Federal Reserve Statistical Release, H.4.1, Factors Affecting Reserve Balances; title with eagle logo links to Statistical Release home page

Release Date:  January 15, 1998

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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
January 15, 1998
Millions of dollars
  Averages of daily figures
    Change from week ended  
Reserve balances of depository institutions at
F.R. Banks, Reserve Bank credit, and related items
Week ended
Jan 14, 1998
Jan 7, 1998 Jan 15, 1997 Wednesday
Jan 14, 1998
Reserve Bank Credit  (1,2)                                  468,372     -   8,621     +  28,807       472,341 
  U.S. government securities                                         
    Bought outright-system account (3)                      430,981     +       7     +  39,338       431,714 
    Held under repurchase agreements                          3,433     -   6,395     -   7,014         5,465 
  Federal agency obligations                                         
    Bought outright                                             685             0     -   1,394           685 
    Held under repurchase agreements                            826     -     697     -   1,516         2,216 
  Acceptances                                                     0             0             0             0 
  Loans to depository institutions                                   
    Adjustment credit                                            22     -     330     -       4            20 
    Seasonal credit                                              20     -       3     +       3            20 
    Extended credit                                               0             0             0             0 
   Float                                                        783     -   1,299     -      62          -152 
   Other F.R. assets                                         31,622     +      95     -     544        32,373 
Gold stock                                                   11,046     -       1     -       2        11,046 
Special drawing rights certificate account                   9,200            0    -     518        9,200 
Treasury currency outstanding                                25,672     +      14     +     664        25,672 
        Total factors supplying reserve funds               514,290     -   8,608     +  28,951       518,258 
                                                     
Currency in circulation*                                    475,281     -   5,476     +  31,379       473,998 
Treasury cash holdings*                                         228     +       3     -      18           229 
Deposits,other than reserve balances,with F.R.Banks                                
  Treasury                                                    5,253     +     223     -     258         4,644 
  Foreign                                                       177     -      67     -       5           157 
  Service-related balances and adjustments (4)                7,011     +     217     -     194         7,011 
  Other                                                         252     -     544     -      63           337 
Other F.R. liabilities and capital                           16,240     +     604     +   1,745        15,971 
        Total factors, other than reserve balances,    
        absorbing reserve funds                       
     504,443     -   5,040     +  32,585       502,347 
                                                              
Reserve balances with F.R. Banks  (5)                         9,847     -   3,568     -   3,633        15,911 
                                                                                  
On January 14, 1998, the face amount of marketable U.S. government securities held in custody by the
Federal Reserve Banks for foreign official and international accounts was 602,290 million, a change of
+$ 2,094 million for the week. The total includes the face value of U.S. Treasury strips and other zero
coupon bonds.
1 Net of $ 16,032 million daily average, matched sale-purchase transactions outstanding during the
latest statement week, of which a net of $ 15,735 million was with foreign official and international
accounts. Includes securities loaned--fully secured by U.S. government securities.
2 Net of $ 15,298 million matched sale-purchase transactions outstanding at the end of the latest
statement week, of which a net of $ 15,298 million was with foreign official and international
accounts. Includes $ 265 million securities loaned--fully secured U.S. government securities.
3 Includes $ 1650 million of inflation-indexed securities valued at the original face amount and
$ 23 million of compensation that adjusts for the effects of inflation on the principal of such
securities.
4 Consists of required clearing balances of $ 6,598 million and adjustments of $ 413 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
ASSETS * Wednesday
Jan 14, 1998
Wednesday
Jan 7, 1998
Wednesday
Jan 15, 1997
Gold certificate account                                         11,046         -       2         -       2 
Special drawing rights certificate account                        9,200                 0         -     518 
Coin                                                                476         +      28         -     141 
                                                
Loans                                                                40         +      14         -     105 
Acceptances                                                           0                 0                 0 
Federal agency obligations                            
  Bought outright                                                   685                 0         -   1,370 
  Held under repurchase agreements (1)                            2,216         +   1,469         -     694 
U.S. government securities                          
  Bought outright--Bills                                        198,101         +   1,675         +   8,377 
                   Notes (2)                                    174,206                 0         +  23,890 
                   Bonds                                         59,407                 0         +  10,068 
    Total bought outright (3)                                   431,714         +   1,675         +  42,335 
  Held under repurchase agreements (1)                            5,465         +   1,190         -   9,183 
     Total U.S. government securities                           437,179         +   2,865         +  33,152 
       Total loans and securities                               440,119         +   4,348         +  30,983 
     
Items in process of collection                      (399)         7,684         -   4,878         +     364 
Bank premises                                                     1,274         +       3         +      39 
Other assets (4)                                                 31,096         +   1,028         +      65 
                TOTAL ASSETS                        (399)       500,895         +     528         +  30,789 
     
                LIABILITIES                           
Federal Reserve notes                                           449,031         -   4,716         +  30,107 
Deposits                                           
  Depository institutions                                        24,148         +   6,516         +   1,682 
  U.S. Treasury--general account                                  4,644         -     936         -   2,878 
  Foreign--official accounts                                        157         -       2         -      15 
    Other                                                           337         +     138         -      14 
      Total deposits                                             29,286         +   5,716         -   1,225 
Deferred availability cash items                    (399)         6,606         -     708         +     368 
Other liabilities and accrued dividends (5)                       4,775         +     194         -      39 
                TOTAL LIABILITIES                   (399)       489,698         +     485         +  29,210 
                                                
                CAPITAL ACCOUNTS                     
Capital paid in                                                   5,473         +      33         +     795 
Surplus                                                           5,220                 0         +     725 
Other capital accounts                                              503         +      10         +      59 
 
*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 $ 1650 million of inflation-indexed securities valued at the original face amount and
$ 23 million of compensation that adjusts for the effects of inflation on the principal of such
securities.
3 Net of $ 15,298 million matched sale-purchase transactions outstanding at the end of the latest
statement week. Includes $ 265 million securities loaned--fully secured by U.S. government
securities.
4 Includes assets denominated in foreign currencies, revalued monthly at market exchange rates. Includes
special investment account at Chicago of $ 135 million in Treasury bills maturing within 90 days.
5 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, January 14, 1998
Acceptances and securities held under repurchase agreements are classified as maturing within 15 days in
accordance with maximum majority of the agreements.
 

Millions of dollars
  U.S. government
securities (1)
Federal agency
obligations
  Loans Acceptances   Holdings Weekly
changes
Holdings Weekly
changes
Within 15 days   22  Within 15 days       14,953  -   4,302   2,216  +   1,469 
16 to 90 days    18  16 to 90 days        99,878  +   1,192      90  +      30 
Over 90 days      0  91 days to 1 year   138,105  +   5,975     162  -      30 
                        Over 1 to 5 years    95,028          0     153          0 
                        Over 5 to 10 years   40,907          0     255          0 
                        Over 10 years        48,308          0      25          0 
    Total        40      Total           437,179  +   2,865   2,901  +   1,469 
 
1 Includes $ 1650 million of inflation-indexed securities valued at the original face amount and
$ 23 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 January 14, 1998
Millions of dollars
ASSETS Total Boston New York Philadelphia Cleveland Richmond Atlanta Chicago St. Louis Minneapolis Kansas
City
Dallas San
Francisco
Gold certificate account                      11,046         624       3,933         350         669         965         723       1,069         401         147         286         459       1,420 
Special drawing rights certif. acct.           9,200         530       3,202         282         574         792         602         900         340         123         247         367       1,241 
Coin                                             476          24          20          51          28          66          48          57          19          20          36          43          63 
                                                               
Loans                                             40           0           0           0           0           0           0          13           6           0          12           0           9 
Acceptances                                        0           0           0           0           0           0           0           0           0           0           0           0           0 
Federal agency obligations                                   
  Bought outright                                685          42         221          23          47          65          46          73          27          10          20          25          86 
  Held under repurchase agreements(1)          2,216           0       2,216           0           0           0           0           0           0           0           0           0           0 
U.S. government securities                                         
  Bought outright--Bills                     198,101      12,077      64,076       6,623      13,703      18,849      13,219      21,130       7,890       2,759       5,657       7,194      24,924 
                   Notes (2)                 174,206      10,620      56,347       5,824      12,050      16,575      11,625      18,582       6,938       2,426       4,974       6,326      21,918 
                   Bonds                      59,407       3,622      19,215       1,986       4,109       5,652       3,964       6,337       2,366         827       1,696       2,157       7,474 
     Total bought outright(3)                431,714      26,318     139,638      14,433      29,862      41,076      28,809      46,049      17,195       6,012      12,327      15,678      54,317 
  Held under repurchase agreements(1)          5,465           0       5,465           0           0           0           0           0           0           0           0           0           0 
     Total U.S. govt. securities             437,179      26,318     145,103      14,433      29,862      41,076      28,809      46,049      17,195       6,012      12,327      15,678      54,317 
       Total loans and securities            440,119      26,360     147,541      14,455      29,909      41,141      28,854      46,135      17,228       6,022      12,359      15,703      54,411 
                                                               
Items in process of collection                 8,083         463         832         222         268         557         997         708         245         671         285         502       2,333 
Bank premises                                  1,274          94         156          51         134         126          78         108          31         132          55         150         159 
Other assets(4)                               31,096       1,353       9,629       1,422       1,894       2,408       2,394       3,362         892         595         998       1,400       4,749 
Interdistrict settlement account                   0      -4,091     +32,764      -2,065      -3,073      -9,525      -1,091      -8,242      -1,713      -1,188        +394      +3,111      -5,282 
          TOTAL ASSETS                       501,293      25,358     198,076      14,767      30,404      36,531      32,605      44,097      17,444       6,523      14,659      21,735      59,095 
 

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 $ 1650 million of inflation-indexed securities valued at the original face amount and
$ 23 million of compensation that adjusts for the effects of inflation on the principal of such
securities.
3 Net of $ 15,298 million matched sale-purchase transactions outstanding at the end of the latest
statement week. Includes $ 265 million securities loaned--fully secured by U.S. government
securities.
4 Includes assets denominated in foreign currencies, revalued monthly at market exchange rates. Includes
special investment account at Chicago of $ 135 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 January 14, 1998
Millions of dollars
LIABILITIES Total Boston New York Philadelphia Cleveland Richmond Atlanta Chicago St. Louis Minneapolis Kansas
City
Dallas San
Francisco
Federal Reserve notes                        449,031      22,442     180,942      13,054      28,107      31,803      28,517      39,221      16,010       4,785      13,046      19,108      51,996  
Deposits                                                          
  Depository institutions                     24,148       1,629       7,780         692       1,008       1,972       2,194       2,564         745         684         780       1,531       2,569  
  U.S. Treasury--general account               4,644           0       4,644           0           0           0           0           0           0           0           0           0           0  
  Foreign--official accounts                     157           5          46           9           9          10          13          17           4           3           5           8          28  
  Other                                          337           1         116           1           4          70           2         137           1           1           2           1           2  
    Total deposits                            29,286       1,635      12,585         701       1,022       2,051       2,209       2,719         749         688         787       1,541       2,599  
Deferred credit items                          7,005        443         766        219         220        533         804        570         235        561         382        322       1,949  
Other liabilities and accrued             
  dividends (1)                           
    4,775         293       1,450         188         321         444         341         506         204          99         171         193         566  
    TOTAL LIABILITIES                        490,097      24,813     195,743      14,161      29,670      34,832  ;    31,872      43,015      17,198       6,134      14,386      21,163      57,110  
 
       CAPITAL ACCOUNTS                                            
Capital paid in                                5,473         262       1,108         317         356         833         360         527         115         194         134         284         982  
Surplus                                        5,220         254       1,055         273         335         818         338         502         122         189         119         271         945  
Other capital accounts                           503          29         170          16          43          48          34          52           9           6          21          18          59  
     TOTAL LIABILITIES AND CAPITAL        
        ACCOUNTS                          
  501,293      25,358     198,076      14,767      30,404      36,531      32,605      44,097      17,444       6,523      14,659      21,735      59,095  
              
FEDERAL RESERVE AGENTS' ACCOUNTS                                              
F.R. notes outstanding                       548,053      27,884     210,688      16,604      31,836      39,126      37,759      46,849      18,459       6,582      15,195      25,724      71,348  
  Less--Held by F.R. Banks                    99,022       5,442      29,746       3,550       3,729       7,323       9,242       7,628       2,449       1,796       2,150       6,617      19,351  
  F.R. notes, net                            449,031      22,442     180,942      13,054      28,107      31,803      28,517      39,221      16,010       4,785      13,046      19,108      51,996  
Collateral held against F.R. notes                          
   Gold certificate account                   11,046                    
   Special drawing rights                 
     certificate account                  
 
    9,200  
                
   Other eligible assets                           0                  
   U.S. govt. and agency securities          428,786                  
     Total collateral                        449,031                  
 
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: January 15, 1998