methods, notes and classification Factors Affecting Reserve Balances methods, notes and classification

    • Indicator
      • Capital Accounts:
        • 00 Capital Paid in
        • 01 Other Capital Account Items: Reserve for Contingencies, Other Capital Accounts
        • 02 Other Capital Account Items: Subscription for Federal Deposit Insurance Corporation Stock Called for Payment on April 15th, 1936
        • 03 Other Capital Account Items: Subscription for Federal Deposit Insurance Corporation Stock Paid
        • 04 Surplus: Section 13b
        • 05 Surplus: Section 7
        • 06 Surplus: Surplus Not Specified
        • 07 Surplus: Total Surplus
        • 08 Total Capital Accounts
        • 09 lation
        • 0a it
        • 0b Currency Positions of Swiss National Bank
        • 0c sactions Conducted by Swiss National Bank
        • 0d maining Balance Sheet Positions of Swiss National Bank
        • 0e lio of Swiss National Bank
        • 0f with Federal Reserve Banks
        • 0g it: Asset-Backed Commercial Paper Money Market Mutual Fund Liquidity Facility (DISCONTINUED)
        • 0h o American International Group, Inc., Net (DISCONTINUED)
        • 0i ts in AIA Aurora LLC and ALICO Holdings LLC (DISCONTINUED)
        • 0j dings of Commercial Paper Funding Facility LLC (DISCONTINUED)
        • 0k dings of TALF LLC (DISCONTINUED)
        • 0l it: Central Bank Liquidity Swaps (DISCONTINUED)
        • 0m dings of LLCs funded through the Money Market Investor Funding Facility (DISCONTINUED)
        • 0n it: Primary Dealer and Other Broker-Dealer Credit (DISCONTINUED)
        • 0o alances and Adjustments (DISCONTINUED)
        • 0p it: Term Auction Credit (DISCONTINUED)
        • 0q o Dealers: Term Facility (DISCONTINUED)
        • 0r eral Reserve Banks, other than Reserve Balances: U.S. Treasury, Supplementary Financing Account (DISCONTINUED)
      • Liabilities and Capital: Other Factors Draining Reserve Balances: Deposits with F.R. Banks, Other Than Reserve Balances: Service-Related: Required Clearing Balances:
        • 0s Wednesday Level (DISCONTINUED)
        • 0t Week Average (DISCONTINUED)
        • 0u Change in Week Average from Previous Week Average (DISCONTINUED)
        • 0v Change in Week Average from Year Ago Week Average (DISCONTINUED)
      • Liabilities and Capital: Other Factors Draining Reserve Balances: Deposits with F.R. Banks, Other Than Reserve Balances: Service-Related:
        • 0w Adjustments to Compensate for Float: Wednesday Level (DISCONTINUED)
        • 0x Adjustments to Compensate for Float: Week Average (DISCONTINUED)
        • 0y Adjustments to Compensate for Float: Change in Week Average from Previous Week Average (DISCONTINUED)
        • 0z Adjustments to Compensate for Float: Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 10 Wednesday Level (DISCONTINUED)
        • 11 Week Average (DISCONTINUED)
        • 12 Change in Week Average from Previous Week Average (DISCONTINUED)
        • 13 Change in Week Average from Year Ago Week Average (DISCONTINUED)
      • Supplementary Information: Supplementary Information on Preferred Interests in AIA Aurora LLC and ALICO Holdings LLC: Preferred Interests in
        • 14 AIA Aurora LLC: Wednesday Level (DISCONTINUED)
        • 15 ALICO Holdings LLC: Wednesday Level (DISCONTINUED)
      • Assets: Preferred Interests: Preferred Interests in AIA Aurora LLC and ALICO Holdings LLC:
        • 16 Wednesday Level (DISCONTINUED)
        • 17 Week Average (DISCONTINUED)
        • 18 Change in Week Average from Previous Week Average (DISCONTINUED)
        • 19 Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 1a Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • 1b Change in Wednesday Level from Year Ago Level (DISCONTINUED)
      • Supplementary Information: Supplementary Information on Preferred Interests in AIA Aurora LLC and ALICO Holdings LLC: Accrued Dividends on Preferred Interests in
        • 1c AIA Aurora LLC: Wednesday Level (DISCONTINUED)
        • 1d ALICO Holdings LLC: Wednesday Level (DISCONTINUED)
        • 1e AIA Aurora LLC and ALICO Holdings LLC: Wednesday Level (DISCONTINUED)
      • Supplementary Information: Supplementary Information on
        • 1f Principal Accounts of Commercial Paper Funding Facility: Commercial Paper Holdings, Net: Wednesday Level (DISCONTINUED)
        • 1g Principal Accounts of Commercial Paper Funding Facility: Other Investments, Net: Wednesday Level (DISCONTINUED)
        • 1h Principal Accounts of Commercial Paper Funding Facility: Accrued Interest Payable to the Federal Reserve Bank of New York: Wednesday Level (DISCONTINUED)
        • 1i Principal Accounts of Commercial Paper Funding Facility: Outstanding Principal Amount of Loan Extended by the Federal Reserve Bank of New York: Wednesday Level (DISCONTINUED)
        • 1j Principal Accounts of Commercial Paper Funding Facility: Commercial Paper Held by Commercial Paper Funding Facility LLC, Within 15 Days: Wednesday Level (DISCONTINUED)
        • 1k Principal Accounts of Commercial Paper Funding Facility: Commercial Paper Held by Commercial Paper Funding Facility LLC, Maturing in 16 Days to 90 Days: Wednesday Level (DISCONTINUED)
        • 1l Principal Accounts of Commercial Paper Funding Facility: Commercial Paper Holdings, Face Value: Wednesday Level (DISCONTINUED)
        • 1m Principal Accounts of Commercial Paper Funding Facility: Commercial Paper Held by Commercial Paper Funding Facility LLC, Maturing in 91 Days to 1 Year: Wednesday Level (DISCONTINUED)
        • 1n Principal Accounts of LLCs Funded Through the Money Market Investor Funding Facility: Money Market Instrument Holdings, Net: Wednesday Level (DISCONTINUED)
        • 1o Principal Accounts of LLCs Funded Through the Money Market Investor Funding Facility: Other Investments, Net: Wednesday Level (DISCONTINUED)
        • 1p Principal Accounts of LLCs Funded Through the Money Market Investor Funding Facility: Accrued Interest Payable to the Federal Reserve Bank of New York: Wednesday Level (DISCONTINUED)
        • 1q Principal Accounts of LLCs Funded Through the Money Market Investor Funding Facility: Outstanding Principal Amount of Loan Extended by the Federal Reserve Bank of New York: Wednesday Level (DISCONTINUED)
        • 1r Principal Accounts of LLCs Funded Through the Money Market Investor Funding Facility: Money Market Instruments Held by LLCs Funded Through the Money Market Investor Funding Facility: Maturing Within 15 Days: Wednesday Level (DISCONTINUED)
        • 1s Principal Accounts of LLCs Funded Through the Money Market Investor Funding Facility: Money Market Instruments Held by LLCs Funded Through the Money Market Investor Funding Facility: Maturing in 16 Days to 90 Days: Wednesday Level (DISCONTINUED)
        • 1t Principal Accounts of LLCs Funded Through the Money Market Investor Funding Facility: Money Market Instrument Holdings, Face Value: Wednesday Level (DISCONTINUED)
        • 1u Principal Accounts of LLCs Funded Through the Money Market Investor Funding Facility: Money Market Instruments Held by LLCs Funded Through the Money Market Investor Funding Facility: Maturing in 91 Days to 1 Year: Wednesday Level (DISCONTINUED)
        • 1v Principal Accounts of TALF LLC: Asset-Backed Security Holdings (Fair Value): Wednesday Level (DISCONTINUED)
        • 1w Principal Accounts of TALF LLC: Other Investments, Net: Wednesday Level (DISCONTINUED)
        • 1x Principal Accounts of TALF LLC: Asset-Backed Security Holdings (Face Value): Within 15 Days: Wednesday Level (DISCONTINUED)
        • 1y Principal Accounts of TALF LLC: Asset-Backed Security Holdings (Face Value): Within 16 to 90 Days: Wednesday Level (DISCONTINUED)
        • 1z Principal Accounts of TALF LLC: Asset-Backed Security Holdings (Face Value): Wednesday Level (DISCONTINUED)
        • 20 Principal Accounts of TALF LLC: Asset-Backed Security Holdings (Face Value): Maturing in 91 Days to 1 Year: Wednesday Level (DISCONTINUED)
        • 21 Principal Accounts of TALF LLC: Asset-Backed Security Holdings (Face Value): Maturing in over 1 Year to 5 Years: Wednesday Level (DISCONTINUED)
        • 22 Principal Accounts of TALF LLC: Asset-Backed Security Holdings (Face Value): Maturing in over 5 Years to 10 Years: Wednesday Level (DISCONTINUED)
        • 23 Principal Accounts of TALF LLC: Asset-Backed Security Holdings (Face Value): Maturing in over 10 Years: Wednesday Level (DISCONTINUED)
        • 24 Principal Accounts of TALF LLC: Accrued Interest Payable to the Federal Reserve Bank of New York: Wednesday Level (DISCONTINUED)
        • 25 Principal Accounts of TALF LLC: Outstanding Principal Amount Extended by the Federal Reserve Bank of New York: Wednesday Level (DISCONTINUED)
        • 26 Principal Accounts of LLCs Funded Through the Money Market Investor Funding Facility: Commercial Paper Issued by LLCs Funded Through Money Market Investor Funding Facility, Net of Related Discounts: Wednesday Level (DISCONTINUED)
        • 27 Principal Accounts of TALF LLC: Funding Provided by U.S. Treasury to TALF LLC, Included Accrued Interest Payable: Wednesday Level (DISCONTINUED)
        • 28 Principal Accounts of Maiden Lane LLC: Accrued Interest Payable to the Federal Reserve Bank of New York: Wednesday Level
        • 29 Principal Accounts of Maiden Lane LLC: Outstanding Principal Amount of Loan Extended by the Federal Reserve Bank of New York: Wednesday Level
        • 2a Principal Accounts of Maiden Lane II LLC: Accrued Interest Payable to the Federal Reserve Bank of New York: Wednesday Level
        • 2b Principal Accounts of Maiden Lane II LLC: Outstanding Principal Amount of Loan Extended by the Federal Reserve Bank of New York: Wednesday Level
        • 2c Principal Accounts of Maiden Lane III LLC: Accrued Interest Payable to the Federal Reserve Bank of New York: Wednesday Level
        • 2d Principal Accounts of Maiden Lane III LLC: Outstanding Principal Amount of Loan Extended by the Federal Reserve Bank of New York: Wednesday Level
        • 2e Principal Accounts of Maiden Lane LLC: Outstanding Principal Amount and Accrued Interest on Loan Payable to JPMorgan Chase and Co.: Wednesday Level
        • 2f Principal Accounts of Maiden Lane II LLC: Deferred Payment and Accrued Interest Payable to Subsidiaries of American International Group, Inc.: Wednesday Level
        • 2g Principal Accounts of Maiden Lane III LLC: Outstanding Principal Amount and Accrued Interest on Loan Payable to American International Group, Inc.: Wednesday Level
      • Assets: Liquidity and Credit Facilities: Net Portfolio Holdings of Commercial Paper Funding Facility LLC:
        • 2h Wednesday Level (DISCONTINUED)
        • 2i Week Average (DISCONTINUED)
        • 2j Change in Week Average from Previous Week Average (DISCONTINUED)
        • 2k Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 2l Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • 2m Change in Wednesday Level from Year Ago Level (DISCONTINUED)
      • Assets: Liquidity and Credit Facilities: Net Portfolio Holdings of LLCs Funded Through the Money Market Investor Funding Facility:
        • 2n Wednesday Level (DISCONTINUED)
        • 2o Week Average (DISCONTINUED)
        • 2p Change in Week Average from Previous Week Average (DISCONTINUED)
        • 2q Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 2r Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • 2s Change in Wednesday Level from Year Ago Level (DISCONTINUED)
      • Assets: Net Portfolio Holdings of TALF LLC: Net Portfolio Holdings of TALF LLC:
        • 2t Wednesday Level (DISCONTINUED)
        • 2u Week Average (DISCONTINUED)
        • 2v Change in Week Average from Previous Week Average (DISCONTINUED)
        • 2w Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 2x Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • 2y Change in Wednesday Level from Year Ago Level (DISCONTINUED)
      • Assets: Liquidity and Credit Facilities: Loans: Primary Dealer and Other Broker-Dealer Credit:
        • 2z Wednesday Level (DISCONTINUED)
        • 30 Week Average (DISCONTINUED)
        • 31 Change in Week Average from Previous Week Average (DISCONTINUED)
        • 32 Change in Week Average from Year Ago Week Average (DISCONTINUED)
      • Assets: Liquidity and Credit Facilities: Loans:
        • 33 Asset-Backed Commercial Paper Money Market Mutual Fund Liquidity Facility: Wednesday Level (DISCONTINUED)
        • 34 Asset-Backed Commercial Paper Money Market Mutual Fund Liquidity Facility: Week Average (DISCONTINUED)
        • 35 Asset-Backed Commercial Paper Money Market Mutual Fund Liquidity Facility: Change in Week Average from Previous Week Average (DISCONTINUED)
        • 36 Asset-Backed Commercial Paper Money Market Mutual Fund Liquidity Facility: Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 37 Credit Extended to American International Group, Inc., Net: Wednesday Level (DISCONTINUED)
        • 38 Credit Extended to American International Group, Inc., Net: Week Average (DISCONTINUED)
        • 39 Credit Extended to American International Group, Inc., Net: Change in Week Average from Previous Week Average (DISCONTINUED)
        • 3a Credit Extended to American International Group, Inc., Net: Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 3b Money Market Mutual Fund Liquidity Facility (Post 2020-03-18, Through 2022-04-20): Wednesday Level (DISCONTINUED)
        • 3c Money Market Mutual Fund Liquidity Facility (Post 2020-03-18, Through 2022-04-20): Week Average (DISCONTINUED)
        • 3d Money Market Mutual Fund Liquidity Facility (Post 2020-03-18, Through 2022-04-20): Change in Week Average from Previous Week Average (DISCONTINUED)
        • 3e Money Market Mutual Fund Liquidity Facility (Post 2020-03-18, Through 2022-04-20): Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 3f Primary Dealer Credit Facility (Post 2020-03-17, Through 2022-04-20): Wednesday Level (DISCONTINUED)
        • 3g Primary Dealer Credit Facility (Post 2020-03-17, Through 2022-04-20): Week Average (DISCONTINUED)
        • 3h Primary Dealer Credit Facility (Post 2020-03-17, Through 2022-04-20): Change in Week Average from Previous Week Average (DISCONTINUED)
        • 3i Primary Dealer Credit Facility (Post 2020-03-17, Through 2022-04-20): Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 3j Bank Term Funding Program, Net: Wednesday Level
        • 3k Bank Term Funding Program, Net: Week Average
        • 3l Bank Term Funding Program, Net: Change in Week Average from Previous Week Average
        • 3m Bank Term Funding Program, Net: Change in Week Average from Year Ago Week Average
        • 3n Other Credit Extensions: Change in Week Average from Previous Week Average
        • 3o Other Credit Extensions: Change in Week Average from Year Ago Week Average
        • 3p Primary Credit: Change in Week Average from Previous Week Average
        • 3q Primary Credit: Change in Week Average from Year Ago Week Average
        • 3r Secondary Credit: Change in Week Average from Previous Week Average
        • 3s Secondary Credit: Change in Week Average from Year Ago Week Average
        • 3t Seasonal Credit: Change in Week Average from Previous Week Average
        • 3u Seasonal Credit: Change in Week Average from Year Ago Week Average
        • 3v Week Average
        • 3w Change in Week Average from Previous Week Average
        • 3x Change in Week Average from Year Ago Week Average
        • 3y Change in Wednesday Level from Previous Wednesday Level
        • 3z Change in Wednesday Level from Year Ago Level
        • 40 Wednesday Level
        • 41 Primary Credit: Wednesday Level
        • 42 Secondary Credit: Wednesday Level
        • 43 Seasonal Credit: Wednesday Level
        • 44 Other Credit Extensions: Wednesday Level
        • 45 Term Asset-Backed Securities Loan Facility: Wednesday Level (DISCONTINUED)
        • 46 Other Credit Extensions: Week Average
        • 47 Primary Credit: Week Average
        • 48 Seasonal Credit: Week Average
        • 49 Secondary Credit: Week Average
        • 4a Term Asset-Backed Securities Loan Facility: Week Average (DISCONTINUED)
      • Liabilities and Capital: Liabilities: Funds from American International Group, Inc. Asset Dispositions, Held as Agent:
        • 4b Wednesday Level (DISCONTINUED)
        • 4c Week Average (DISCONTINUED)
        • 4d Change in Week Average from Previous Week Average (DISCONTINUED)
        • 4e Change in Week Average from Year Ago Week Average (DISCONTINUED)
      • Liabilities and Capital:
        • 4f Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, Supplementary Financing Account: Wednesday Level (DISCONTINUED)
        • 4g Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, Supplementary Financing Account: Week Average (DISCONTINUED)
        • 4h Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, Supplementary Financing Account: Change in Week Average from Previous Week Average (DISCONTINUED)
        • 4i Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, Supplementary Financing Account: Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 4j Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, Supplementary Financing Account: Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • 4k Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, Supplementary Financing Account: Change in Wednesday Level from Year Ago Level (DISCONTINUED)
        • 4l Other Factors Draining Reserve Balances: Treasury Contribution to Credit Facilities: Wednesday Level
        • 4m Other Factors Draining Reserve Balances: Treasury Contribution to Credit Facilities: Change in Week Average from Previous Week Average
        • 4n Other Factors Draining Reserve Balances: Treasury Contribution to Credit Facilities: Change in Week Average from Year Ago Week Average
        • 4o Other Factors Draining Reserve Balances: Treasury Contribution to Credit Facilities: Change in Wednesday Level from Previous Wednesday Level
        • 4p Other Factors Draining Reserve Balances: Treasury Contribution to Credit Facilities: Change in Wednesday Level from Year Ago Level
        • 4q Liabilities: Other Liabilities and Accrued Dividends and Total Deferred Credit Items: Wednesday Level
        • 4r Other Factors Draining Reserve Balances: Other Liabilities and Capital: Change in Week Average from Previous Week Average
        • 4s Other Factors Draining Reserve Balances: Other Liabilities and Capital: Change in Week Average from Year Ago Week Average
        • 4t Other Factors Draining Reserve Balances: Total Factors, Other Than Reserve Balances, Absorbing Reserve Funds: Change in Week Average from Previous Week Average
        • 4u Other Factors Draining Reserve Balances: Total Factors, Other Than Reserve Balances, Absorbing Reserve Funds: Change in Week Average from Year Ago Week Average
        • 4v Other Factors Draining Reserve Balances: Reserve Balances with Federal Reserve Banks: Change in Week Average from Previous Week Average
        • 4w Other Factors Draining Reserve Balances: Reserve Balances with Federal Reserve Banks: Change in Week Average from Year Ago Week Average
        • 4x Capital: Capital Paid in: Change in Wednesday Level from Previous Wednesday Level
        • 4y Capital: Capital Paid in: Change in Wednesday Level from Year Ago Level
        • 4z Capital: Surplus: Change in Wednesday Level from Previous Wednesday Level
        • 50 Capital: Surplus: Change in Wednesday Level from Year Ago Level
        • 51 Capital: Other Capital Accounts: Change in Wednesday Level from Previous Wednesday Level
        • 52 Capital: Other Capital Accounts: Change in Wednesday Level from Year Ago Level
        • 53 Capital: Total Capital: Change in Wednesday Level from Previous Wednesday Level
        • 54 Capital: Total Capital: Change in Wednesday Level from Year Ago Level
        • 55 Other Factors Draining Reserve Balances: Deposits with F.R. Banks, Other Than Reserve Balances: Change in Week Average from Previous Week Average
        • 56 Other Factors Draining Reserve Balances: Deposits with F.R. Banks, Other Than Reserve Balances: Change in Week Average from Year Ago Week Average
        • 57 Liabilities: Deferred Availability Cash Items: Wednesday Level
        • 58 Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Term Deposits Held by Depository Institutions: Change in Week Average from Previous Week Average
        • 59 Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Term Deposits Held by Depository Institutions: Change in Week Average from Year Ago Week Average
        • 5a Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Term Deposits Held by Depository Institutions: Change in Wednesday Level from Previous Wednesday Level
        • 5b Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Term Deposits Held by Depository Institutions: Change in Wednesday Level from Year Ago Level
        • 5c Liabilities: Deposits: Other Deposits Held by Depository Institutions: Change in Wednesday Level from Previous Wednesday Level
        • 5d Liabilities: Deposits: Other Deposits Held by Depository Institutions: Change in Wednesday Level from Year Ago Level
        • 5e Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Foreign Official: Change in Week Average from Previous Week Average
        • 5f Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Foreign Official: Change in Week Average from Year Ago Week Average
        • 5g Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Foreign Official: Change in Wednesday Level from Previous Wednesday Level
        • 5h Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Foreign Official: Change in Wednesday Level from Year Ago Level
        • 5i Liabilities: Deposits: Wednesday Level
        • 5j Liabilities: Deposits: Other: Change in Week Average from Previous Week Average
        • 5k Liabilities: Deposits: Other: Change in Week Average from Year Ago Week Average
        • 5l Liabilities: Deposits: Other: Change in Wednesday Level from Previous Wednesday Level
        • 5m Liabilities: Deposits: Other: Change in Wednesday Level from Year Ago Level
        • 5n Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, General Account: Change in Week Average from Previous Week Average
        • 5o Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, General Account: Change in Week Average from Year Ago Week Average
        • 5p Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, General Account: Change in Wednesday Level from Previous Wednesday Level
        • 5q Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, General Account: Change in Wednesday Level from Year Ago Level
        • 5r Liabilities: Notes Held by F.R. Banks (Netted from Federal Reserve Notes Outstanding): Wednesday Level
        • 5s Liabilities: Federal Reserve Notes Outstanding: Wednesday Level
        • 5t Liabilities: Total Liabilities: Wednesday Level
        • 5u Liabilities: Federal Reserve Notes, Net of F.R. Bank Holdings: Change in Wednesday Level from Previous Wednesday Level
        • 5v Liabilities: Federal Reserve Notes, Net of F.R. Bank Holdings: Change in Wednesday Level from Year Ago Level
        • 5w Liabilities: Other Liabilities and Accrued Dividends: Wednesday Level (DISCONTINUED)
        • 5x Liabilities: Earnings Remittances Due to the U.S. Treasury: Wednesday Level
        • 5y Liabilities: Other Liabilities and Accrued Dividends (Includes the Liability for Earnings Remittances Due to the U.S. Treasury): Change in Wednesday Level from Previous Wednesday Level
        • 5z Liabilities: Other Liabilities and Accrued Dividends (Includes the Liability for Earnings Remittances Due to the U.S. Treasury): Change in Wednesday Level from Year Ago Level
        • 60 Liabilities: Reverse Repurchase Agreements: Others: Change in Week Average from Previous Week Average
        • 61 Liabilities: Reverse Repurchase Agreements: Others: Change in Week Average from Year Ago Week Average
        • 62 Liabilities: Reverse Repurchase Agreements: Foreign Official and International Accounts: Change in Week Average from Previous Week Average
        • 63 Liabilities: Reverse Repurchase Agreements: Foreign Official and International Accounts: Change in Week Average from Year Ago Week Average
        • 64 Liabilities: Reverse Repurchase Agreements: Change in Week Average from Previous Week Average
        • 65 Liabilities: Reverse Repurchase Agreements: Change in Week Average from Year Ago Week Average
        • 66 Liabilities: Reverse Repurchase Agreements: Change in Wednesday Level from Previous Wednesday Level
        • 67 Liabilities: Reverse Repurchase Agreements: Change in Wednesday Level from Year Ago Level
        • 68 Total Liabilities and Capital: Total Liabilities and Capital: Wednesday Level
        • 69 Liabilities: Deferred Availability Cash Items (Less Eliminations from Consolidation): Change in Wednesday Level from Previous Wednesday Level
        • 6a Liabilities: Deferred Availability Cash Items (Less Eliminations from Consolidation): Change in Wednesday Level from Year Ago Level
        • 6b Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Other: Wednesday Level
        • 6c Liabilities: Deposits (Less Eliminations from Consolidation): Change in Wednesday Level from Previous Wednesday Level
        • 6d Liabilities: Deposits (Less Eliminations from Consolidation): Change in Wednesday Level from Year Ago Level
        • 6e Liabilities: Total Liabilities (Less Eliminations from Consolidation): Change in Wednesday Level from Previous Wednesday Level
        • 6f Liabilities: Total Liabilities (Less Eliminations from Consolidation): Change in Wednesday Level from Year Ago Level
        • 6g Other Factors Draining Reserve Balances: Currency in Circulation: Change in Week Average from Previous Week Average
        • 6h Other Factors Draining Reserve Balances: Currency in Circulation: Change in Week Average from Year Ago Week Average
        • 6i Other Factors Draining Reserve Balances: Treasury Cash Holdings: Change in Week Average from Previous Week Average
        • 6j Other Factors Draining Reserve Balances: Treasury Cash Holdings: Change in Week Average from Year Ago Week Average
        • 6k Other Factors Draining Reserve Balances: Currency in Circulation: Wednesday Level
        • 6l Capital: Other Capital Accounts: Wednesday Level
        • 6m Capital: Capital Paid in: Wednesday Level
        • 6n Capital: Surplus: Wednesday Level
        • 6o Capital: Total Capital: Wednesday Level
        • 6p Other Factors Draining Reserve Balances: Currency in Circulation: Week Average
        • 6q Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Foreign Official: Week Average
        • 6r Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Foreign Official: Wednesday Level
        • 6s Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, General Account: Wednesday Level
        • 6t Liabilities: Other Liabilities and Accrued Dividends (Includes the Liability for Earnings Remittances Due to the U.S. Treasury): Wednesday Level
        • 6u Liabilities: Deferred Availability Cash Items, Eliminations from Consolidation: Wednesday Level
        • 6v Liabilities: Deferred Availability Cash Items (Less Eliminations from Consolidation): Wednesday Level
        • 6w Liabilities: Deposits, Eliminations from Consolidation: Wednesday Level
        • 6x Liabilities: Deposits (Less Eliminations from Consolidation): Wednesday Level
        • 6y Liabilities: Federal Reserve Notes, Net of F.R. Bank Holdings: Wednesday Level
        • 6z Liabilities: Deposits with F.R. Banks: Other, Eliminations from Consolidation: Wednesday Level
        • 70 Liabilities: Deposits: Other: Wednesday Level
        • 71 Liabilities: Deposits: Other Deposits Held by Depository Institutions: Wednesday Level
        • 72 Liabilities: Reverse Repurchase Agreements: Week Average
        • 73 Liabilities: Reverse Repurchase Agreements: Foreign Official and International Accounts: Wednesday Level
        • 74 Liabilities: Reverse Repurchase Agreements: Wednesday Level
        • 75 Liabilities: Reverse Repurchase Agreements: Others: Wednesday Level
        • 76 Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Term Deposits Held by Depository Institutions: Week Average
        • 77 Liabilities: Total Liabilities, Eliminations from Consolidation: Wednesday Level
        • 78 Liabilities: Total Liabilities (Less Eliminations from Consolidation): Wednesday Level
        • 79 Other Factors Draining Reserve Balances: Deposits with F.R. Banks, Other Than Reserve Balances: Week Average
        • 7a Other Factors Draining Reserve Balances: Deposits with F.R. Banks, Other Than Reserve Balances: Wednesday Level
        • 7b Other Factors Draining Reserve Balances: Treasury Cash Holdings: Week Average
        • 7c Other Factors Draining Reserve Balances: Treasury Cash Holdings: Wednesday Level
        • 7d Other Factors Draining Reserve Balances: Other Liabilities and Capital: Wednesday Level
        • 7e Liabilities: Deposits: Other: Week Average
        • 7f Other Factors Draining Reserve Balances: Other Liabilities and Capital: Week Average
        • 7g Other Factors Draining Reserve Balances: Reserve Balances with Federal Reserve Banks: Wednesday Level
        • 7h Liabilities: Reverse Repurchase Agreements: Others: Week Average
        • 7i Liabilities: Reverse Repurchase Agreements: Foreign Official and International Accounts: Week Average
        • 7j Other Factors Draining Reserve Balances: Reserve Balances with Federal Reserve Banks: Week Average
        • 7k Other Factors Draining Reserve Balances: Total Factors, Other Than Reserve Balances, Absorbing Reserve Funds: Week Average
        • 7l Other Factors Draining Reserve Balances: Total Factors, Other Than Reserve Balances, Absorbing Reserve Funds: Wednesday Level
        • 7m Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, General Account: Week Average
      • Assets: Liquidity and Credit Facilities: Net Portfolio Holdings of Corporate Credit Facility LLC (Post 2020-05-13, Through 2022-12-28):
        • 7n Wednesday Level (DISCONTINUED)
        • 7o Week Average (DISCONTINUED)
        • 7p Change in Week Average from Previous Week Average (DISCONTINUED)
        • 7q Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 7r Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • 7s Change in Wednesday Level from Year Ago Level (DISCONTINUED)
      • Assets: Liquidity and Credit Facilities: Net Portfolio Holdings of
        • 7t Commercial Paper Funding Facility II LLC (Post 2020-04-14, Through 2022-06-29): Wednesday Level (DISCONTINUED)
        • 7u Commercial Paper Funding Facility II LLC (Post 2020-04-14, Through 2022-06-29): Week Average (DISCONTINUED)
        • 7v Commercial Paper Funding Facility II LLC (Post 2020-04-14, Through 2022-06-29): Change in Week Average from Previous Week Average (DISCONTINUED)
        • 7w Commercial Paper Funding Facility II LLC (Post 2020-04-14, Through 2022-06-29): Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 7x Commercial Paper Funding Facility II LLC (Post 2020-04-14, Through 2022-06-29): Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • 7y Commercial Paper Funding Facility II LLC (Post 2020-04-14, Through 2022-06-29): Change in Wednesday Level from Year Ago Level (DISCONTINUED)
        • 7z Municipal Liquidity Facility LLC: Wednesday Level (DISCONTINUED)
        • 80 Municipal Liquidity Facility LLC: Week Average (DISCONTINUED)
        • 81 Municipal Liquidity Facility LLC: Change in Week Average from Previous Week Average (DISCONTINUED)
        • 82 Municipal Liquidity Facility LLC: Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 83 Municipal Liquidity Facility LLC: Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • 84 Municipal Liquidity Facility LLC: Change in Wednesday Level from Year Ago Level (DISCONTINUED)
        • 85 MS Facilities 2020 LLC (Main Street Lending Program): Wednesday Level
        • 86 MS Facilities 2020 LLC (Main Street Lending Program): Week Average
        • 87 MS Facilities 2020 LLC (Main Street Lending Program): Change in Week Average from Previous Week Average
        • 88 MS Facilities 2020 LLC (Main Street Lending Program): Change in Week Average from Year Ago Week Average
        • 89 MS Facilities 2020 LLC (Main Street Lending Program): Change in Wednesday Level from Previous Wednesday Level
        • 8a MS Facilities 2020 LLC (Main Street Lending Program): Change in Wednesday Level from Year Ago Level
        • 8b TALF II LLC: Wednesday Level (DISCONTINUED)
        • 8c TALF II LLC: Week Average (DISCONTINUED)
        • 8d TALF II LLC: Change in Week Average from Previous Week Average (DISCONTINUED)
        • 8e TALF II LLC: Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • 8f TALF II LLC: Change in Wednesday Level from Year Ago Level (DISCONTINUED)
        • 8g TALF II LLC: Change in Week Average from Year Ago Week Average (DISCONTINUED)
      • Assets: Liquidity and Credit Facilities:
        • 8h Commercial Paper Held by Commercial Paper Funding Facility LLC, Face Value: Wednesday Level (DISCONTINUED)
        • 8i Municipal Liquidity Facility LLC: Wednesday Level (DISCONTINUED)
        • 8j Municipal Liquidity Facility LLC: Week Average (DISCONTINUED)
        • 8k Municipal Liquidity Facility LLC: Change in Week Average from Previous Week Average (DISCONTINUED)
        • 8l Municipal Liquidity Facility LLC: Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 8m Municipal Liquidity Facility LLC: Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • 8n Municipal Liquidity Facility LLC: Change in Wednesday Level from Year Ago Level (DISCONTINUED)
        • 8o Loans, Net: Payroll Protection Program Liquidity Facility: Wednesday Level
        • 8p Loans, Net: Payroll Protection Program Liquidity Facility: Week Average
        • 8q Loans, Net: Payroll Protection Program Liquidity Facility: Change in Week Average from Previous Week Average
        • 8r Loans, Net: Payroll Protection Program Liquidity Facility: Change in Week Average from Year Ago Week Average
        • 8s Loans, Net: Wednesday Level
        • 8t Loans, Net: Week Average
        • 8u Loans, Net: Change in Week Average from Previous Week Average
        • 8v Loans, Net: Change in Week Average from Year Ago Week Average
        • 8w Loans, Net: Change in Wednesday Level from Previous Wednesday Level
        • 8x Loans, Net: Change in Wednesday Level from Year Ago Level
        • 8y Loans (Calculated): Wednesday Level
        • 8z Term Auction Credit: Maturing Within 15 Days: Wednesday Level (DISCONTINUED)
        • 90 Term Auction Credit: Maturing in 16 Days to 90 Days: Wednesday Level (DISCONTINUED)
        • 91 Term Auction Credit: Wednesday Level (DISCONTINUED)
        • 92 Term Auction Credit: Week Average (DISCONTINUED)
        • 93 Term Auction Credit: Change in Week Average from Previous Week Average (DISCONTINUED)
        • 94 Term Auction Credit: Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 95 Term Auction Credit: Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • 96 Term Auction Credit: Change in Wednesday Level from Year Ago Level (DISCONTINUED)
      • Assets:
        • 97 Other: Other Assets, Reserve Bank Table: Wednesday Level
        • 98 Other: Repurchase Agreements - Foreign Official: Wednesday Level
        • 99 Other: Repurchase Agreements - Foreign Official: Week Average
        • 9a Other: Repurchase Agreements - Foreign Official: Change in Week Average from Previous Week Average
        • 9b Other: Repurchase Agreements - Foreign Official: Change in Week Average from Year Ago Week Average
        • 9c Other: Repurchase Agreements - Others: Wednesday Level
        • 9d Other: Repurchase Agreements - Others: Week Average
        • 9e Other: Repurchase Agreements - Others: Change in Week Average from Previous Week Average
        • 9f Other: Repurchase Agreements - Others: Change in Week Average from Year Ago Week Average
        • 9g Other: Gold Certificate and SDR Certificate Account: Wednesday Level
        • 9h Other Factors Supplying Reserve Balances: Float: Change in Week Average from Previous Week Average
        • 9i Other Factors Supplying Reserve Balances: Float: Change in Week Average from Year Ago Week Average
        • 9j Central Bank Liquidity Swaps: Central Bank Liquidity Swaps: Change in Week Average from Previous Week Average
        • 9k Central Bank Liquidity Swaps: Central Bank Liquidity Swaps: Change in Week Average from Year Ago Week Average
        • 9l Central Bank Liquidity Swaps: Central Bank Liquidity Swaps: Change in Wednesday Level from Previous Wednesday Level
        • 9m Central Bank Liquidity Swaps: Central Bank Liquidity Swaps: Change in Wednesday Level from Year Ago Level
        • 9n Other Factors Supplying Reserve Balances: Reserve Bank Credit: Change in Week Average from Previous Week Average
        • 9o Other Factors Supplying Reserve Balances: Reserve Bank Credit: Change in Week Average from Year Ago Week Average
        • 9p Other Factors Supplying Reserve Balances: Other Federal Reserve Assets: Change in Week Average from Previous Week Average
        • 9q Other Factors Supplying Reserve Balances: Other Federal Reserve Assets: Change in Week Average from Year Ago Week Average
        • 9r Other Factors Supplying Reserve Balances: Total Factors Supplying Reserve Funds: Change in Week Average from Previous Week Average
        • 9s Other Factors Supplying Reserve Balances: Total Factors Supplying Reserve Funds: Change in Week Average from Year Ago Week Average
        • 9t Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane LLC: Change in Week Average from Previous Week Average (DISCONTINUED)
        • 9u Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane LLC: Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 9v Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane LLC: Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • 9w Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane LLC: Change in Wednesday Level from Year Ago Level (DISCONTINUED)
        • 9x Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane II LLC: Change in Week Average from Previous Week Average (DISCONTINUED)
        • 9y Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane II LLC: Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • 9z Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane II LLC: Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • a0 Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane II LLC: Change in Wednesday Level from Year Ago Level (DISCONTINUED)
        • a1 Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane III LLC: Change in Week Average from Previous Week Average (DISCONTINUED)
        • a2 Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane III LLC: Change in Week Average from Year Ago Week Average (DISCONTINUED)
        • a3 Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane III LLC: Change in Wednesday Level from Previous Wednesday Level (DISCONTINUED)
        • a4 Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane III LLC: Change in Wednesday Level from Year Ago Level (DISCONTINUED)
        • a5 Other: Coin: Change in Wednesday Level from Previous Wednesday Level
        • a6 Other: Coin: Change in Wednesday Level from Year Ago Level
        • a7 Other: Gold Certificate Account: Change in Wednesday Level from Previous Wednesday Level
        • a8 Other: Gold Certificate Account: Change in Wednesday Level from Year Ago Level
        • a9 Other: Items in Process of Collection: Wednesday Level
        • aa Other: Repurchase Agreements: Change in Week Average from Previous Week Average
        • ab Other: Repurchase Agreements: Change in Week Average from Year Ago Week Average
        • ac Other: Repurchase Agreements: Change in Wednesday Level from Previous Wednesday Level
        • ad Other: Repurchase Agreements: Change in Wednesday Level from Year Ago Level
        • ae Other: Interdistrict Settlement Account: Wednesday Level
        • af Total Assets: Total Assets: Wednesday Level
        • ag Other Factors Supplying Reserve Balances: Foreign Currency Denominated Assets: Week Average
        • ah Other Factors Supplying Reserve Balances: Foreign Currency Denominated Assets: Change in Week Average from Previous Week Average
        • ai Other Factors Supplying Reserve Balances: Foreign Currency Denominated Assets: Change in Week Average from Year Ago Week Average
        • aj Other Factors Supplying Reserve Balances: Foreign Currency Denominated Assets: Change in Wednesday Level from Previous Wednesday Level
        • ak Other Factors Supplying Reserve Balances: Foreign Currency Denominated Assets: Change in Wednesday Level from Year Ago Level
        • al Other: Other Assets, Consolidated Table: Change in Wednesday Level from Previous Wednesday Level
        • am Other: Other Assets, Consolidated Table: Change in Wednesday Level from Year Ago Level
        • an Other: Bank Premises: Change in Wednesday Level from Previous Wednesday Level
        • ao Other: Bank Premises: Change in Wednesday Level from Year Ago Level
        • ap Other: Special Drawing Rights Certificate Account: Change in Week Average from Previous Week Average
        • aq Other: Special Drawing Rights Certificate Account: Change in Week Average from Year Ago Week Average
        • ar Other: Special Drawing Rights Certificate Account: Change in Wednesday Level from Previous Wednesday Level
        • as Other: Special Drawing Rights Certificate Account: Change in Wednesday Level from Year Ago Level
        • at Other: Items in Process of Collection (Less Eliminations from Consolidation): Change in Wednesday Level from Previous Wednesday Level
        • au Other: Items in Process of Collection (Less Eliminations from Consolidation): Change in Wednesday Level from Year Ago Level
        • av Total Assets: Total Assets (Less Eliminations from Consolidation): Change in Wednesday Level from Previous Wednesday Level
        • aw Total Assets: Total Assets (Less Eliminations from Consolidation): Change in Wednesday Level from Year Ago Level
        • ax Other Factors Supplying Reserve Balances: Gold Stock: Change in Week Average from Previous Week Average
        • ay Other Factors Supplying Reserve Balances: Gold Stock: Change in Week Average from Year Ago Week Average
        • az Other Factors Supplying Reserve Balances: Treasury Currency Outstanding: Change in Week Average from Previous Week Average
        • b0 Other Factors Supplying Reserve Balances: Treasury Currency Outstanding: Change in Week Average from Year Ago Week Average
        • b1 Other: Bank Premises: Wednesday Level
        • b2 Central Bank Liquidity Swaps (DISCONTINUED)
        • b3 Other: Coin: Wednesday Level
        • b4 Net Portfolio Holdings of Commercial Paper Funding Facility LLC (DISCONTINUED)
        • b5 Preferred Interests in AIA Aurora LLC and ALICO Holdings LLC (DISCONTINUED)
        • b6 Total Assets: Total Assets (Less Eliminations from Consolidation): Wednesday Level
        • b7 Total Assets: Total Assets, Eliminations from Consolidation: Wednesday Level
        • b8 Loans (DISCONTINUED)
        • b9 Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane LLC: Wednesday Level (DISCONTINUED)
        • ba Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane II LLC: Wednesday Level (DISCONTINUED)
        • bb Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane III LLC: Wednesday Level (DISCONTINUED)
        • bc Other: Other Assets, Consolidated Table: Wednesday Level
        • bd Repurchase Agreements (DISCONTINUED)
        • be Special Drawing Rights Certificate Account (DISCONTINUED)
        • bf Net Portfolio Holdings of TALF LLC (DISCONTINUED)
        • bg Central Bank Liquidity Swaps: Central Bank Liquidity Swaps: Week Average
        • bh Other Factors Supplying Reserve Balances: Foreign Currency Denominated Assets: Wednesday Level
        • bi Securities Held Outright: Federal Agency Debt Securities: Week Average
        • bj Other: Gold Certificate Account: Wednesday Level
        • bk Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane LLC: Week Average (DISCONTINUED)
        • bl Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane II LLC: Week Average (DISCONTINUED)
        • bm Net Portfolio Holdings of Maiden Lane LLCs: Net Portfolio Holdings of Maiden Lane III LLC: Week Average (DISCONTINUED)
        • bn Securities Held Outright: Mortgage-Backed Securities: Week Average
        • bo Other Factors Supplying Reserve Balances: Other Federal Reserve Assets: Wednesday Level
        • bp Other Factors Supplying Reserve Balances: Float: Week Average
        • bq Other Factors Supplying Reserve Balances: Float: Wednesday Level
        • br Other Factors Supplying Reserve Balances: Gold Stock: Week Average
        • bs Other Factors Supplying Reserve Balances: Gold Stock: Wednesday Level
        • bt Other Factors Supplying Reserve Balances: Reserve Bank Credit: Wednesday Level
        • bu Other: Repurchase Agreements: Wednesday Level
        • bv Other: Special Drawing Rights Certificate Account: Week Average
        • bw Other: Special Drawing Rights Certificate Account: Wednesday Level
        • bx Other Factors Supplying Reserve Balances: Other Federal Reserve Assets: Week Average
        • by Other: Items in Process of Collection, Eliminations from Consolidation: Wednesday Level
        • bz Other: Items in Process of Collection (Less Eliminations from Consolidation): Wednesday Level
        • c0 Other: Repurchase Agreements: Week Average
        • c1 Other Factors Supplying Reserve Balances: Reserve Bank Credit: Week Average
        • c2 Securities Held Outright: Securities Held Outright: Week Average
        • c3 Securities Held Outright: U.S. Treasury Securities: Bills (DISCONTINUED)
        • c4 Securities Held Outright: U.S. Treasury Securities: Bills: Week Average
        • c5 Securities Held Outright: U.S. Treasury Securities: Bills: Wednesday Level
        • c6 Securities Held Outright: Federal Agency Debt Securities: Wednesday Level
        • c7 Securities Held Outright: Federal Agency Debt Securities (DISCONTINUED)
        • c8 Securities Held Outright: U.S. Treasury Securities: Inflation Compensation (DISCONTINUED)
        • c9 Securities Held Outright: U.S. Treasury Securities: Inflation Compensation: Week Average
        • ca Securities Held Outright: U.S. Treasury Securities: Inflation Compensation: Wednesday Level
        • cb Securities Held Outright: U.S. Treasury Securities: Notes and Bonds, Inflation-Indexed (DISCONTINUED)
        • cc Securities Held Outright: Securities Held Outright (DISCONTINUED)
        • cd Securities Held Outright: Mortgage-Backed Securities: Wednesday Level
        • ce Securities Held Outright: U.S. Treasury Securities: Notes and Bonds, Inflation-Indexed: Week Average
        • cf Securities Held Outright: U.S. Treasury Securities: Notes and Bonds, Inflation-Indexed: Wednesday Level
        • cg Securities Held Outright: U.S. Treasury Securities: Notes and Bonds, Nominal: Week Average
        • ch Securities Held Outright: U.S. Treasury Securities: Notes and Bonds, Nominal: Wednesday Level
        • ci Securities Held Outright: Securities Held Outright: Wednesday Level
        • cj Securities Held Outright: U.S. Treasury Securities: Notes and Bonds, Nominal (DISCONTINUED)
        • ck Securities Held Outright: U.S. Treasury Securities (DISCONTINUED)
        • cl Securities Held Outright: U.S. Treasury Securities: Week Average
        • cm Securities Held Outright: U.S. Treasury Securities: Wednesday Level
        • cn Other: Securities, Premiums, Discounts, Repurchase Agreements, and Loans: Wednesday Level
        • co Other Factors Supplying Reserve Balances: Treasury Currency Outstanding: Week Average
        • cp Other Factors Supplying Reserve Balances: Treasury Currency Outstanding: Wednesday Level
        • cq Other Factors Supplying Reserve Balances: Total Factors Supplying Reserve Funds: Week Average
        • cr Other Factors Supplying Reserve Balances: Total Factors Supplying Reserve Funds: Wednesday Level
        • cs Unamortized Discounts on Securities Held Outright: Wednesday Level
        • ct Unamortized Premiums on Securities Held Outright: Wednesday Level
      • Assets : Securities Held Outright:
        • cu Residential Mortgage-Backed Securities: Wednesday Level
        • cv Commercial Mortgage-Backed Securities: Wednesday Level
      • Memorandum Items:
        • cw Items in Process of Collection, Eliminations from Consolidation
        • cx Total Assets, Eliminations from Consolidation
        • cy Deferred Availability Cash Items, Eliminations from Consolidation
        • cz Deposits with Federal Reserve Banks: Other, Eliminations from Consolidation
        • d0 Deposits, Eliminations from Consolidation: Wednesday level
        • d1 Total Liabilities, Eliminations from Consolidation
        • d2 Bills Bought on Open Market
        • d3 Contingent Liability on Acceptances Purchased for Foreign Correspondents
        • d4 Contingent Liability on Bills Purchased for Foreign Correspondents
        • d5 Industrial Loan Commitments; Commitments to Make Industrial Advances
        • d6 Bank Acceptances
        • d7 Ratio of Gold Certificate Reserves to Deposit and Federal Reserve Note Liabilities Combined
        • d8 Custody Holdings: Federal Agency Debt and Mortgage-Backed Securities: Week Average
        • d9 Custody Holdings: Federal Agency Debt and Mortgage-Backed Securities: Wednesday Level
        • da Custody Holdings: Marketable U.S. Treasury Securities: Week Average
        • db Custody Holdings: Marketable U.S. Treasury Securities: Wednesday Level
        • dc Securities Lent to Dealers: Securities Lent to Dealers: Week Average
        • dd Securities Lent to Dealers: Securities Lent to Dealers: Wednesday Level
        • de Securities Lent to Dealers: Overnight Facility, Federal Agency Debt Securities: Week Average
        • df Securities Lent to Dealers: Overnight Facility, Federal Agency Debt Securities: Wednesday Level
        • dg Securities Lent to Dealers: Overnight Facility: Week Average
        • dh Securities Lent to Dealers: Overnight Facility: Wednesday Level
        • di Securities Lent to Dealers: Overnight Facility, U.S. Treasury Securities: Week Average
        • dj Securities Lent to Dealers: Overnight Facility, U.S. Treasury Securities: Wednesday Level
        • dk Custody Holdings: Other Securities: Week Average
        • dl Custody Holdings: Other Securities: Wednesday Level
        • dm Custody Holdings: Securities in Custody for Foreign and International Accounts: Week Average
        • dn Custody Holdings: Securities in Custody for Foreign and International Accounts: Wednesday Level
      • Liabilities: Deposits:
        • do Deposits with Federal Reserve Banks, other than Reserve Balances
        • dp Due to Nonmember Banks -- Clearing Account, Special Deposits of Nonmember Banks
        • dq Foreign Bank, Foreign Official Accounts
        • dr Government, U.S. Treasury -- General Account
        • ds Member Bank Reserve Account
        • dt Other Deposits
        • du Other Deposits Held by Depository Institutions
        • dv Special Deposits of Member Banks
        • dw Term Deposits Held by Depository Institutions
        • dx Total Deposits
        • dy U.S. Treasury, Supplementary Financing Account
        • dz Other (DISCONTINUED)
      • Liabilities:
        • e0 Notes in Circulation: Federal Reserve Bank Notes in Actual Circulation
        • e1 Notes in Circulation: Federal Reserve Notes in Actual Circulation
        • e2 Other Liabilities: All Other Liabilities, Other Liabilities and Accrued Dividends
        • e3 Other Liabilities: Due to Other Federal Reserve Banks, Collection Items, Deferred Availability Items
        • e4 Other Liabilities: Government Franchise Tax
        • e5 Other Liabilities: Reverse Repurchase Agreements -- Triparty
        • e6 Total Liabilities
        • e7 Deposits with F.R. Banks, Other Than Reserve Balances: Term Deposits Held by Depository Institutions (DISCONTINUED)
        • e8 Deposits with F.R. Banks, Other Than Reserve Balances: Foreign Official (DISCONTINUED)
        • e9 Reverse Repurchase Agreements (DISCONTINUED)
        • ea Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, Supplementary Financing Account (DISCONTINUED)
        • eb Deposits with F.R. Banks, Other Than Reserve Balances: U.S. Treasury, General Account (DISCONTINUED)
      • Resources and Assets: Acceptances:
        • ec Acceptances; Acceptances Purchased; Acceptances Bought Outright
        • ed Held Under Repurchase Agreements
        • ee Total Acceptances
      • Resources and Assets:
        • ef Bills Bought on Open Market
        • eg Bills Discounted: Bills Discounted and Loans Within 10 Days
        • eh Bills Discounted: Bills Discounted and Loans Within 30 Days
        • ei Bills Discounted: Bills Discounted and Loans Within 60 Days
        • ej Bills Discounted: Bills Discounted and Loans Within 90 Days
        • ek Bills Discounted: Bills Discounted and Loans Not Specified
        • el Bills Discounted: Bills Discounted and Loans Over 90 Days
        • em Bills Discounted: Other Bills Discounted; Discounts and Advances
        • en Bills Discounted: Bills Secured by Government War Obligations; U.S. Government Obligations, Direct and Guaranteed; Bills Discounted; Discounts and Advances; Loans; Other Loans
        • eo Bills Discounted: Total Bills Discounted
        • ep Bank Premises
        • eq Central Bank Liquidity Swaps
        • er Due from Depository Banks -- Fiscal Agent Account
        • es Due from Foreign Banks
        • et Due from Other Federal Reserve Banks and Federal Reserve Notes of Other Banks
        • eu Special Drawing Rights Certificate Account
        • ev Federal Agency Obligations: Bought Outright
        • ew Federal Agency Obligations: Held Under Repurchase Agreements
        • ex Federal Agency Obligations: Not Specified
        • ey Federal Agency Obligations: Total Federal Agency Obligations
        • ez Foreign Currency Denominated Assets
        • f0 Federal Deposit Insurance Corporation (FDIC) Stock
        • f1 Foreign Loans on Gold
        • f2 Federal Reserve Notes, Net Assets
        • f3 Gold and Gold Certificates: Gold Certificate Account
        • f4 Gold and Gold Certificates: Gold Coin and Certificates in Vault; Gold and Gold Certificates held by Federal Reserve Banks
        • f5 Gold and Gold Certificates: Gold with Foreign Agencies
        • f6 Gold and Gold Certificates: Gold with Federal Reserve Agents
        • f7 Gold and Gold Certificates: Gold Redemption Fund with U.S. Treasurer; Treasury
        • f8 Gold and Gold Certificates: Gold Settlement Fund with Federal Reserve Board
        • f9 Gold and Gold Certificates: Gold Held Exclusively Against Federal Reserve Notes
        • fa Gold and Gold Certificates: Total Gold Held by Federal Reserve Banks
        • fb Gold and Gold Certificates: Total Gold; Gold Certificate Reserve
        • fc U.S. Government Securities: Held Under Repurchase Agreement
        • fd U.S. Government Securities: Bought or Held Outright: U.S. Certificates of Indebtness, Certificates and Bills
        • fe U.S. Government Securities: Bought or Held Outright: Notes and Bonds, Inflation-Indexed
        • ff U.S. Government Securities: Bought or Held Outright: Notes and Bonds, Nominal
        • fg U.S. Government Securities: Bought or Held Outright: Special Treasury
        • fh U.S. Government Securities: Bought or Held Outright: Total Bought Outright
        • fi U.S. Government Securities: Bought or Held Outright: U.S. Bills
        • fj U.S. Government Securities: Bought or Held Outright: U.S. Certificates of Indebtness, One Year Pittman Act
        • fk U.S. Government Securities: Bought or Held Outright: U.S. Certificates of Indebtness, All Other
        • fl U.S. Government Securities: Bought or Held Outright: U.S. Treasury Bonds
        • fm U.S. Government Securities: Bought or Held Outright: U.S. Treasury Notes
        • fn U.S. Government Securities: Bought or Held Outright: U.S. Treasury Securities: Inflation Compensation
        • fo U.S. Government Securities: Bought or Held Outright: U.S. Victory Notes
        • fp U.S. Government Securities: Total U.S. Treasury Securities
        • fq Gold in Transit or in Custody from Foreign Banks and Gold Held Abroad
        • fr Industrial Advances and Industrial Loans
        • fs Investments; Municipal Warrants; All Other Earning Assets
        • ft Investment Portfolios Arising from the Great Recession: Net Portfolio Holdings of Commercial Paper Funding Facility LLC
        • fu Investment Portfolios Arising from the Great Recession: Net Portfolio Holdings of Maiden Laine I LLC
        • fv Investment Portfolios Arising from the Great Recession: Net Portfolio Holdings of Maiden Laine II LLC
        • fw Investment Portfolios Arising from the Great Recession: Net Portfolio Holdings of Maiden Laine III LLC
        • fx Investment Portfolios Arising from the Great Recession: Net Portfolio Holdings of TALF LLC
        • fy Investment Portfolios Arising from the Great Recession: Preferred Holdings in AIA Aurora LLC and ALICO Holdings LLC
        • fz Loans on Gold Coin and Bullion
        • g0 Legal Tender Notes, Silver Certificates, and Subsidiary Coin; Reserves Other than Gold; Other Cash
        • g1 Mortgage-Backed Securities
        • g2 Nonreserve Cash
        • g3 Operating Equipment
        • g4 All Other Resources or Assets
        • g5 Other Securities
        • g6 Redemption Fund of 5% for Federal Reserve Bank Notes
        • g7 Term Auction Credit
        • g8 Total Bills on Hand
        • g9 Total Deductions form Gross Deposits
        • ga Total Earning Assets, Total Interest Securities, Total Bills; Loans and Securities
        • gb Tri-Party Repo Agreements, Repurchase Agreements
        • gc Total Reserves
        • gd Total Securities Held Outright
        • ge Unamortized Discounts on Securities Held Outright
        • gf Uncollected Items and Cash Items in Process of Collection
        • gg Unamortized Premiums on Securities Held Outright
        • gh Total Resources and Assets
      • Collateralization of Currency: Federal Reserve Notes:
        • gi Federal Reserve Notes to Be Collateralized: Wednesday Level
        • gj Notes Held by F.R. Banks Not Subject to Collateralization (Netted from Federal Reserve Notes Outstanding): Wednesday Level
      • Collateralization of Currency: Holdings Against Federal Reserve Notes: Collateral Held Against Federal Reserve Notes:
        • gk Gold Certificate Account: Wednesday Level
        • gl Wednesday Level
        • gm Other Assets Pledged: Wednesday Level
        • gn Special Drawing Rights Certificate Account: Wednesday Level
      • Repurchase Agreements:
        • go Federal Agency Securities Purchased by the Federal Reserve in the Temporary Open Market Operations
        • gp Mortgage-Backed Securities Purchased by the Federal Reserve in the Temporary Open Market Operations
        • gq Treasury Securities Purchased by the Federal Reserve in the Temporary Open Market Operations
        • gr Total Securities Purchased by the Federal Reserve in the Temporary Open Market Operations
      • Overnight Repurchase Agreements:
        • gs Federal Agency Securities Purchased by the Federal Reserve in the Temporary Open Market Operations
        • gt Mortgage-Backed Securities Purchased by the Federal Reserve in the Temporary Open Market Operations
        • gu Treasury Securities Purchased by the Federal Reserve in the Temporary Open Market Operations
        • gv Total Securities Purchased by the Federal Reserve in the Temporary Open Market Operations
      • Term Repurchase Agreements:
        • gw Federal Agency Securities Purchased by the Federal Reserve in the Temporary Open Market Operations
        • gx Mortgage-Backed Securities Purchased by the Federal Reserve in the Temporary Open Market Operations
        • gy Treasury Securities Purchased by the Federal Reserve in the Temporary Open Market Operations
        • gz Total Securities Purchased by the Federal Reserve in the Temporary Open Market Operations
      • Reverse Repurchase Agreements:
        • h0 Federal Agency Securities Sold by the Federal Reserve in the Temporary Open Market Operations
        • h1 Mortgage-Backed Securities Sold by the Federal Reserve in the Temporary Open Market Operations
        • h2 Treasury Securities Sold by the Federal Reserve in the Temporary Open Market Operations
        • h3 Total Securities Sold by the Federal Reserve in the Temporary Open Market Operations
      • Overnight Reverse Repurchase Agreements:
        • h4 Federal Agency Securities Sold by the Federal Reserve in the Temporary Open Market Operations
        • h5 Mortgage-Backed Securities Sold by the Federal Reserve in the Temporary Open Market Operations
        • h6 Treasury Securities Sold by the Federal Reserve in the Temporary Open Market Operations
        • h7 Total Securities Sold by the Federal Reserve in the Temporary Open Market Operations
      • h8 Overnight Reverse Repurchase: Agreements Award Rate: Treasury Securities Sold by the Federal Reserve in the Temporary Open Market Operations
      • Term Reverse Repurchase Agreements:
        • h9 Federal Agency Securities Sold by the Federal Reserve in the Temporary Open Market Operations
        • ha Mortgage-Backed Securities Sold by the Federal Reserve in the Temporary Open Market Operations
        • hb Treasury Securities Sold by the Federal Reserve in the Temporary Open Market Operations
        • hc Total Securities Sold by the Federal Reserve in the Temporary Open Market Operations
      • Total
        • hd Borrowings of Depository Institutions from the Federal Reserve (DISCONTINUED)
        • he Liabilities and Capital Accounts
      • Factors
        • hf Absorbing Reserve Funds: Deposits with Federal Reserve Banks, Other Than Reserve Balances: U.S. Treasury, Supplementary Financing Account (DISCONTINUED)
        • hg Supplying Reserve Balances: Loans: Credit Extended to American International Group, Inc., Net (DISCONTINUED)
        • hh Supplying Reserve Balances: Net Portfolio Holdings of Commercial Paper Funding Facility LLC (DISCONTINUED)
        • hi Absorbing Reserve Funds: Deposits with Federal Reserve Banks, Other Than Reserve Balances: Service-Related: Adjustments to Compensate for Float (DISCONTINUED)
        • hj Absorbing Reserve Funds: Deposits with Federal Reserve Banks, Other Than Reserve Balances: Service-Related: Adjustments to Compensate for Float (DISCONTINUED)
        • hk Absorbing Reserve Funds: Deposits with Federal Reserve Banks, Other Than Reserve Balances: Service-Related Balances and Adjustments (DISCONTINUED)
        • hl Absorbing Reserve Funds: Deposits with Federal Reserve Banks, Other Than Reserve Balances: Service-Related: Required Clearing Balances (DISCONTINUED)
        • hm Absorbing Reserve Funds: Deposits with Federal Reserve Banks, Other Than Reserve Balances: Service-Related: Required Clearing Balances (DISCONTINUED)
        • hn Absorbing Reserve Funds: Deposits with Federal Reserve Banks, Other Than Reserve Balances: Term Deposits Held by Depository Institutions (DISCONTINUED)
        • ho Supplying Reserve Balances: Net Portfolio Holdings of Maiden Lane LLC (DISCONTINUED)
        • hp Supplying Reserve Balances: Net Portfolio Holdings of Maiden Lane II LLC (DISCONTINUED)
        • hq Supplying Reserve Balances: Net Portfolio Holdings of Maiden Lane III LLC (DISCONTINUED)
        • hr Supplying Reserve Balances: Net Portfolio Holdings of TALF LLC (DISCONTINUED)
        • hs Supplying Reserve Balances: Preferred Interests in AIA Aurora LLC and ALICO Holdings LLC (DISCONTINUED)
        • ht Supplying Reserve Balances: Securities Held Outright: Mortgage-Backed Securities (DISCONTINUED)
      • Memorandum
        • hu Item: Marketable Securities Held in Custody for Foreign Official and International Accounts: Federal Agency Securities (DISCONTINUED)
        • hv Item: Marketable Securities Held in Custody for Foreign Official and International Accounts: Federal Agency Securities (DISCONTINUED)
        • hw Item: Marketable Securities Held in Custody for Foreign Official and International Accounts: U.S. Treasury Securities (DISCONTINUED)
        • hx Item: Marketable Securities Held in Custody for Foreign Official and International Accounts: U.S. Treasury Securities (DISCONTINUED)
        • hy item: Marketable Securities Held in Custody for Foreign Official and International Accounts (DISCONTINUED)
        • hz item: Marketable Securities Held in Custody for Foreign Official and International Accounts (DISCONTINUED)
      • Factors Absorbing Reserve Funds: Funds From American International Group, Inc. Asset Dispositions, Held as Agent (DISCONTINUED)
        • i0
        • i1