,295 1,968 2,802 783 711 797 1,294 3,981
Interdistrict settlement account 0 - 251 + 992 + 7,652 - 2,026 -11,193 - 1,924 + 7,794 + 2,211 - 3,248 + 2,197 - 893 - 1,312
TOTAL ASSETS 546,557 27,733 214,405 24,143 29,359 31,855 31,853 58,873 20,003 4,319 18,616 26,218 59,179
1 Does not include U.S. government and federal agency securities resold under matched sale-purchase
transactions to foreign official and international accounts, of which $ 0 was outstanding at the
end of the latest statement week.
2 Includes $ 3,570 million of inflation-indexed securities valued at the original face amount and
$ 118 million of compensation that adjusts for the effects of inflation on the principal of such
securities.
3 Includes $ 1,170 million of inflation-indexed securities valued at the original face amount and
$ 24 million of compensation that adjusts for the effects of inflation on the principal of such
securities.
4 Net of $ 17,187 million matched sale-purchase transactions outstanding at the end of the latest
statement week. Includes $ 844 million securities loaned--fully secured by U.S. government
securities.
5 Includes assets denominated in foreign currencies, revalued monthly at market exchange rates. Includes
special investment account at Chicago of $ 0 million in Treasury bills maturing within 90 days.
Components may not add to totals due to rounding.
H.4.1 (c)
STATEMENT OF CONDITION OF EACH FEDERAL RESERVE BANK ON June 23, 1999
Millions of dollars
Kansas San
Total Boston New York Philadelphia Cleveland Richmond Atlanta Chicago St. Louis Minneapolis City Dallas Francisco
LIABILITIES
Federal Reserve notes 502,457 25,690 200,702 22,952 26,537 26,906 28,590 55,219 18,733 2,754 17,181 24,062 53,130
Deposits
Depository institutions 12,024 801 1,451 344 1,335 1,261 1,202 1,406 482 460 507 1,109 1,666
U.S. Treasury--general account 6,885 0 6,885 0 0 0 0 0 0 0 0 0 0
Foreign--official accounts 174 7 58 4 10 30 10 68,718 3 11,344 3 6 24
Other 199 0 139 1 2 42 1 1 1 0 7 1 4
Total deposits 19,282 808 8,532 349 1,347 1,333 1,213 1,422 486 465 518 1,116 1,693
Deferred credit items 7,525 414 886 266 366 617 865 586 314 570 413 363 1,866
Other liabilities and accrued
dividends (1) 4,202 227 1,452 156 251 362 292 402 158 91 156 216 441
TOTAL LIABILITIES 533,466 27,138 211,572 23,724 28,500 29,217 30,959 57,629 19,691 3,880 18,269 25,757 57,131
CAPITAL ACCOUNTS
Capital paid in 6,291 285 1,314 203 416 1,301 433 601 148 217 167 210 997
Surplus 5,952 267 1,208 177 399 1,238 418 583 121 202 140 227 972
Other capital accounts 849 43 311 40 44 100 43 61 43 20 40 24 80
TOTAL LIABILITIES AND CAPITAL
ACCOUNTS 546,557 27,733 214,405 24,143 29,359 31,855 31,853 58,873 20,003 4,319 18,616 26,218 59,179
FEDERAL RESERVE AGENTS' ACCOUNTS
F.R. notes outstanding 723,418 31,857 289,339 27,432 33,208 51,163 49,134 68,718 24,347 11,344 23,941 36,273 76,663
Less--Held by F.R. Banks 220,961 6,167 88,636 4,480 6,671 24,258 20,544 13,499 5,613 8,590 6,760 12,210 23,533
F.R. notes, net 502,457 25,690 200,702 22,952 26,537 26,906 28,590 55,219 18,733 2,754 17,181 24,062 53,130
Collateral held against F.R. notes
Gold certificate account 11,046
Special drawing rights
certificate account 8,200
Other eligible assets 0
U.S. govt. and agency securities 483,211
Total collateral 502,457
1 Includes exchange translation account reflecting the monthly revaluation at market exchange rates of
foreign exchange commitments.
Components may not add to totals due to rounding.
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Last update: June 24, 1999