Federal Reserve Statistical Release, H.4.1, Factors Affecting Reserve Balances; title with eagle logo links to Statistical Release home page
Release Date:  May 04, 2006
Release dates
Current release   Other formats: Screen reader | ASCII | PDF (21 KB)
FEDERAL RESERVE Statistical Release
 

H.4.1
Factors Affecting Reserve Balances of Depository Institutions and
Condition Statement of Federal Reserve Banks
May 4, 2006
1. Factors Affecting Reserve Balances of Depository Institutions
Millions of dollars
Reserve Bank credit, related items, and
reserve balances of depository institutions at
Federal Reserve Banks
Averages of daily figures Wednesday
May 3, 2006
Week ended
May 3, 2006
Change from week ended
Apr 26, 2006 May 4, 2005
                                                              
Reserve Bank Credit                                         823,061     +   2,991     +  36,636       825,966 
 Securities held outright                                   759,694     +     798     +  40,338       759,704 
    U.S. Treasury (1)                                       759,694     +     798     +  40,338       759,704 
       Bills (2)                                            275,370             0     +  12,365       275,370 
       Notes and bonds, nominal (2)                         458,273     +     783     +  23,488       458,273 
       Notes and bonds, inflation-indexed (2)                22,646             0     +   3,538        22,646 
       Inflation compensation (3)                             3,404     +      14     +     947         3,415 
    Federal agency (2)                                            0             0             0             0 
 Repurchase agreements(4)                                    25,071     +   3,535     -   1,072        25,750 
 Loans to depository institutions                               138     +      19     +      27           135 
    Primary credit                                               25     -       4     +      20             5 
    Secondary credit                                              0             0             0             0 
    Seasonal credit                                             113     +      23     +       6           130 
 Float                                                       -3,048     -   2,060     -   1,907          -747 
 Other Federal Reserve assets                               41,207    +     700    -     749       41,123 
Gold stock                                                   11,041     -       2             0        11,041 
Special drawing rights certificate account                    2,200             0             0         2,200 
Treasury currency outstanding (5)                            37,939     +      14     +   1,394        37,939 
                                                              
Total factors supplying reserve funds                       874,242     +   3,004     +  38,031       877,146 
                                                                          
Currency in circulation(5)                                  791,794     +   1,139     +  38,125       794,178 
Reverse repurchase agreements (6)                            24,371     +     318     -   1,984        24,478 
   Foreign official and international accounts               24,371     +     318     -   1,984        24,478 
   Dealers                                                        0             0             0             0 
Treasury cash holdings                                          181     -      18     -      76           177 
Deposits with F.R.Banks, other than reserve balances         12,453     -     481     -   1,870        12,338 
  U.S. Treasury, general account                              5,366     +     413     +     503         5,215 
  Foreign official                                               98     +      13     -       3           116 
  Service-related                                             6,697     -     914     -   2,328         6,697 
     Required clearing balances                               6,697     -     914     -   2,328         6,697 
     Adjustments to compensate for float                          0             0             0             0 
  Other                                                         293     +       9     -      42           310 
Other liabilities and capital                                33,720     +     232     +   4,921        33,163 
                                                              
Total factors, other than reserve balances,                                                       
   absorbing reserve funds                                  862,520     +   1,191     +  39,117       864,334 
                                                              
Reserve balances with Federal Reserve Banks                  11,722     +   1,813     -   1,086        12,812 
                                                                          
                                                              
Memo (off-balance-sheet items):                               
  Marketable securities held in custody for foreign           
         official and international accounts(2,7)         1,611,845     +   8,200     + 212,905     1,614,759 
     U.S. Treasury                                        1,119,085     +   1,527     +  41,977     1,121,056 
     Federal agency                                         492,760     +   6,672     + 170,927       493,703 
  Securities lent to dealers                                  1,671     +   1,184     -   1,821         1,363 
Note: Components may not sum to totals because of rounding.
 

 

1 Includes securities lent to dealers, which are fully collateralized by other U.S. Treasury securities.
2 Face value of the securities.
3 Compensation that adjusts for the effect of inflation on the original face value of inflation-indexed securities.
4 Cash value of agreements, which are collateralized by U.S. Treasury and federal agency securities.
5 Estimated.
6 Cash value of agreements, which are collateralized by U.S. Treasury securities.
7 Includes U.S. Treasury STRIPS and other zero coupon bonds at face value.
 

 

Sources: Federal Reserve Banks and the U.S. Department of the Treasury.
 

 

2. Consolidated Statement of Condition of All Federal Reserve Banks
Millions of Dollars
Assets, liabilities, and capital Eliminations
from
consolidation
  Change Since
Wednesday
May 3, 2006
Wednesday
Apr 26, 2006
Wednesday
May 4, 2005
Assets                                               
Gold certificate account                                         11,037         -       2                 0 
Special drawing rights certificate account                        2,200                 0                 0 
Coin                                                                803         -       2         +     115 
Securities, repurchase agreements, and loans                    785,590         -     949         +  44,594 
   Securities held outright                                     759,704         +      21         +  40,332 
      U.S. Treasury (1)                                         759,704         +      21         +  40,332 
         Bills (2)                                              275,370                 0         +  12,365 
         Notes and bonds, nominal (2)                           458,273                 0         +  23,488 
         Notes and bonds, inflation-indexed (2)                    22,646                 0         +   3,538 
         Inflation compensation (3)                               3,415         +      21         +     942 
      Federal agency (2)                                              0                 0                 0 
   Repurchase agreements (4)                                     25,750         -   1,000         +   4,250 
   Loans                                                            135         +      30         +      11 
Items in process of collection                    (1,325)         6,362         +      77         -   1,183 
Bank premises                                                     1,835         +       2         +      25 
Other assets (5)                                                 39,186         +     176         -     800 
      Total assets                                (1,325)       847,014         -     697         +  42,752 
                                                     
Liabilities                                          
Federal Reserve notes net of FR Bank holdings                  757,215         +   2,057         +  37,478 
Reverse repurchase agreements (6)                                24,478         +   1,568         -   1,582 
Deposits                                              (0)        25,049         -   5,210         +   2,885 
  Depository institutions                                        19,408         -   4,876         +   2,298 
  U.S. Treasury, general account                                  5,215         -     395         +     597 
  Foreign official                                                  116         +      31         +      37 
  Other                                               (0)           310         +      30         -      47 
Deferred availability cash items                  (1,325)         7,109         +     915         -     548 
Other liabilities and accrued dividends (7)                       4,646         -       4         +   1,354 
      Total liabilities                           (1,325)       818,496         -     676         +  39,585 
                                                     
Capital Accounts                                     
Capital paid in                                                  13,825         +       9         +   1,072 
Surplus                                                          12,901                 0         +   1,504 
Other capital accounts                                            1,792         -      30         +     592 
      Total capital                                              28,518         -      20         +   3,167 
Note: Components may not sum to totals because of rounding.
 

1 Includes securities lent to dealers, which are fully collateralized by other U.S. Treasury securities.
2 Face value of the securities.
3 Compensation that adjusts for the effect of inflation on the original face value of inflation-indexed securities.
4 Cash value of agreements, which are collateralized by U.S. Treasury and federal agency securites.
5 Includes assets denominated in foreign currencies, which are revalued daily at market exchange rates.
6 Cash value of agreements, which are collateralized by U.S. Treasury securities.
7 Includes exchange-translation account reflecting the daily revaluation at market exchange rates of
foreign exchange commitments.
 

 

 

3. Maturity Distribution of Loans and Securities, May 3, 2006
Millions of dollars
Maturity Loans U.S. Treasury
securities (1)
Federal agency
securities
Repurchase
agreements(2)
Reverse
repurchase
agreements(2)
Holding Weekly
changes
Holdings Week
change
Within 15 days              23        65,706    +   2,520             0            0        25,750        24,478
16 days to 90 days         113       165,126    -   1,223             0            0             0             0
91 days to 1 year            0       177,251    -     579             0            0      ------       ------   
Over 1 to 5 years     ------         216,216    -     710             0            0      ------       ------   
Over 5 to 10 years    ------          55,387    +       3             0            0      ------       ------   
Over 10 years         ------          80,018    +       9             0            0      ------       ------   
           
All                        135       759,704    +      21             0            0        25,750       24,478 
 
Note: Components may not sum to totals because of rounding.
--- Not applicable.
 

1 Includes the original face value of inflation-indexed securities and compensation that adjusts for the effect of inflation on the original face
value of such securities.
2 Cash value of agreements classified by remaining maturity of the agreements.
 

 

 

4. Statement of Condition of Each Federal Reserve Bank on May 3, 2006
Millions of dollars
Assets, liabilities, and capital Total Boston New York Philadelphia Cleveland Richmond Atlanta Chicago St. Louis Minneapolis Kansas
City
Dallas San
Francisco
Assets                                                             
Gold certificate account                      11,037         486       4,139         463         446         853       1,023         947         328         211         324         575       1,242 
Special drawing rights certificate acct.       2,200         115         874          83         104         147         166         212          71          30          66          98         234 
Coin                                             803          41          55          43          81          67          87          94          40          37          63          69         127 
Securities, repurchase agreements,                                 
      and loans                              785,590      36,261     306,937      32,983      32,804      63,109      63,607      69,820      24,147      15,468      22,257      34,096      84,100 
   Securities held outright                  759,704      36,252     281,187      32,983      32,804      63,109      63,600      69,756      24,137      15,444      22,246      34,095      84,092 
      U.S. Treasury (1)                      759,704      36,252     281,187      32,983      32,804      63,109      63,600      69,756      24,137      15,444      22,246      34,095      84,092 
         Bills (2)                           275,370      13,140     101,922      11,955      11,890      22,875      23,053      25,284       8,749       5,598       8,063      12,358      30,481 
         Notes and bonds(3)                  484,335      23,112     179,265      21,028      20,913      40,234      40,547      44,472      15,388       9,846      14,182      21,736      53,611 
         Federal agency (2)                        0           0           0           0           0           0           0           0           0           0           0           0           0 
      Repurchase agreements(4)                25,750           0      25,750           0           0           0           0           0           0           0           0           0           0 
      Loans                                      135           9           0           0           0           0           7          65          10          23          12           1           8 
Items in process of collection                 7,687         452         445       1,040         676         562         717         244         253         249         655         735       1,659 
Bank premises                                  1,835         113         205          55         156         153         231         209          69         118         101         258         167 
Other assets(5)                               39,186       1,259      14,162       1,856       2,296       6,986       2,784       2,798         781         717         743         983       3,821 
Interdistrict settlement account                   0     - 1,032     - 3,835     +   110     -    96     + 3,879     + 3,144     - 5,455     -   251     +   256     + 1,754     - 2,081     + 3,607 
          Total Assets                       848,338      37,694     322,981      36,635      36,468      75,756      71,761      68,869      25,438      17,085      25,963      34,733      94,956 
 
Note: Components may not sum to totals because of rounding.
 

1 Includes securities lent to dealers, which are fully collateralized by other U.S. Treasury securities.
2 Face value of the securities.
3 Includes the original face value of inflation-indexed securities and compensation that adjusts for the effect of inflation on the original face
value of such securities.
4 Cash value of agreements, which are collateralized by U.S. Treasury and federal agency securities.
5 Includes assets denominated in foreign currencies, which are revalued daily at market exchange rates.
 

 

 

 

4. Statement of Condition of Each Federal Reserve Bank on May 3, 2006
Millions of dollars
Assets, liabilities, and capital Total Boston New York Philadelphia Cleveland Richmond Atlanta Chicago St. Louis Minneapolis Kansas
City
Dallas San
Francisco
Liabilities                                                         
Federal Reserve notes outstanding             916,879      38,505     336,330      39,396      36,864      73,817      86,733      75,486      27,590      17,502      27,445      49,158     108,050 
  Less: notes held by F.R. Banks              159,664       4,639      42,854       6,946       5,997      12,581      22,752      13,243       4,120       2,447       4,099      17,799      22,187 
    Federal Reserve notes, net                757,215      33,866     293,476      32,451      30,867      61,235      63,982      62,243      23,470      15,055      23,347      31,359      85,863 
Reverse repurchase agreements (1)              24,478       1,168       9,060       1,063       1,057       2,033       2,049       2,248         778         498         717       1,099       2,709 
Deposits                                       25,049       1,141      10,435         668       1,558       3,111       2,231       1,698         514         515         602         751       1,826 
  Depository institutions                      19,408       1,135       4,963         666       1,555       2,968       2,228       1,695         513         514         600         750       1,822 
  U.S. Treasury, general account                5,215           0       5,215           0           0           0           0           0           0           0           0           0           0 
  Foreign official                                116           1          87           2           3          11           3           3           0           1           1           0           4 
  Other                                           310           6         170           0           0         132           0           0           0           0           1           0           0 
Deferred availability cash items                8,434         610         798         726         688         757         933         401         195         393         776         866       1,293 
Other liabilities and accrued                                                 
  dividends (2)                                 4,646         230       1,539         219         231         493         395         417         166         121         156         216         462 
                                                                    
    Total liabilities                         819,821      37,016     315,307      35,126      34,402      67,630      69,589      67,007      25,122      16,581      25,597      34,291      92,154 
                                                                    
Capital                                                             
Capital paid in                                13,825         324       3,670         729       1,014       4,006       1,052         896         148         242         174         210       1,358 
Surplus                                        12,901         317       3,685         744       1,013       3,307         892         876         144         245         175         153       1,349 
Other capital                                   1,792          38         319          35          38         813         228          89          23          17          18          79          95 
     Total liabilities and capital            848,338      37,694     322,981      36,635      36,468      75,756      71,761      68,869      25,438      17,085      25,963      34,733      94,956 
Note: Components may not sum to totals because of rounding.
 

1 Cash value of agreements, which are collateralized by U.S. Treasury securities.
2 Includes exchange-translation account reflecting the daily revaluation at market exchange rates of foreign exchange commitments.
 

 

5. Collateral Held against Federal Reserve Notes: Federal Reserve Agents' Accounts
Millions of dollars
Federal Reserve notes and collateral Wednesday
May 3, 2006
Federal Reserve notes outstanding          916,879  
   Less: Notes held by F.R. Banks         
         not subject to collateralization   159,664  
      Federal Reserve Notes to be         
         collateralized                    757,215  
Collateral held against Federal Reserve             
   notes                                   757,215  
   Gold certificate account                 11,037  
   Special drawing rights                 
     certificate account                     2,200  
   U.S. Treasury and agency securities    
     pledged (1)                           743,978  
   Other assets pledged                          0  
                                          
Memo:                                     
Total U.S. Treasury and agency            
       securities (1)                      785,454  
   Less:face value of securities under    
         reverse repurchase agreements      24,508  
      U.S. Treasury and agency securities  
             eligible to be pledged        760,947  
Note: Components may not sum to totals because of rounding.
 

1 Includes face value of U.S. Treasury and agency securities held outright, compensation to adjust for the effect of inflation on the original face
value of inflation-indexed securities, and cash value of repurchase agreements.

Release dates
Current release   Other formats: Screen reader | ASCII | PDF (21 KB)

Statistical releases