Find Articles in:
All
Business
Reference
Technology
News
Lifestyle

Financial and Business Statistics - Statistical Data Included

Federal Reserve Bulletin, August, 2001

Guide to Tabular Presentation

SYMBOLS AND ABBREVIATIONS

(c)      Corrected
(e)      Estimated
n.a.     Not available
n.e.c.   Not elsewhere classified
(p)      Preliminary
(r)      Revised (Notation appears on column heading
           when about half of the figures in that column
           are changed.)
(*)      Amounts insignificant in terms of the last decimal
           place shown in the table (for example, less than
           500,000 when the smallest unit given is millions)
0        Calculated to be zero
...      Cell not applicable
ABS      Asset-backed security
ATS      Automatic transfer service
BIF      Bank insurance fund
CD       Certificate of deposit
CMO      Collateralized mortgage obligation
CRA      Community Reinvestment Act of 1977
FAMC     Federal Agriculture Mortgage Corporation
FFB      Federal Financing Bank
FHA      Federal Housing Administration
FHLBB    Federal Home Loan Bank Board
FHLMC    Federal Home Loan Mortgage Corporation
FmHA     Farmers Home Administration
FNMA     Federal National Mortgage Association
FSA      Farm Service Agency
FSLIC    Federal Savings and Loan Insurance Corporation
G-7      Group of Seven
G-10     Group of Ten
GDP      Gross domestic product
GNMA     Government National Mortgage Association
HUD      Department of Housing and Urban
           Development
IMF      International Monetary Fund
IOS      Interest only, stripped, mortgage-back securities
IPCs     Individuals, partnerships, and corporations
IRA      Individual retirement account
MMDA     Money market deposit account
MSA      Metropolitan statistical area
NOW      Negotiable order of withdrawal
OCDs     Other checkable deposits
OPEC     Organization of Petroleum Exporting Countries
OTS      Office of Thrift Supervision
PMI      Private mortgage insurance
POs      Principal only, stripped, mortgage-back securities
REIT     Real estate investment trust
REMICs   Real estate mortgage investment conduits
RHS      Rural Housing Service
RP       Repurchase agreement
RTC      Resolution Trust Corporation
SCO      Securitized credit obligation
SDR      Special drawing right
SIC      Standard Industrial Classification
VA       Department of Veterans Affairs

GENERAL INFORMATION

In many of the tables, components do not sum to totals because of
rounding.

Minus signs are used to indicate (1) a decrease, (2) a negative
figure, or (3) an outflow.

"U.S. government securities" may include guaranteed issues
of U.S. government agencies (the flow of funds figures also
include not fully guaranteed issues) as well as direct obligations
of the Treasury.

"State and local government" also includes municipalities,
special districts, and other political subdivisions.
1.10 RESERVES, MONEY STOCK, AND DEBT MEASURES

Percent annual rate of change, seasonally adjusted(1)

                                              2000              2001
           Monetary or
         credit aggregate            Q2        Q3       Q4(r)   Q1(r)

   Reserves of depository
       institutions(2)
 1 Total                           -10.9      -8.3       -8.7    -2.1
 2 Required                         -7.7      -8.6      -10.4    -3.5
 3 Nonborrowed                     -12.5      -9.9       -6.4      .5
 4 Monetary base(3)                 -3.6       2.5        2.8     6.4

   Concepts of money and debt(4)
 5 M1                               -1.9(r)   -3.7(r)    -3.3     5.1
 6 M2                                6.4       5.6(r)     6.3    10.7
 7 M3                                9.0       8.8        7.0    12.2
 8 Debt                              6.1       4.6(r)     4.5     4.8

   Nontransaction components
 9 In M2(5)                          9.0       8.5        9.1    12.3
10 In M3 only(6)                    15.2(r)   16.3(r)     8.8    15.9

   Time and savings deposits
   Commercial banks
11   Savings, including MMDAs        8.0(r)   11.8       12.0    17.4
12   Small time(7)                  13.3(r)   10.5        5.6     2.5
13   Large time(8,9)                17.1      11.5        4.1    -1.3

   Thrift institutions
14   Savings including MMDAs         1.4(r)    3.1(r)      .4     6.4
15   Small time(7)                   3.7(r)   10.8        9.5     6.4
16   Large time(8)                    .6      23.2(r)    14.0    11.9

   Money market mutual funds
17 Retail                           13.4       3.9(r)    11.6    16.9
18 Institution-only                 17.8(r)   29.0(r)    18.6    49.8

   Repurchase agreements and
       eurodollars
19 Repurchase agreements(10)        11.0       8.2       -3.6   -13.7
20 Eurodollars                      15.0        .6       10.3     3.1

   Debt components(4)
21 Federal                         -7.5       -7.3       -8.0    -5.4
22 Nonfederal                       9.6(r)     7.6(r)     7.5     7.2

                                              2001
           Monetary or
         credit aggregate          Jan.(r)   Feb.(r)   Mar.(r)

   Reserves of depository
       institutions(2)
 1 Total                             10.0       1.2     -18.8
 2 Required                          12.7      -4.5     -18.0
 3 Nonborrowed                       14.3       1.9     -19.0
 4 Monetary base(3)                  11.2       3.5       2.6

   Concepts of money and debt(4)
 5 M1                                12.6        .9      13.8
 6 M2                                12.2      10.9      14.4
 7 M3                                15.8       9.9       9.5
 8 Debt                               3.3       5.0       6.0

   Nontransaction components
 9 In M2(5)                          12.1      13.7      14.6
10 In M3 only(6)                     24.1       7.5      -1.5

   Time and savings deposits
   Commercial banks
11   Savings, including MMDAs        13.8      24.7      19.7
12   Small time(7)                    5.3      -4.8      -7.0
13   Large time(8,9)                 22.8     -57.4     -46.8

   Thrift institutions
14   Savings including MMDAs           .3      26.5      23.6
15   Small time(7)                   11.1       2.7      -3.4
16   Large time(8)                   32.6       6.8       2.3

   Money market mutual funds
17 Retail                            20.5       8.7      24.6
18 Institution-only                  51.2      86.6      40.7

   Repurchase agreements and
       eurodollars
19 Repurchase agreements(10)        -14.0     -33.7     -24.3
20 Eurodollars                      -14.0       4.9      14.7

   Debt components(4)
21 Federal                           -7.1      -2.9       1.2
22 Nonfederal                         5.7       6.8       7.1

                                        2001
           Monetary or
         credit aggregate          Apr.(r)    May

   Reserves of depository
       institutions(2)
 1 Total                             16.6      3.2
 2 Required                          20.8     11.5
 3 Nonborrowed                       16.9     -1.8
 4 Monetary base(3)                   7.1      6.3

   Concepts of money and debt(4)
 5 M1                                 5.3      -.6
 6 M2                                10.4      5.1
 7 M3                                17.6     13.3
 8 Debt                               3.4    n.a.

   Nontransaction components
 9 In M2(5)                          11.8      6.7
10 In M3 only(6)                     34.4     32.0

   Time and savings deposits
   Commercial banks
11   Savings, including MMDAs        20.4     18.0
12   Small time(7)                   -9.3     -9.2
13   Large time(8,9)                 35.6      8.8

   Thrift institutions
14   Savings including MMDAs         10.2     32.3
15   Small time(7)                    1.0      6.9
16   Large time(8)                   20.2     19.9

   Money market mutual funds
17 Retail                            18.1    -11.8
18 Institution-only                  42.4     67.2

   Repurchase agreements and
       eurodollars
19 Repurchase agreements(10)         71.5      3.3
20 Eurodollars                      -61.8      8.3

   Debt components(4)
21 Federal                          -10.9    n.a.
22 Nonfederal                         6.6    n.a.

(1.) Unless otherwise noted, rates of change are calculated from
average amounts outstanding during preceding month or quarter.

(2.) Figures incorporate adjustments for discontinuities, or "breaks,"
associated with regulatory changes in reserve requirements. (See also
table 1.20.)

(3.) The seasonally adjusted, break-adjusted monetary base consists of
(1) seasonally adjusted, break-adjusted total reserves (line 1), plus
(2) the seasonally adjusted currency component of the money stock, plus
(3) (for all quarterly reporters on the "Report of Transaction
Accounts, Other Deposits and Vault Cash" and for all weekly reporters
whose vault cash exceeds their required reserves) the seasonally
adjusted, break-adjusted difference between current vault cash and the
amount applied to satisfy current reserve requirements.

(4.) Composition of the money stock measures and debt is as follows:

M1: (1) currency outside the U.S. Treasury, Federal Reserve Banks, and
the vaults of depository institutions, (2) travelers checks of nonbank
issuers, (3) demand deposits at all commercial banks other than those
owed to depository institutions, the U.S. government, and foreign banks
and official institutions, less cash items in the process of collection
and Federal Reserve float, and (4) other checkable deposits (OCDs),
consisting of negotiable order of withdrawal (NOW) and automatic
transfer service (ATS) accounts at depository institutions,
credit union share draft accounts, and demand deposits at thrift
institutions. Seasonally adjusted M1 is computed by summing currency,
travelers checks, demand deposits, and OCDs, each seasonally adjusted
separately.

M2: M1 plus (1) savings (including MMDAs), (2) small-denomination time
deposits (time deposits--including retail RPs--in amounts of less than
$100,000), and (3) balances in retail money market mutual funds.
Excludes individual retirement accounts (IRAs) and Keogh balances at
depository institutions and money market funds. Seasonally adjusted
M2 is calculated by summing savings deposits, small-denomination time
deposits, and retail money fund balances, each seasonally adjusted
separately, and adding this result to seasonally adjusted M1.

M3: M2 plus (1) large-denomination time deposits (in amounts of
$100,000 or more), (2) balances in institutional money funds, (3) RP
liabilities (overnight and term) issued by all depository institutions,
and (4) eurodollars (overnight and term) held by U.S. residents at
foreign branches of U.S. banks worldwide and at all banking offices in
the United Kingdom and Canada. Excludes amounts held by depository
institutions, the U.S. government, money market funds, and foreign
banks and official institutions. Seasonally adjusted M3 is calculated
by summing large time deposits, institutional money fund balances, RP
liabilities, and eurodollars, each seasonally adjusted separately, and
adding this result to seasonally adjusted M2.

Debt: The debt aggregate is the outstanding credit market debt of the
domestic nonfinancial sectors--the federal sector (U.S. government, not
including government-sponsored enterprises or federally related
mortgage pools) and the nonfederal sectors (state and local
governments, households and nonprofit organizations, nonfinancial
corporate and nonfarm noncorporate businesses, and farms). Nonfederal
debt consists of mortgages, tax-exempt and corporate bonds, consumer
credit, bank loans, commercial paper, and other loans. The data,
which are derived from the Federal Reserve Board's flow of funds
accounts, are break-adjusted (that is, discontinuities in the data have
been smoothed into the series) and month-averaged (that is, the data
have been derived by averaging adjacent month-end levels).

(5.) Sum of (1) savings deposits (including MMDAs), (2) small time
deposits, and (3) retail money fund balances, each seasonally adjusted
separately.

(6.) Sum of (1) large time deposits, (2) institutional money fund
balances, (3) RP liabilities (overnight and term) issued by depository
institutions, and (4) eurodollars (overnight and term) of U.S.
addressees, each seasonally adjusted separately.

(7.) Small time deposits--including retail RPs--are those issued in
amounts of less than $100,000. All IRA and Keogh account balances at
commercial banks and thrift institutions are subtracted from small
time deposits.

(8.) Large time deposits are those issued in amounts of $100,000 or
more, excluding those booked at international banking facilities.

(9.) Large time deposits at commercial banks less those held by money
market funds, depository institutions, the U.S. government, and
foreign banks and official institutions.

(10.) Includes both overnight and term.
1.11 RESERVES OF DEPOSITORY INSTITUTIONS AND RESERVE BANK CREDIT(1)

Millions of dollars

                                                Average of
                                              daily figures

                                                 2001

               Factor                 Mar.       Apr.           May

       SUPPLYING RESERVE FUNDS

 1 Reserve Bank credit outstanding   577,856     580,694      585,031
     U.S. government securities(2)
 2     Bought outright--System
         account(3)                  522,787     523,962      526,810
 3     Held under repurchase
         agreements                        0           0            0
     Federal agency obligations
 4     Bought outright                    10          10           10
 5     Held under repurchase
         agreements                        0           0            0
 6   Repurchase agreements--
         triparty(4)                  19,105      20,009       21,907
 7   Acceptances                           0           0            0
     Loans to depository institu-
         tions
 8     Adjustment credit                  27          29          129
 9     Seasonal credit                    19          35           80
10     Special Liquidity Facility
         credit                            0           0            0
11     Extended credit                     0           0            0
12   Float                               406         251          -91
13   Other Federal Reserve assets     35,502      36,398       36,187

14 Gold stock                         11,046      11,046       11,046
15 Special drawing rights
         certificate account           2,200       2,200        2,200
16 Treasury currency outstanding      32,191      32,349           32

       ABSORBING RESERVE FUNDS

17 Currency in circulation           585,180     588,086(r)   591,535
18 Reverse repurchase agreements--
         triparty(4)                       0           0            0
19 Treasury cash holdings                496         500          514
   Deposits, other than reserve
         balances, with Federal
         Reserve Banks
20   Treasury                          5,390       5,903        5,149
21   Foreign                              85          92          100
22   Service-related balances and
         adjustments                   6,859       6,940        6,946
23   Other                               260         352          350
24 Other Federal Reserve
         liabilities and capital      18,232      17,806       17,971
25 Reserve balances with Federal
         Reserve Banks(5)              6,789       6,609        8,198

                                     Average of daily figures for week
                                         ending on date indicated

                                                   2001

               Factor                Apr. 18      Apr. 25       May 2

       SUPPLYING RESERVE FUNDS

 1 Reserve Bank credit outstanding   581,623      579,189      586,387
     U.S. government securities(2)
 2     Bought outright--System
         account(3)                  522,374      525,432      527,036
 3     Held under repurchase
         agreements                        0            0            0
     Federal agency obligations
 4     Bought outright                    10           10           10
 5     Held under repurchase
         agreements                        0            0            0
 6   Repurchase agreements--
         triparty(4)                  22,220       17,183       22,443
 7   Acceptances                           0            0            0
     Loans to depository institu-
         tions
 8     Adjustment credit                   4           29           10
 9     Seasonal credit                    40           36           41
10     Special Liquidity Facility
         credit                            0            0            0
11     Extended credit                     0            0            0
12   Float                               613         -402         -401
13   Other Federal Reserve assets     36,362       36,900       37,247

14 Gold stock                         11,046       11,046       11,046
15 Special drawing rights
         certificate account           2,200        2,200        2,200
16 Treasury currency outstanding      32,347(r)    32,382(r)    32,417

       ABSORBING RESERVE FUNDS

17 Currency in circulation           588,863(r)   588,001(r)   588,369
18 Reverse repurchase agreements--
         triparty(4)                       0            0            0
19 Treasury cash holdings                503          512          516
   Deposits, other than reserve
         balances, with Federal
         Reserve Banks
20   Treasury                          5,491        6,894        6,733
21   Foreign                              79          119           86
22   Service-related balances and
         adjustments                   6,785        7,031(r)     7,241
23   Other                               342          347          357
24 Other Federal Reserve
         liabilities and capital      17,953       17,971       17,983
25 Reserve balances with Federal
         Reserve Banks(5)              7,200(r)     3,941       10,765

                                     Average of daily figures for
                                         week ending on date
                                             indicated

                                                2001

               Factor                 May 9    May 16    May 23

       SUPPLYING RESERVE FUNDS

 1 Reserve Bank credit outstanding   580,001   584,842   582,062
     U.S. government securities(2)
 2     Bought outright--System
         account(3)                  524,714   527,258   526,099
 3     Held under repurchase
         agreements                        0         0         0
     Federal agency obligations
 4     Bought outright                    10        10        10
 5     Held under repurchase
         agreements                        0         0         0
 6   Repurchase agreements--
         triparty(4)                  17,433    20,053    20,915
 7   Acceptances                           0         0         0
     Loans to depository institu-
         tions
 8     Adjustment credit                   8       525         3
 9     Seasonal credit                    69        88        83
10     Special Liquidity Facility
         credit                            0         0         0
11     Extended credit                     0         0         0
12   Float                               257      -153       130
13   Other Federal Reserve assets     37,511    37,061    34,823

14 Gold stock                         11,046    11,046    11,046
15 Special drawing rights
         certificate account           2,200     2,200     2,200
16 Treasury currency outstanding      32,447    32,475    32,504

       ABSORBING RESERVE FUNDS

17 Currency in circulation           589,718   590,329   590,981
18 Reverse repurchase agreements--
         triparty(4)                       0         0         0
19 Treasury cash holdings                518       517       511
   Deposits, other than reserve
         balances, with Federal
         Reserve Banks
20   Treasury                          5,053     5,169     4,993
21   Foreign                              75       104        76
22   Service-related balances and
         adjustments                   6,877     6,843     7,087
23   Other                               365       395       342
24 Other Federal Reserve
         liabilities and capital      18,034    17,946    17,944
25 Reserve balances with Federal
         Reserve Banks(5)              5,053     9,261     5,877

                                      Average
                                        of
                                      daily
                                      figures
                                     for week
                                      ending
                                      on date      End-of-month
                                     indicated       figures

                                                 2001

               Factor                 May 30      Mar.      Apr.

       SUPPLYING RESERVE FUNDS

 1 Reserve Bank credit outstanding    590,572    581,870   587,708
     U.S. government securities(2)
 2     Bought outright--System
         account(3)                   529,168    523,862   525,911
 3     Held under repurchase
         agreements                         0          0         0
     Federal agency obligations
 4     Bought outright                     10         10        10
 5     Held under repurchase
         agreements                         0          0         0
 6   Repurchase agreements--
         triparty(4)                   26,534     21,995    25,007
 7   Acceptances                            0          0         0
     Loans to depository institu-
         tions
 8     Adjustment credit                   22          8        44
 9     Seasonal credit                     86         14        36
10     Special Liquidity Facility
         credit                             0          0         0
11     Extended credit                      0          0         0
12   Float                               -507        180      -370
13   Other Federal Reserve assets      35,259     35,801    37,069

14 Gold stock                          11,046     11,046    11,046
15 Special drawing rights
         certificate account            2,200      2,200     2,200
16 Treasury currency outstanding       32,533     32,271    32,417(r)

       ABSORBING RESERVE FUNDS

17 Currency in circulation            594,970    585,853   588,191(r)
18 Reverse repurchase agreements--
         triparty(4)                        0          0         0
19 Treasury cash holdings                 510        478       516
   Deposits, other than reserve
         balances, with Federal
         Reserve Banks
20   Treasury                           5,148      5,657     7,894
21   Foreign                              148         70       102
22   Service-related balances and
         adjustments                    6,879      6,757     7,241
23   Other                                294        248       403
24 Other Federal Reserve
         liabilities and capital       17,960     17,441    18,232
25 Reserve balances with Federal
         Reserve Banks(5)              10,441     10,882    10,792

                                     End-of-
                                      month
                                     figures     Wednesday figures

                                                    2001

               Factor                  May     Apr. 18      Apr. 25

       SUPPLYING RESERVE FUNDS

 1 Reserve Bank credit outstanding   591,914   590,736      580,474
     U.S. government securities(2)
 2     Bought outright--System
         account(3)                  527,562   525,195      527,300
 3     Held under repurchase
         agreements                        0         0            0
     Federal agency obligations
 4     Bought outright                    10        10           10
 5     Held under repurchase
         agreements                        0         0            0
 6   Repurchase agreements--
         triparty(4)                  30,310    29,264       16,507
 7   Acceptances                           0         0            0
     Loans to depository institu-
         tions
 8     Adjustment credit                  67        11           32
 9     Seasonal credit                    86        37           34
10     Special Liquidity Facility
         credit                            0         0            0
11     Extended credit                     0         0            0
12   Float                              -998      -274         -596
13   Other Federal Reserve assets     34,878    36,494       37,188

14 Gold stock                         11,046    11,046       11,046
15 Special drawing rights
         certificate account           2,200     2,200        2,200
16 Treasury currency outstanding      32,562    32,347(r)    32,382

       ABSORBING RESERVE FUNDS

17 Currency in circulation           595,911   589,793(r)   588,831
18 Reverse repurchase agreements--
         triparty(4)                       0         0            0
19 Treasury cash holdings                510       512          516
   Deposits, other than reserve
         balances, with Federal
         Reserve Banks
20   Treasury                          4,396     6,753        7,483
21   Foreign                              85       107          121
22   Service-related balances and
         adjustments                   7,045     6,785        7,031
23   Other                               321       335          330
24 Other Federal Reserve
         liabilities and capital      17,845    17,677       17,660
25 Reserve balances with Federal
         Reserve Banks(5)             11,609    14,368(r)     4,130

                                          Wednesday figures

                                                 2001

               Factor                 May 2     May 9    May 16

       SUPPLYING RESERVE FUNDS

 1 Reserve Bank credit outstanding   593,177   580,286   594,063
     U.S. government securities(2)
 2     Bought outright--System
         account(3)                  526,643   526,442   528,380
 3     Held under repurchase
         agreements                        0         0         0
     Federal agency obligations
 4     Bought outright                    10        10        10
 5     Held under repurchase
         agreements                        0         0         0
 6   Repurchase agreements--
         triparty(4)                  29,257    15,007    31,747
 7   Acceptances                           0         0         0
     Loans to depository institu-
         tions
 8     Adjustment credit                  10        12        24
 9     Seasonal credit                    54        83        86
10     Special Liquidity Facility
         credit                            0         0         0
11     Extended credit                     0         0         0
12   Float                                 4       977      -683
13   Other Federal Reserve assets     37,200    37,754    34,500

14 Gold stock                         11,046    11,046    11,046
15 Special drawing rights
         certificate account           2,200     2,200     2,200
16 Treasury currency outstanding      32,417    32,447    32,475

       ABSORBING RESERVE FUNDS

17 Currency in circulation           590,197   591,330   591,648
18 Reverse repurchase agreements--
         triparty(4)                       0         0         0
19 Treasury cash holdings                518       518       511
   Deposits, other than reserve
         balances, with Federal
         Reserve Banks
20   Treasury                          5,714     4,427     5,309
21   Foreign                             115        89        76
22   Service-related balances and
         adjustments                   7,241     6,877     6,843
23   Other                               369       355       355
24 Other Federal Reserve
         liabilities and capital      17,792    17,685    17,654
25 Reserve balances with Federal
         Reserve Banks(5)             16,895     4,697    17,389

                                     Wednesday figures

               Factor                May 23    May 30

       SUPPLYING RESERVE FUNDS

 1 Reserve Bank credit outstanding   584,945   608,194
     U.S. government securities(2)
 2     Bought outright--System
         account(3)                  525,608   529,372
 3     Held under repurchase
         agreements                        0         0
     Federal agency obligations
 4     Bought outright                    10        10
 5     Held under repurchase
         agreements                        0         0
 6   Repurchase agreements--
         triparty(4)                  23,705    42,380
 7   Acceptances                           0         0
     Loans to depository institu-
         tions
 8     Adjustment credit                   1         1
 9     Seasonal credit                    84        89
10     Special Liquidity Facility
         credit                            0         0
11     Extended credit                     0         0
12   Float                               478       846
13   Other Federal Reserve assets     35,058    35,495

14 Gold stock                         11,046    11,046
15 Special drawing rights
         certificate account           2,200     2,200
16 Treasury currency outstanding      32,504    32,533

       ABSORBING RESERVE FUNDS

17 Currency in circulation           593,311   596,594
18 Reverse repurchase agreements--
         triparty(4)                       0         0
19 Treasury cash holdings                510       510
   Deposits, other than reserve
         balances, with Federal
         Reserve Banks
20   Treasury                          4,788     4,301
21   Foreign                              84        72
22   Service-related balances and
         adjustments                   7,087     6,879
23   Other                               328       295
24 Other Federal Reserve
         liabilities and capital      17,685    17,738
25 Reserve balances with Federal
         Reserve Banks(5)              6,901    27,583

(1.) Amounts of cash held as reserves are shown in table 1.12, line 2.

(2.) Includes securities loaned--fully guaranteed by U.S. government
securities pledged with Federal Reserve Banks--and excludes securities
sold and scheduled to be bought back under matched sale-purchase
transactions.

(3.) Includes compensation that adjusts for the effects of inflation on
the principal of inflation-indexed securities.

(4.) Cash value of agreements arranged through third-party custodial
banks. These agreements are collateralized by U.S. government and
federal agency securities.

(5.) Excludes required clearing balances and adjustments to compensate
for float.
1.12 RESERVES AND BORROWINGS Depository Institutions(1)

Millions of dollars

                             Prorated monthly averages of
                                  biweekly averages

        Reserve           1998     1999          2000
    classification

                          Dec.     Dec.     Dec.        Nov.

 1 Reserve balances
       with Reserve
       Banks(2)           9,026    5,262    7,159       7,156
 2 Total vault cash(3)   44,294   60,619   45,229(r)   44,636(r)
 3   Applied vault
       cash(4)           36,183   36,392   31,381      31,629
 4   Surplus vault
       cash(5)            8,111   24,227   13,848(r)   13,007(r)
 5 Total reserves(6)     45,209   41,654   38,540      38,786
 6   Required reserves   43,695   40,357   37,216      37,584
 7   Excess reserve
       balances at
       Reserve
       Banks(7)           1,514    1,297    1,325       1,201
 8 Total borrowing at
       Reserve Banks        117      320      210         283
 9   Adjustment             101      179       99         124
10   Seasonal                15       67      111         159
11   Special Liquidity
       Facility(8)            0       74        0           0
12   Extended
       credit(9)              0        0        0           0

                                Prorated monthly averages of
                                    biweekly averages

        Reserve           2000                     2001
    classification

                          Dec.        Jan.         Feb.        Mar.

 1 Reserve balances
       with Reserve
       Banks(2)           7,159        7,190       6,615       6,737
 2 Total vault cash(3)   45,229(r)    47,683(r)   48,517(r)   44,104(r)
 3   Applied vault
       cash(4)           31,381       32,601      32,734      30,978
 4   Surplus vault
       cash(5)           13,848(r)    15,083(r)   15,783(r)   13,127(r)
 5 Total reserves(6)     38,540       39,791      39,349      37,715
 6   Required reserves   37,216       38,538      37,917      36,329
 7   Excess reserve
       balances at
       Reserve
       Banks(7)           1,325        1,253       1,432       1,385
 8 Total borrowing at
       Reserve Banks        210           73          51          58
 9   Adjustment              99           39          30          38
10   Seasonal               111           34          21          20
11   Special Liquidity
       Facility(8)            0            0        ...         ...
12   Extended
       credit(9)              0            0           0           0

                                             Biweekly averages
                         Prorated monthly   of daily figures for
                           averages of       two-week periods
                             biweekly         ending on dates
                             averages           indicated

        Reserve                          2001
    classification

                         Apr.(r)    May     Feb. 7      Feb. 21

 1 Reserve balances
       with Reserve
       Banks(2)            6,863    7,612    6,410       6,608
 2 Total vault cash(3)    43,656   43,263   52,714(r)   48,624(r)
 3   Applied vault
       cash(4)            31,728   31,773   34,631      32,380
 4   Surplus vault
       cash(5)            11,929   11,490   18,083(r)   16,245(r)
 5 Total reserves(6)      38,591   39,385   41,041      38,988
 6   Required reserves    37,314   38,363   39,844      37,361
 7   Excess reserve
       balances at
       Reserve
       Banks(7)            1,277    1,022    1,196       1,627
 8 Total borrowing at
       Reserve Banks          51      213       34          38
 9   Adjustment               15      134        9          18
10   Seasonal                 35       79       25          20
11   Special Liquidity
       Facility(8)          ...      ...      ...         ...
12   Extended
       credit(9)               0        0        0           0

                          Biweekly averages of daily figures for
                         two-week periods ending on dates indicated

        Reserve                            2001
    classification

                         Mar. 7      Mar. 21     Apr. 4      Apr. 18(r)

 1 Reserve balances
       with Reserve
       Banks(2)           6,836       6,296       7,287       6,326
 2 Total vault cash(3)   44,107(r)   43,875(r)   44,424(r)   43,409
 3   Applied vault
       cash(4)           31,547      30,304      31,523      31,199
 4   Surplus vault
       cash(5)           12,561(r)   13,571(r)   12,902(r)   12,210
 5 Total reserves(6)     38,382      36,600      38,809      37,525
 6   Required reserves   37,103      35,419      37,062      36,329
 7   Excess reserve
       balances at
       Reserve
       Banks(7)           1,279       1,180       1,747       1,196
 8 Total borrowing at
       Reserve Banks         95          38          60          42
 9   Adjustment              76          17          42           4
10   Seasonal                19          21          18          38
11   Special Liquidity
       Facility(8)         ...         ...         ...         ...
12   Extended
       credit(9)              0           0           0           0

                            Biweekly averages of daily
                           figures for two-week periods
                            ending on dates indicated

        Reserve                           2001
    classification

                         May 2       May 16   May 30   June 13

 1 Reserve balances
       with Reserve
       Banks(2)           7,350(r)    7,159    8,163    6,768
 2 Total vault cash(3)   43,690(r)   42,645   43,900   42,155
 3   Applied vault
       cash(4)           32,413      31,033   32,530   30,271
 4   Surplus vault
       cash(5)           11,277(r)   11,612   11,370   11,884
 5 Total reserves(6)     39,763(r)   38,191   40,693   37,039
 6   Required reserves   38,549      37,303   39,581   35,776
 7   Excess reserve
       balances at
       Reserve
       Banks(7)           1,214(r)      888    1,112    1,262
 8 Total borrowing at
       Reserve Banks         59         346       97      295
 9   Adjustment              20         267       13      195
10   Seasonal                39          79       85      101
11   Special Liquidity
       Facility(8)         ...         ...      ...      ...
12   Extended
       credit(9)              0           0        0        0

(1.) Data in this table also appear in the Board's H.3 (502) weekly
statistical release. For ordering address, see inside front cover. Data
are not break-adjusted or seasonally adjusted.

(2.) Excludes required clearing balances and adjustments to compensate
for float and includes other off-balance-sheet "as-of" adjustments.

(3.) Vault cash eligible to satisfy reserve requirements. It includes
only vault cash held by those banks and thrift institutions that are
not exempt from reserve requirements. Dates refer to the maintenance
periods in which the vault cash can be used to satisfy reserve
requirements.

(4.) All vault cash held during the lagged computation period by
"bound" institutions (that is, those whose required reserves exceed
their vault cash) plus the amount of vault cash applied during the
maintenance period by "nonbound" institutions (that is, those whose
vault cash exceeds their required reserves) to satisfy current reserve
requirements,

(5.) Total vault cash (line 2) less applied vault cash (line 3).

(6.) Reserve balances with Federal Reserve Banks (line 1) plus applied
vault cash (line 3).

(7.) Total reserves (line 5) less required reserves (line 6).

(8.) Borrowing at the discount window under the terms and conditions
established for the Century Date Change Special Liquidity Facility in
effect from October 1, 1999, through April 7, 2000.

(9.) Consists of borrowing at the discount window under the terms and
conditions established for the extended credit program to help
depository institutions deal with sustained liquidity pressures.
Because there is not the same need to repay such borrowing promptly as
with traditional short-term adjustment credit, the money market effect
of extended credit is similar to that of nonborrowed reserves.
1.14 FEDERAL RESERVE BANK INTEREST RATES

Percent per year

                                Current and previous levels

                  Adjustment credit(1)         Seasonal credit(2)

                         Effec-    Pre-             Effec-    Pre-
Federal           On      tive     vious     On      tive     vious
Reserve Bank    7/6/01    date     rate    7/6/01    date     rate

Boston           3.25    6/27/01   3.50     3.80    6/28/01   3.95
New York         3.25    6/27/01   3.50     3.80    6/28/01   3.95
Philadelphia     3.25    6/27/01   3.50     3.80    6/28/01   3.95
Cleveland        3.25    6/28/01   3.50     3.80    6/28/01   3.95
Richmond         3.25    6/28/01   3.50     3.80    6/28/01   3.95
Atlanta          3.25    6/27/01   3.50     3.80    6/28/01   3.95

Chicago          3.25    6/27/01   3.50     3.80    6/28/01   3.95
St. Louis        3.25    6/29/01   3.50     3.80    6/28/01   3.95
Minneapolis      3.25    6/28/01   3.50     3.80    6/28/01   3.95
Kansas City      3.25    6/28/01   3.50     3.80    6/28/01   3.95
Dallas           3.25    6/27/01   3.50     3.80    6/28/01   3.95
San Francisco    3.25    6/27/01   3.50     3.80    6/28/01   3.95

                     Current and previous levels

                           Extended credit(3)

Federal           On
Reserve Bank    7/6/01   Effective date   Previous rate

Boston           4.30       6/28/01           4.45
New York         4.30       6/28/01           4.45
Philadelphia     4.30       6/28/01           4.45
Cleveland        4.30       6/28/01           4.45
Richmond         4.30       6/28/01           4.45
Atlanta          4.30       6/28/01           4.45

Chicago          4.30       6/28/01           4.45
St. Louis        4.30       6/28/01           4.45
Minneapolis      4.30       6/28/01           4.45
Kansas City      4.30       6/28/01           4.45
Dallas           4.30       6/28/01           4.45
San Francisco    4.30       6/28/01           4.45

Range of rates for adjustment credit in recent years(4)

                           Range (or    F.R. Bank
Effective date            level)--All       of
                          F.R. Banks       N.Y.

In effect Dec. 31, 1977        6         6

1978--Jan.   9               6-6.5       6.5
            20                6.5        6.5
      May   11               6.5-7       7
            12                 7         7
      July   3              7-7.25       7.25
            10               7.25        7.25
      Aug.  21               7.75        7.75
      Sept. 22                 8         8
      Oct.  16               8-8.5       8.5
            20                8.5        8.5
      Nov.   1              8.5-9.5      9.5
             3                9.5        9.5

1979--July  20                10        10
      Aug.  17              10-10.5     10.5
            20               10.5       10.5
      Sept. 19              10.5-11     11
            21                11        11
      Oct.   8               11-12      12
            10                12        12

1980--Feb.  15               12-13      13
            19                13        13
      May   29               12-13      13
            30                12        12
      June  13               11-12      11
            16                11        11
      July  28               10-11      10
            29                10        10
      Sept. 26                11        11
      Nov.  17                12        12
      Dec.   5               12-13      13
             8                13        13

1981--May    5               13-14      14
             8                14        14
      Nov.   2               13-14      13
             6                13        13
      Dec.   4                12        12

1982--July  20              11.5-12     11.5
            23               11.5       11.5
      Aug.   2              11-11.5     11
             3                11        11
            16               10.5       10.5
            27              10-10.5     10
            30                10        10

1982--Oct.  12              9.5-10       9.5
            13                9.5        9.5
      Nov.  22               9-9.5       9
            26                 9         9
      Dec.  14               8.5-9       9
            15               8.5-9       8.5
            17                8.5        8.5

1984--Apr.   9               8.5-9       9
            13                 9         9
      Nov.  21               8.5-9       8.5
            26                8.5        8.5
      Dec.  24                 8         8

1985--May   20               7.5-8       7.5
            24                7.5        7.5

1986--Mar.   7               7-7.5       7
            10                 7         7
      Apr.  21               6.5-7       6.5
            23                6.5        6.5
      July  11                 6         6
      Aug.  21               5.5-6       5.5
            22                5.5        5.5

1987--Sept.  4               5.5-6       6
            11                 6         6

1988--Aug.   9               6-6.5       6.5
            11                6.5        6.5

1989--Feb.  24               6.5-7       7
            27                 7         7

1990--Dec.  19                6.5        6.5

1991--Feb.   1               6-6.5       6
             4                 6         6
      Apr.  30               5.5-6       5.5
      May    2                5.5        5.5
      Sept. 13               5-5.5       5
            17                 5         5
      Nov.   6               4.5-5       4.5
             7                4.5        4.5
      Dec.  20              3.5-4.5      3.5
            24                3.5        3.5

1992--July   2               3-3.5       3
             7                 3         3

1994--May   17               3-3.5       3.5
            18                3.5        3.5
      Aug.  16               3.5-4       4
            18                 4         4
      Nov.  15              4-4.75       4.75
            17               4.75        4.75

1995--Feb.   1             4.75-5.25     5.25
             9               5.25        5.25

1996--Jan.  31             5.00-5.25     5.00
      Feb.   5               5.00        5.00

1998--Oct.  15             4.75-5.00     4.75
            16               4.75        4.75
      Nov.  17             4.50-4.75     4.50
            19               4.50        4.50

1999--Aug.  24             4.50-4.75     4.75
            26               4.75        4.75
      Nov.  16             4.75-5.00     4.75
            18               5.00        5.00

2000--Feb.   2             5.0-5.25      5.25
             4               5.25        5.25
      Mar.  21             5.25-5.50     5.50
            23               5.50        5.50
      May   16             5.50-6.00     5.50
            19               6.00        6.00

2001--Jan.   3             5.75-6.00     5.75
             4             5.50-5.75     5.50
             5               5.50        5.50
            31             5.00-5.50     5.00
      Feb.   1               5.00        5.00
      Mar.  20             4.50-5.00     4.50
            21               4.50        4.50
      Apr.  18             4.00-4.50     4.00
            20               4.00        4.00
      May   15             3.50-4.00     3.50
            17               3.50        3.50
      June  27             3.25-3.50     3.25
      June  29               3.25        3.25

In effect July 6, 2001       3.25        3.25

(1.) Available on a short-term basis to help depository institutions
meet temporary needs for funds that cannot be met through reasonable
alternative sources. The highest rate established for loans to
depository institutions may be charged on adjustment credit loans of
unusual size that result from a major operating problem at the
borrower's facility.

(2.) Available to help relatively small depository institutions meet
regular seasonal needs for funds that arise from a clear pattern of
intrayearly movements in their deposits and loans and that cannot be
met through special industry lenders. The discount rate on seasonal
credit takes into account rates charged by market sources of funds and
ordinarily is reestablished on the first business day of each two-week
reserve maintenance period; however, it is never less than the discount
rate applicable to adjustment credit.

(3.) May be made available to depository institutions when similar
assistance is not reasonably available from other sources, including
special industry lenders. Such credit may be provided when exceptional
circumstances (including sustained deposit drains, impaired access to
money market funds, or sudden deterioration in loan repayment
performance) or practices involve only a particular institution, or to
meet the needs of institutions experiencing difficulties adjusting to
changing market conditions over a longer period (particularly at times
of deposit disintermediation). The discount rate applicable to
adjustment credit ordinarily is charged on extended-credit loans
outstanding less than thirty days; however, at the discretion of the
Federal Reserve Bank, this time period may be shortened. Beyond this
initial period, a flexible rate somewhat above rates charged on market
sources of funds is charged. The rate ordinarily is reestablished on
the first business day of each two-week reserve maintenance period, but
it is never less than the discount rate applicable to adjustment credit
plus 50 basis points.

(4.) For earlier data, see the following publications of the Board of
Governors: Banking and Monetary Statistics, 1914-1941, and 1941-1970;
and the Annual Statistical Digest, 1970-1979.

In 1980 and 1981, the Federal Reserve applied a surcharge to short-term
adjustment-credit borrowings by institutions with deposits of $500
million or more that had borrowed in successive weeks or in more than
four weeks in a calendar quarter. A 3 percent surcharge was in effect
from Mar. 17, 1980, through May 7, 1980. A surcharge of 2 percent was
reimposed on Nov. 17, 1980; the surcharge was subsequently raised to 3
percent on Dec. 5, 1980, and to 4 percent on May 5, 1981. The surcharge
was reduced to 3 percent effective Sept. 22, 1981, and to 2 percent
effective Oct. 12, 1981. As of Oct. 1, 1981, the formula for applying
the surcharge was changed from a calendar quarter to a moving
thirteen-week period. The surcharge was eliminated on Nov. 17, 1981.
1.15 RESERVE REQUIREMENTS OF DEPOSITORY INSTITUTIONS(1)

                                           Requirement

                                 Percentage of   Effective date
       Type of deposit             deposits

  Net transaction accounts(2)
1 $0 million-$42.8 million(3)          3            12/28/00
2 More than $42.8 million(4)          10            12/28/00

3 Nonpersonal time deposits(5)         0            12/27/90
4 Eurocurrency liabilities(6)          0            12/27/90

(1.) Required reserves must be held in the form of deposits with
Federal Reserve Banks or vault cash. Nonmember institutions may
maintain reserve balances with a Federal Reserve Bank indirectly, on a
pass-through basis, with certain approved institutions. For previous
reserve requirements, see earlier editions of the Annual Report or the
Federal Reserve Bulletin. Under the Monetary Control Act of 1980,
depository institutions include commercial banks, savings banks,
savings and loan associations, credit unions, agencies and branches of
foreign banks, and Edge Act corporations.

(2.) Transaction accounts include all deposits against which the
account holder is permitted to make withdrawals by negotiable or
transferable instruments, payment orders of withdrawal, or telephone or
preauthorized transfers for the purpose of making payments to third
persons or others. However, accounts subject to the rules that permit
no more than six preauthorized, automatic, or other transfers per month
(of which no more than three may be by check, draft, debit card, or
similar order payable directly to third parties) are savings deposits,
not transaction accounts.

(3.) The Monetary Control Act of 1980 requires that the amount of
transaction accounts against which the 3 percent reserve requirement
applies be modified annually by 80 percent of the percentage change in
transaction accounts held by all depository institutions, determined as
of June 30 of each year. Effective with the reserve maintenance period
beginning December 28, 2000, for depository institutions that report
weekly, and with the period beginning January 18, 2001, for
institutions that report quarterly, the amount was decreased from $44.3
million to $42.8 million.

Under the Garn-St Germain Depository Institutions Act of 1982, the
Board adjusts the amount of reservable liabilities subject to a zero
percent reserve requirement each year for the succeeding calendar year
by 80 percent of the percentage increase in the total reservable
liabilities of all depository institutions, measured on an annual basis
as of June 30. No corresponding adjustment is made in the event of a
decrease. The exemption applies only to accounts that would be subject
to a 3 percent reserve requirement. Effective with the reserve
maintenance period beginning December 28, 2000, for depository
institutions that report weekly, and with the period beginning January
18, 2001, for institutions that report quarterly, the exemption was
raised from $5.0 million to $5.5 million.

(4.) The reserve requirement was reduced from 12 percent to 10 percent
on Apr. 2, 1992, for institutions that report weekly, and on Apr. 16,
1992, for institutions that report quarterly.

(5.) For institutions that report weekly, the reserve requirement on
nonpersonal time deposits with an original maturity of less than 1.5
years was reduced from 3 percent to 1.5 percent for the maintenance
period that began Dec. 13, 1990, and to zero for the maintenance period
that began Dec. 27, 1990. For institutions that report quarterly, the
reserve requirement on nonpersonal time deposits with an original
maturity of less than 1.5 years was reduced from 3 percent to zero on
Jan. 17, 1991.

The reserve requirement on nonpersonal time deposits with an original
maturity of 1.5 years or more has been zero since Oct. 6, 1983.

(6.) The reserve requirement on eurocurrency liabilities was reduced
from 3 percent to zero in the same manner and on the same dates as the
reserve requirement on nonpersonal time deposits with an original
maturity of less than 1.5 years (see note 5).
1.17 FEDERAL RESERVE OPEN MARKET TRANSACTIONS(1)

Millions of dollars

         Type of transaction
             and maturity                 1998       1999        2000

     U.S. TREASURY SECURITIES(2)

   Outright transactions (excluding
       matched transactions)

   Treasury bills
1    Gross purchases                      3,550           0       8,676
2    Gross sales                              0           0           0
3    Exchanges                          450,835     464,218     477,904
4    For new bills                      450,835     464,218     477,904
5    Redemptions                          2,000           0      24,522
   Others within one year
6    Gross purchases                      6,297      11,895       8,809
7    Gross sales                              0           0           0
8    Maturity shifts                     46,062      50,590      62,025
9    Exchanges                          -49,434     -53,315     -54,656
10   Redemptions                          2,676       1,429       3,779
   One to five years
11   Gross purchases                     12,901      19,731      14,482
12   Gross sales                              0           0           0
13   Maturity shifts                    -37,777     -44,032     -52,068
14   Exchanges                           37,154      42,604      46,177
   Five to ten years
15   Gross purchases                      2,294       4,303       5,871
16   Gross sales                              0           0           0
17   Maturity shifts                     -5,908      -5,841      -6,801
18   Exchanges                            7,439       7,583       6,585
   More than ten years
19   Gross purchases                      4,884       9,428       5,833
20   Gross sales                              0           0           0
21   Maturity shifts                     -2,377        -717      -3,155
22   Exchanges                            4,842       3,139       1,894
   All maturities
23   Gross purchases                     29,926      45,357      43,670
24   Gross sales                              0           0           0
25   Redemptions                          4,676       1,429      28,301

   Matched transactions
26   Gross purchases                  4,430,457   4,413,430   4,399,257
27   Gross sales                      4,434,358   4,431,685   4,381,188

   Repurchase agreements
28 Gross purchases                      512,671     281,599           0
29 Gross sales                          514,186     301,273           0

30 Net change in U.S. Treasury
       securities                        19,835       5,999      33,439

      FEDERAL AGENCY OBLIGATIONS

   Outright transactions
31 Gross purchases                            0           0           0
32 Gross sales                               25           0           0
33 Redemptions                              322         157          51

   Repurchase agreements
34 Gross purchases                      284,316     360,069           0
35 Gross sales                          276,266     370,772           0

36 Net change in federal agency
       obligations                        7,703     -10,859         -51

   Reverse repurchase agreements
37 Gross purchases                            0           0           0
38 Gross sales                                0           0           0

   Repurchase agreements
39 Gross purchases                            0     304,989     890,236
40 Gross sales                                0     164,349     987,501

41 Net change in triparty
       obligations                            0     140,640     -97,265

42 Total net change in System Open
       Market Account                    27,538     135,780     -63,877

                                                 2000

         Type of transaction
             and maturity

                                        Oct.      Nov.      Dec.

     U.S. TREASURY SECURITIES(2)

   Outright transactions (excluding
       matched transactions)

   Treasury bills
1    Gross purchases                      779     2,507       509
2    Gross sales                            0         0         0
3    Exchanges                         38,142    45,182    39,428
4    For new bills                     38,142    45,182    39,428
5    Redemptions                        2,656     1,021     1,145
   Others within one year
6    Gross purchases                        0       580     1,420
7    Gross sales                            0         0         0
8    Maturity shifts                    8,663     7,957         0
9    Exchanges                         -6,608    -7,012         0
10   Redemptions                          787       780         0
   One to five years
11   Gross purchases                      734     1,332     1,045
12   Gross sales                            0         0         0
13   Maturity shifts                   -8,663    -5,997         0
14   Exchanges                          6,608     5,737         0
   Five to ten years
15   Gross purchases                        0       510       771
16   Gross sales                            0         0         0
17   Maturity shifts                        0      -699         0
18   Exchanges                              0     1,275         0
   More than ten years
19   Gross purchases                      982         0         0
20   Gross sales                            0         0         0
21   Maturity shifts                        0    -1,261         0
22   Exchanges                              0         0         0
   All maturities
23   Gross purchases                    2,495     4,929     3,745
24   Gross sales                            0         0         0
25   Redemptions                        3,443     1,802     1,145

   Matched transactions
26   Gross purchases                  344,920   351,391   345,680
27   Gross sales                      346,428   351,232   348,917

   Repurchase agreements
28 Gross purchases                          0         0         0
29 Gross sales                              0         0         0

30 Net change in U.S. Treasury
       securities                      -2,457     3,286      -637

      FEDERAL AGENCY OBLIGATIONS

   Outright transactions
31 Gross purchases                          0         0         0
32 Gross sales                              0         0         0
33 Redemptions                              0         0         0

   Repurchase agreements
34 Gross purchases                          0         0         0
35 Gross sales                              0         0         0

36 Net change in federal agency
       obligations                          0         0         0

   Reverse repurchase agreements
37 Gross purchases                          0         0         0
38 Gross sales                              0         0         0

   Repurchase agreements
39 Gross purchases                     64,428    87,125    95,470
40 Gross sales                         62,308    79,295    79,365

41 Net change in triparty
       obligations                      2,120     7,830    16,105

42 Total net change in System Open
       Market Account                    -337    11,116    15,468

                                              2001

         Type of transaction
             and maturity

                                        Jan.         Feb.

     U.S. TREASURY SECURITIES(2)

   Outright transactions (excluding
       matched transactions)

   Treasury bills
1    Gross purchases                      520        2,683
2    Gross sales                            0            0
3    Exchanges                         40,769       42,767
4    For new bills                     40,769       42,767
5    Redemptions                          228          638
   Others within one year
6    Gross purchases                        0        1,605
7    Gross sales                            0            0
8    Maturity shifts                   10,296(r)     5,609(r)
9    Exchanges                         -6,667       -6,799
10   Redemptions                        2,422        1,529
   One to five years
11   Gross purchases                      925        2,983
12   Gross sales                            0            0
13   Maturity shifts                  -10,296(r)    -2,784(r)
14   Exchanges                          6,667        4,945
   Five to ten years
15   Gross purchases                    1,283            0
16   Gross sales                            0            0
17   Maturity shifts                        0       -1,855(r)
18   Exchanges                              0          971
   More than ten years
19   Gross purchases                      296          495
20   Gross sales                            0            0
21   Maturity shifts                        0         -971(r)
22   Exchanges                              0          883
   All maturities
23   Gross purchases                    3,024        7,766
24   Gross sales                            0            0
25   Redemptions                        2,650        2,166

   Matched transactions
26   Gross purchases                  356,250      320,060
27   Gross sales                      352,336      322,056

   Repurchase agreements
28 Gross purchases                          0            0
29 Gross sales                              0            0

30 Net change in U.S. Treasury
       securities                       4,289        3,604

      FEDERAL AGENCY OBLIGATIONS

   Outright transactions
31 Gross purchases                          0            0
32 Gross sales                              0            0
33 Redemptions                              0          120

   Repurchase agreements
34 Gross purchases                          0            0
35 Gross sales                              0            0

36 Net change in federal agency
       obligations                          0         -120

   Reverse repurchase agreements
37 Gross purchases                          0            0
38 Gross sales                              0            0

   Repurchase agreements
39 Gross purchases                    104,930       67,655
40 Gross sales                        129,385       62,910

41 Net change in triparty
       obligations                    -24,455        4,745

42 Total net change in System Open
       Market Account                 -20,166        8,229

                                             2001

         Type of transaction
             and maturity

                                        Mar.      Apr.

     U.S. TREASURY SECURITIES(2)

   Outright transactions (excluding
       matched transactions)

   Treasury bills
1    Gross purchases                      579       308
2    Gross sales                            0         0
3    Exchanges                         46,712    38,317
4    For new bills                     46,712    38,317
5    Redemptions                          211     3,537
   Others within one year
6    Gross purchases                       67     3,027
7    Gross sales                            0         0
8    Maturity shifts                        0    12,204
9    Exchanges                              0    -7,000
10   Redemptions                            0     4,368
   One to five years
11   Gross purchases                    1,883     4,480
12   Gross sales                            0         0
13   Maturity shifts                        0   -12,204
14   Exchanges                              0     7,000
   Five to ten years
15   Gross purchases                        0     1,390
16   Gross sales                            0         0
17   Maturity shifts                        0         0
18   Exchanges                              0         0
   More than ten years
19   Gross purchases                    1,000       913
20   Gross sales                            0         0
21   Maturity shifts                        0         0
22   Exchanges                              0         0
   All maturities
23   Gross purchases                    3,529    10,118
24   Gross sales                            0         0
25   Redemptions                          211     7,905

   Matched transactions
26   Gross purchases                  396,029   381,667
27   Gross sales                      395,151   381,895

   Repurchase agreements
28 Gross purchases                          0         0
29 Gross sales                              0         0

30 Net change in U.S. Treasury
       securities                       4,196     1,984

      FEDERAL AGENCY OBLIGATIONS

   Outright transactions
31 Gross purchases                          0         0
32 Gross sales                              0         0
33 Redemptions                              0         0

   Repurchase agreements
34 Gross purchases                          0         0
35 Gross sales                              0         0

36 Net change in federal agency
       obligations                          0         0

   Reverse repurchase agreements
37 Gross purchases                          0         0
38 Gross sales                              0         0

   Repurchase agreements
39 Gross purchases                     86,472    85,166
40 Gross sales                         88,142    82,154

41 Net change in triparty
       obligations                     -1,670     3,012

42 Total net change in System Open
       Market Account                   2,526     4,996

(1.) Sales, redemptions, and negative figures reduce holdings
of the System Open Market Account; all other figures increase
such holdings.

(2.) Transactions exclude changes in compensation for the effects
of inflation on the principal of inflation-indexed securities.
1.18 FEDERAL RESERVE BANKS Condition and Federal Reserve Note
Statements(1)

Millions of dollars

                                                   Wednesday

              Account                                2001

                                           May 2     May 9    May 16

                                             Consolidated condition
                                                    statement

              ASSETS

 1 Gold certificate account                11,046    11,046    11,046
 2 Special drawing rights certificate
       account                              2,200     2,200     2,200
 3 Coin                                     1,117     1,110     1,103

   Loans
 4 To depository institutions                  63        95       110
 5 Other                                        0         0         0
 6 Acceptances held under repurchase
       agreements                               0         0         0

   Triparty Obligations
 7 Repurchase agreements--triparty(2)      29,257    15,007    31,747

   Federal agency obligations(3)
 8 Bought outright                             10        10        10
 9 Held under repurchase agreements             0         0         0

10 Total U.S. Treasury securities(3)      526,643   526,442   528,380

11 Bought outright(4)                     526,643   526,442   528,380
12   Bill                                 181,516   178,908   178,708
13   Notes                                247,967   249,369   251,534
14   Bonds                                 97,160    98,165    98,139
15 Held under repurchase agreements             0         0         0

16 Total loans and securities             555,973   541,554   560,247

17 Items in process of collection           9,512     8,911     7,869
18 Bank premises                            1,498     1,499     1,499

   Other assets
19 Denominated in foreign currencies(5)    14,768    14,774    14,780
20 All other(6)                            20,734    21,281    18,132

21 Total assets                           616,847   602,375   616,875

            LIABILITIES

22 Federal Reserve notes                  559,415   560,512   560,786
23 Reverse repurchase agreements--
       triparty(2)                              0         0         0

24 Total deposits                          30,208    16,110    30,340

25 Depository institutions                 24,010    11,240    24,600
26 U.S. Treasury--General account           5,714     4,427     5,309
27 Foreign--Official accounts                 115        89        76
28 Other                                      369       355       355

29 Deferred credit items                    9,432     8,067     8,095
30 Other liabilities and accrued
       dividends(7)                         3,510     3,461     3,418

31 Total liabilities                      602,565   588,151   602,639

          CAPITAL ACCOUNTS

32 Capital paid in                          7,043     7,045     7,027
33 Surplus                                  6,445     6,479     6,508
34 Other capital accounts                     794       701       701

35 Total liabilities and capital
       accounts                           616,847   602,375   616,875

   MEMO
36 Marketable U.S. Treasury securities
       held in custody for foreign and
       international accounts               n.a.      n.a.      n.a.

                                              Federal Reserve
                                               note statement

37 Federal Reserve notes outstanding
       (issued to Banks)                  739,661   739,143   738,483
38   LESS: Held by Federal Reserve
       Banks                              180,246   178,631   177,696
39   Federal Reserve notes, net           559,415   560,512   560,786

   Collateral held against notes, net
40 Gold certificate account                11,046    11,046    11,046
41 Special drawing rights certificate
       account                              2,200     2,200     2,200
42 Other eligible assets                        0     5,808         0
43 U.S. Treasury and agency securities    546,169   541,459   547,541

44 Total collateral                       559,415   560,512   560,786

                                                              End of
                                              Wednesday       month

              Account                           2001           2001

                                          May 23    May 30    Mar. 31

                                              Consolidated condition
                                                     statement

              ASSETS

 1 Gold certificate account                11,046    11,046    11,046
 2 Special drawing rights certificate
       account                              2,200     2,200     2,200
 3 Coin                                     1,096     1,070     1,179

   Loans
 4 To depository institutions                  85        90        22
 5 Other                                        0         0         0
 6 Acceptances held under repurchase
       agreements                               0         0         0

   Triparty Obligations
 7 Repurchase agreements--triparty(2)      23,705    42,380    21,995

   Federal agency obligations(3)
 8 Bought outright                             10        10        10
 9 Held under repurchase agreements             0         0         0

10 Total U.S. Treasury securities(3)      525,608   529,372   523,862

11 Bought outright(4)                     525,608   529,372   523,862
12   Bill                                 175,026   178,786   184,244
13   Notes                                252,354   252,357   243,661
14   Bonds                                 98,228    98,230    95,957
15 Held under repurchase agreements             0         0         0

16 Total loans and securities             549,408   571,853   545,889

17 Items in process of collection           7,633    10,612     6,292
18 Bank premises                            1,499     1,499     1,487

   Other assets
19 Denominated in foreign currencies(5)    14,787    14,793    14,554
20 All other(6)                            18,587    19,020    19,748

21 Total assets                           606,256   632,094   602,394

           LIABILITIES

22 Federal Reserve notes                  562,413   565,642   555,239
23 Reverse repurchase agreements--
       triparty(2)                              0         0         0

24 Total deposits                          18,605    38,664    23,803

25 Depository institutions                 13,406    33,995    17,828
26 U.S. Treasury--General account           4,788     4,301     5,657
27 Foreign--Official accounts                  84        72        70
28 Other                                      328       295       248

29 Deferred credit items                    7,553    10,050     5,911
30 Other liabilities and accrued
       dividends(7)                         3,398     3,390     3,858

31 Total liabilities                      591,969   617,746   588,811

          CAPITAL ACCOUNTS

32 Capital paid in                          7,060     7,069     7,029
33 Surplus                                  6,542     6,566     6,217
34 Other capital accounts                     685       712       336

35 Total liabilities and capital
       accounts                           606,256   632,094   602,394

   MEMO
36 Marketable U.S. Treasury securities
       held in custody for foreign and
       international accounts               n.a.      n.a.      n.a.

                                              Federal Reserve
                                              note statement

37 Federal Reserve notes outstanding
       (issued to Banks)                  737,903   737,129   741,342
38   LESS: Held by Federal Reserve
       Banks                              175,490   171,487   186,103
39   Federal Reserve notes, net           562,413   565,642   555,239

   Collateral held against notes, net
40 Gold certificate account                11,046    11,046    11,046
41 Special drawing rights certificate
       account                              2,200     2,200     2,200
42 Other eligible assets                        0         0         0
43 U.S. Treasury and agency securities    549,167   552,396   541,993

44 Total collateral                       562,413   565,642   555,239

                                            End of month

              Account                           2001

                                          Apr. 30   May 31

                                            Consolidated
                                             condition
                                             statement

              ASSETS

 1 Gold certificate account                11,046    11,046
 2 Special drawing rights certificate
       account                              2,200     2,200
 3 Coin                                     1,129     1,075

   Loans
 4 To depository institutions                  80       154
 5 Other                                        0         0
 6 Acceptances held under repurchase
       agreements                               0         0

   Triparty Obligations
 7 Repurchase agreements--triparty(2)      25,007    30,310

   Federal agency obligations(3)
 8 Bought outright                             10        10
 9 Held under repurchase agreements             0         0

10 Total U.S. Treasury securities(3)      525,911   527,562

11 Bought outright(4)                     525,911   527,562
12   Bill                                 180,787   177,911
13   Notes                                247,965   251,415
14   Bonds                                 97,159    98,236
15 Held under repurchase agreements             0         0

16 Total loans and securities             551,008   558,035

17 Items in process of collection           2,569     7,670
18 Bank premises                            1,497     1,504

   Other assets
19 Denominated in foreign currencies(5)    14,766    14,759
20 All other(6)                            20,602    18,441

21 Total assets                           604,818   614,730

           LIABILITIES

22 Federal Reserve notes                  557,418   564,934
23 Reverse repurchase agreements--
       triparty(2)                              0         0

24 Total deposits                          26,571    24,040

25 Depository institutions                 18,172    19,238
26 U.S. Treasury--General account           7,894     4,396
27 Foreign--Official accounts                 102        85
28 Other                                      403       321

29 Deferred credit items                    2,596     7,910
30 Other liabilities and accrued
       dividends(7)                         3,520     3,467

31 Total liabilities                      590,105   600,351

          CAPITAL ACCOUNTS

32 Capital paid in                          7,043     7,070
33 Surplus                                  6,371     6,557
34 Other capital accounts                   1,299       751

35 Total liabilities and capital
       accounts                           604,818   614,730

   MEMO
36 Marketable U.S. Treasury securities
       held in custody for foreign and
       international accounts              n.a.      n.a.

                                           Federal Reserve
                                           note statement

37 Federal Reserve notes outstanding
       (issued to Banks)                  739,839   736,954
38   LESS: Held by Federal Reserve
       Banks                              182,421   172,020
39   Federal Reserve notes, net           557,418   564,934

   Collateral held against notes, net
40 Gold certificate account                11,046    11,046
41 Special drawing rights certificate
       account                              2,200     2,200
42 Other eligible assets                        0         0
43 U.S. Treasury and agency securities    544,172   551,689

44 Total collateral                       557,418   564,934

1. Some of the data in this table also appear in the Board's H.4.1
(503) weekly statistical release. For ordering address, see inside
front cover.

2. Cash value of agreements arranged through third-party custodial
banks.

3. Face value of the securities.

4. Includes securities loaned--fully guaranteed by U.S. Treasury
securities pledged with Federal Reserve Banks--and includes
compensation that adjusts for the effects of inflation on the principal
of inflation-indexed securities. Excludes securities sold and scheduled
to be bought back under matched sale-purchase transactions.

5. Valued monthly at market exchange rates.

6. Includes special investment account at the Federal Reserve Bank of
Chicago in Treasury bills maturing within ninety days.

7. Includes exchange-translation account reflecting the monthly
revaluation at market exchange rates of foreign exchange commitments.
1.19 FEDERAL RESERVE BANKS Maturity Distribution
of Loan and Security Holding

Millions of dollars

                                                 Wednesday

   Type of holding and maturity                     2001

                                   May 2     May 9    May 16    May 23

1  Total loans                         63        95       109        85
2  Within fifteen days(2)              15        27        50        81
3  Sixteen days to ninety days         48        69        59         4
4  91 days to 1 year                    0         0         0         0

5  Total U.S. Treasury
     securities(3)                526,643   526,442   528,380   525,608

6  Within fifteen days(2)          21,550    21,156    19,176    19,531
7  Sixteen days to ninety days    116,637   116,387   112,824   111,343
8  Ninety-one days to one year    122,016   121,476   123,384   120,829
9  One year to five years         135,551   135,551   140,735   141,640
10 Five years to ten years         56,338    56,340    57,502    57,505
11 More than ten years             74,552    75,531    74,759    74,760

12 Total federal agency
     obligations                       10        10        10        10

13 Within fifteen days(2)               0         0         0         0
14 Sixteen days to ninety days          0         0         0         0
15 Ninety-one days to one year          0         0         0         0
16 One year to five years              10        10        10        10
17 Five years to ten years              0         0         0         0
18 More than ten years                  0         0         0         0

                                   Wed-
                                  nesday         End of month(1)

   Type of holding and maturity    2001                2001

                                  May 30    Mar. 31   Apr. 30   May 31

1  Total loans                         91        22        80       154
2  Within fifteen days(2)              86        22        72       132
3  Sixteen days to ninety days          5         0         8        21
4  91 days to 1 year                    0         0         0         0

5  Total U.S. Treasury
     securities(3)                529,372   523,861   525,912   527,562

6  Within fifteen days(2)          18,608     9,959    18,127     4,645
7  Sixteen days to ninety days    116,467   126,988   113,525   115,568
8  Ninety-one days to one year    120,387   122,234   127,821   135,422
9  One year to five years         141,641   136,157   135,551   139,658
10 Five years to ten years         57,507    54,923    56,337    57,508
11 More than ten years             74,762    73,600    74,551    74,762

12 Total federal agency
     obligations                       10        10        10        10

13 Within fifteen days(2)               0         0         0         0
14 Sixteen days to ninety days          0         0         0         0
15 Ninety-one days to one year          0         0         0         0
16 One year to five years              10        10        10        10
17 Five years to ten years              0         0         0         0
18 More than ten years                  0         0         0         0

(1.) Denotes last calendar day of the month, but data reflect
last Wednesday of the month.

(2.) Holdings under repurchase agreements are classified as
maturing within fifteen days in accordance with maximum
maturity of the agreements.

(3.) Includes compensation that adjusts for the effects of
inflation on the principal of inflation-indexed securities.
1.20 AGGREGATE RESERVES OF DEPOSITORY INSTITUTIONS AND MONETARY BASE(1)

Billions of dollars, averages of daily figures

                                1997     1998     1999
            Item                Dec.     Dec.     Dec.

                                  Seasonally adjusted

        ADJUSTED FOR
     CHANGES IN RESERVE
       REQUIREMENTS(2)

 1 Total reserves(3)            46.85    45.18    41.78
 2 Nonborrowed reserves(4)      46.52    45.07    41.46
 3 Nonborrowed reserves plus
     extended credit(5)         46.52    45.07    41.46
 4 Required reserves            45.16    43.67    40.48
 5 Monetary base(6)            479.47   513.49   593.09

                                Not seasonally adjusted

 6 Total reserves(7)            48.01    45.31    41.89
 7 Nonborrowed reserves         47.69    45.19    41.57
 8 Nonborrowed reserves plus
     extended credit(5)         47.69    45.19    41.57
 9 Required reserves(8)         46.33    43.80    40.59
10 Monetary base(9)            484.98   518.27   600.72

      NOT ADJUSTED FOR
     CHANGES IN RESERVE
      REQUIREMENTS(10)

11 Total reserves(11)           47.92    45.21    41.65
12 Nonborrowed reserves         47.60    45.09    41.33
13 Nonborrowed reserves plus
     extended credit(5)         47.60    45.09    41.33
14 Required reserves            46.24    43.70    40.36
15 Monetary base(12)           491.79   525.06   608.02
16 Excess reserves(13)           1.69     1.51     1.30
17 Borrowings from the
     Federal Reserve              .32      .12      .32

                                               2000

                                 2000
            Item                 Dec.

                                            Oct.     Nov.

                                   Seasonally adjusted

        ADJUSTED FOR
     CHANGES IN RESERVE
      REQUIREMENTS(2)

 1 Total reserves(3)            38.51       39.02    39.02
 2 Nonborrowed reserves(4)      38.30       38.60    38.74
 3 Nonborrowed reserves plus
     extended credit(5)         38.30       38.60    38.74
 4 Required reserves            37.18       37.87    37.82
 5 Monetary base(6)            583.96(r)   579.70   581.40

                                 Not seasonally adjusted

 6 Total reserves(7)            38.60       38.84    38.85
 7 Nonborrowed reserves         38.39       38.42    38.56
 8 Nonborrowed reserves plus
     extended credit(5)         38.39       38.42    38.56
 9 Required reserves(8)         37.27       37.69    37.65
10 Monetary base(9)            590.20      578.29   582.36

      NOT ADJUSTED FOR
     CHANGES IN RESERVE
      REQUIREMENTS(10)

11 Total reserves(11)           38.54       38.78    38.79
12 Nonborrowed reserves         38.33       38.36    38.50
13 Nonborrowed reserves plus
     extended credit(5)         38.33       38.36    38.50
14 Required reserves            37.22       37.63    37.58
15 Monetary base(12)           597.12      585.01   589.12
16 Excess reserves(13)           1.33        1.15     1.20
17 Borrowings from the
     Federal Reserve              .21         .42      .28

                                 2000             2001

            Item                 Dec.        Jan.        Feb.

                                    Seasonally adjusted

        ADJUSTED FOR
     CHANGES IN RESERVE
      REQUIREMENTS(2)

 1 Total reserves(3)            38.51       38.83       38.87
 2 Nonborrowed reserves(4)      38.30       38.75       38.82
 3 Nonborrowed reserves plus
     extended credit(5)         38.30       38.75       38.82
 4 Required reserves            37.18       37.57       37.43
 5 Monetary base(6)            583.96(r)   589.39(r)   591.12(r)

                                   Not seasonally adjusted

 6 Total reserves(7)            38.60       39.78       39.38
 7 Nonborrowed reserves         38.39       39.70       39.33
 8 Nonborrowed reserves plus
     extended credit(5)         38.39       39.70       39.33
 9 Required reserves(8)         37.27       38.52       37.95
10 Monetary base(9)            590.20      591.50      589.04

      NOT ADJUSTED FOR
     CHANGES IN RESERVE
      REQUIREMENTS(10)

11 Total reserves(11)           38.54       39.79       39.35
12 Nonborrowed reserves         38.33       39.72       39.30
13 Nonborrowed reserves plus
     extended credit(5)         38.33       39.72       39.30
14 Required reserves            37.22       38.54       37.92
15 Monetary base(12)           597.12      598.38      595.59
16 Excess reserves(13)           1.33        1.25        1.43
17 Borrowings from the
     Federal Reserve              .21         .07         .05

                                             2001

            Item                Mar.        Apr.         May

                                     Seasonally adjusted

        ADJUSTED FOR
     CHANGES IN RESERVE
      REQUIREMENTS(2)

 1 Total reserves(3)            38.26       38.79       38.89
 2 Nonborrowed reserves(4)      38.20       38.74       38.68
 3 Nonborrowed reserves plus
     extended credit(5)         38.20       38.74       38.68
 4 Required reserves            36.87       37.51       37.87
 5 Monetary base(6)            592.42(r)   595.92(r)   599.03

                                   Not seasonally adjusted

 6 Total reserves(7)            37.76       38.66       39.47
 7 Nonborrowed reserves         37.71       38.61       39.25
 8 Nonborrowed reserves plus
     extended credit(5)         37.71       38.61       39.25
 9 Required reserves(8)         36.38       37.38       38.44
10 Monetary base(9)            591.36      594.92(r)   598.54

      NOT ADJUSTED FOR
     CHANGES IN RESERVE
      REQUIREMENTS(10)

11 Total reserves(11)           37.72       38.59(r)    39.39
12 Nonborrowed reserves         37.66       38.54       39.17
13 Nonborrowed reserves plus
     extended credit(5)         37.66       38.54       39.17
14 Required reserves            36.33       37.31(r)    38.36
15 Monetary base(12)           598.20      601.84(r)   605.45
16 Excess reserves(13)           1.39        1.28        1.02
17 Borrowings from the
     Federal Reserve              .06         .05         .21

(1.) Latest monthly and biweekly figures are available from the Board's
H.3 (502) weekly statistical release. Historical data starting in 1959
and estimates of the effect on required reserves of changes in reserve
requirements are available from the Money and Reserves Projections
Section, Division of Monetary Affairs, Board of Governors of the
Federal Reserve System, Washington, DC 20551.

(2.) Figures reflect adjustments for discontinuities, or "breaks,"
associated with regulatory changes in reserve requirements. (See also
table 1.10.)

(3.) Seasonally adjusted, break-adjusted total reserves equal
seasonally adjusted, break-adjusted required reserves (line 4) plus
excess reserves (line 16).

(4.) Seasonally adjusted, break-adjusted nonborrowed reserves equal
seasonally adjusted, break-adjusted total reserves (line 1) less total
borrowings of depository institutions from the Federal Reserve
(line 17).

(5.) Extended credit consists of borrowing at the discount window under
the terms and conditions established for the extended credit program to
help depository institutions deal with sustained liquidity pressures.
Because there is not the same need to repay such borrowing promptly as
with traditional short-term adjustment credit, the money market effect
of extended credit is similar to that of nonborrowed reserves.

(6.) The seasonally adjusted, break-adjusted monetary base consists of
(1) seasonally adjusted, break-adjusted total reserves (line 1), plus
(2) the seasonally adjusted currency component of the money stock, plus
(3) (for all quarterly reporters on the "Report of Transaction
Accounts, Other Deposits and Vault Cash" and for all those weekly
reporters whose vault cash exceeds their required reserves) the
seasonally adjusted, break-adjusted difference between current vault
cash and the amount applied to satisfy current reserve requirements.

(7.) Break-adjusted total reserves equal break-adjusted required
reserves (line 9) plus excess reserves (line 16).

(8.) To adjust required reserves for discontinuities that are due to
regulatory changes in reserve requirements, a multiplicative procedure
is used to estimate what required reserves would have been in past
periods had current reserve requirements been in effect. Break-adjusted
required reserves include required reserves against transactions
deposits and nonpersonal time and savings deposits (but not reservable
nondeposit liabilities).

(9.) The break-adjusted monetary base equals (1) break-adjusted total
reserves (line 6), plus (2) the (unadjusted) currency component of the
money stock, plus (3) (for all quarterly reporters on the "Report of
Transaction Accounts, Other Deposits and Vault Cash" and for all those
weekly reporters whose vault cash exceeds their required reserves) the
break-adjusted difference between current vault cash and the amount
applied to satisfy current reserve requirements.

(10.) Reflects actual reserve requirements, including those on
nondeposit liabilities, with no adjustments to eliminate the effects of
discontinuities associated with regulatory changes in reserve
requirements.

(11.) Reserve balances with Federal Reserve Banks plus vault cash used
to satisfy reserve requirements.

(12.) The monetary base, not break-adjusted and not seasonally
adjusted, consists of (1) total reserves (line 11), plus (2) required
clearing balances and adjustments to compensate for float at Federal
Reserve Banks, plus (3) the currency component of the money stock, plus
(4) (for all quarterly reporters on the "Report of Transaction
Accounts, Other Deposits and Vault Cash" and for all those weekly
reporters whose vault cash exceeds their required reserves) the
difference between current vault cash and the amount applied to satisfy
current reserve requirements. Since February 1984, currency and vault
cash figures have been measured over the computation periods ending on
Mondays.

(13.) Unadjusted total reserves (line 11) less unadjusted required
reserves (line 14).
1.21 MONEY STOCK AND DEBT MEASURES(1)

Billions of dollars, averages of daily figures

                                    1997          1998       1999(r)
         Item                       Dec.          Dec.         Dec.

                                            Seasonally adjusted

   Measures(2)
 1 M1                             1,073.4       1,097.0       1,124.8
 2 M2                             4,031.9(r)    4,385.9(r)    4,653.3
 3 M3                             5,430.8(r)    6,030.8(r)    6,530.6
 4 Debt                          15,223.2(r)   16,246.1(r)   17,315.1

   M1 components
 5 Currency(3)                      424.3         459.2         516.7
 6 Travelers checks(4)                8.1           8.2           8.2
 7 Demand deposits(5)               395.4         379.4         356.1
 8 Other checkable deposits(6)      245.7         250.1         243.7

   Nontransaction components
 9 In M2(7)                       2,958.5(r)    3,288.9(r)    3,528.5
10 In M3 only(8)                  1,399.0(r)    1,645.0(r)    1,877.3

   Commercial banks
11 Savings deposits, including
     MMDAs                        1,021.1       1,185.8       1,287.0
12 Small time deposits(9)           625.5         626.4         635.2
13 Large time deposits(10, 11)      517.4(r)      575.2(r)      648.3

   Thrift institutions
14 Savings deposits, including
     MMDAs                          376.8         414.1         449.3
15 Small time deposits(9)           342.9         325.8         320.9
16 Large time deposits(10)           85.5          88.7          91.3

   Money market mutual funds
17 Retail                           592.1(r)      736.8(r)      836.2
18 Institution-only                 391.8(r)      531.8(r)      623.5

   Repurchase agreements
     and eurodollars
19 Repurchase agreements(12)        254.3         297.5         340.8
20 Eurodollars(12)                  150.0         151.8         173.3

   Debt components
21 Federal debt                   3,800.6       3,751.2       3,660.3
22 Nonfederal debt               11,422.6(r)   12,494.9(r)   13,654.9

                                       Not seasonally adjusted

   Measures(2)
23 M1                             1,096.9       1,120.4       1,148.3
24 M2                             4,053.2(r)    4,408.2(r)    4,677.3
25 M3                             5,456.2(r)    6,062.9(r)    6,568.1
26 Debt                          15,218.9(r)   16,241.4(r)   17,310.5

   M1 components
27 Currency(3)                      428.1         463.3         521.5
28 Travelers checks(4)                8.3           8.4           8.4
29 Demand deposits(5)               412.4         395.9         371.7
30 Other checkable deposits(6)      248.2         252.8         246.6

   Nontransaction components
31 In M2(7)                       2,956.3(r)    3,287.8(r)    3,529.1
32 In M3 only(8)                  1,403.0(r)    1,654.8(r)    1,890.7

   Commercial banks
33 Savings deposits, including
     MMDAs                        1,020.4       1,186.0       1,288.5
34 Small time deposits(9)           625.3         626.5         635.4
35 Large time deposits(10, 11)      516.8(r)      574.5(r)      647.7

   Thrift institutions
36 Savings deposits, including
     MMDAs                          376.5         414.2         449.8
37 Small time deposits(9)           342.8         325.8         321.0
38 Large time deposits(10)           85.4          88.6          91.2

   Money market mutual funds
39 Retail                           591.3(r)      735.2(r)      834.3
40 Institution-only                 398.9(r)      543.7(r)      638.4

   Repurchase agreements
     and eurodollars
41 Repurchase agreements(12)        249.5         293.4         337.4
42 Eurodollars(12)                  152.3         154.5         176.0

   Debt components
43 Federal debt                   3,805.8       3,754.9       3,663.2
44 Nonfederal debt               11,413.1(r)   12,486.5(r)   13,647.3

                                                   2001

                                 2000(r)
         Item                      Dec.

                                             Feb.(r)    Mar.(r)

                                       Seasonally adjusted

   Measures(2)
 1 M1                             1,088.2    1,100.4    1,113.1
 2 M2                             4,945.2    5,040.6    5,101.1
 3 M3                             7,100.4    7,252.7    7,310.2
 4 Debt                          18,222.1   18,347.9   18,440.4

   M1 components
 5 Currency(3)                      529.9      537.7      539.8
 6 Travelers checks(4)                8.0        8.0        7.9
 7 Demand deposits(5)               311.3      313.4      316.5
 8 Other checkable deposits(6)      239.0      241.4      248.9

   Nontransaction components
 9 In M2(7)                       3,857.0    3,940.2    3,988.0
10 In M3 only(8)                  2,155.1    2,212.0    2,209.2

   Commercial banks
11 Savings deposits, including
     MMDAs                        1,421.7    1,467.6    1,491.7
12 Small time deposits(9)           699.7      700.0      695.9
13 Large time deposits(10, 11)      726.5      704.9      677.4

   Thrift institutions
14 Savings deposits, including
     MMDAs                          451.9      462.0      471.1
15 Small time deposits(9)           346.6      350.6      349.6
16 Large time deposits(10)          103.2      106.6      106.8

   Money market mutual funds
17 Retail                           937.2      960.1      979.8
18 Institution-only                 768.3      858.9      888.0

   Repurchase agreements
     and eurodollars
19 Repurchase agreements(12)        360.2      346.0      339.0
20 Eurodollars(12)                  197.1      195.6      198.0

   Debt components
21 Federal debt                   3,400.5    3,372.1    3,375.4
22 Nonfederal debt               14,821.6   14,975.9   15,065.0

                                      Not seasonally adjusted

   Measures(2)
23 M1                             1,112.4    1,087.8    1,107.8
24 M2                             4,973.8    5,039.4    5,135.6
25 M3                             7,145.5    7,287.5    7,372.4
26 Debt                          18,214.7   18,343.3   18,439.4

   M1 components
27 Currency(3)                      535.2      536.2      539.8
28 Travelers checks(4)                8.1        8.2        8.0
29 Demand deposits(5)               326.6      304.3      311.4
30 Other checkable deposits(6)      242.5      239.2      248.6

   Nontransaction components
31 In M2(7)                       3,861.4    3,951.6    4,027.8
32 In M3 only(8)                  2,171.6    2,248.1    2,236.8

   Commercial banks
33 Savings deposits, including
     MMDAs                        1,426.4    1,459.3    1,498.5
34 Small time deposits(9)           699.9      702.3      697.7
35 Large time deposits(10, 11)      725.8      705.3      682.8

   Thrift institutions
36 Savings deposits, including
     MMDAs                          453.4      459.4      473.2
37 Small time deposits(9)           346.8      351.7      350.5
38 Large time deposits(10)          103.1      106.7      107.6

   Money market mutual funds
39 Retail                           935.0      978.8    1,007.9
40 Institution-only                 786.2      888.9      905.6

   Repurchase agreements
     and eurodollars
41 Repurchase agreements(12)        357.1      350.5      341.7
42 Eurodollars(12)                  199.5      196.7      199.0

   Debt components                3,403.5    3,368.7    3,392.5
43 Federal debt
44 Nonfederal debt               14,811.2   14,974.6   15,046.8

                                        2001

         Item                    Apr.(r)      May

                                 Seasonally adjusted

   Measures(2)
 1 M1                             1,118.0   1,117.4
 2 M2                             5,145.1   5,167.0
 3 M3                             7,417.7   7,500.2
 4 Debt                          18,492.4     n.a.

   M1 components
 5 Currency(3)                      542.6     546.1
 6 Travelers checks(4)                7.8       8.0
 7 Demand deposits(5)               313.0     312.3
 8 Other checkable deposits(6)      254.8     251.1

   Nontransaction components
 9 In M2(7)                       4,027.1   4,049.6
10 In M3 only(8)                  2,272.6   2,333.2

   Commercial banks
11 Savings deposits, including
     MMDAs                        1,517.0   1,539.7
12 Small time deposits(9)           690.5     685.2
13 Large time deposits(10, 11)      697.5     702.6

   Thrift institutions
14 Savings deposits, including
     MMDAs                          475.1     487.9
15 Small time deposits(9)           349.9     351.9
16 Large time deposits(10)          108.6     110.4

   Money market mutual funds
17 Retail                           994.6     984.8
18 Institution-only                 919.4     970.9

   Repurchase agreements
     and eurodollars
19 Repurchase agreements(12)        359.2     360.2
20 Eurodollars(12)                  187.8     189.1

   Debt components
21 Federal debt                   3,344.7     n.a.
22 Nonfederal debt               15,147.7     n.a.

                                   Not seasonally
                                      adjusted

   Measures(2)
23 M1                             1,123.2   1,111.4
24 M2                             5,209.1   5,143.0
25 M3                             7,480.4   7,475.8
26 Debt                          18,464.5     n.a.

   M1 components
27 Currency(3)                      543.0     546.1
28 Travelers checks(4)                7.9       8.0
29 Demand deposits(5)               313.0     307.2
30 Other checkable deposits(6)      259.3     250.1

   Nontransaction components
31 In M2(7)                       4,085.9   4,031.5
32 In M3 only(8)                  2,271.3   2,332.8

   Commercial banks
33 Savings deposits, including
     MMDAs                        1,542.1   1,535.3
34 Small time deposits(9)           691.1     682.9
35 Large time deposits(10, 11)      702.4     708.4

   Thrift institutions
36 Savings deposits, including
     MMDAs                          482.9     486.5
37 Small time deposits(9)           350.2     350.7
38 Large time deposits(10)          109.4     111.3

   Money market mutual funds
39 Retail                         1,019.6     976.0
40 Institution-only                 915.3     957.1


   Repurchase agreements
     and eurodollars
41 Repurchase agreements(12)        355.9     365.1
42 Eurodollars(12)                  188.4     190.9

   Debt components                3,341.0     n.a.
43 Federal debt
44 Nonfederal debt               15,123.4     n.a.

(1.) Latest monthly and weekly figures are available from the Board's
H.6 (508) weekly statistical release. Historical data starting in 1959
are available from the Money and Reserves Projections Section, Division
of Monetary Affairs, Board of Governors of the Federal Reserve System,
Washington, DC 20551.

(2.) Composition of the money stock measures and debt is as follows:

M1: (1) currency outside the U.S. Treasury, Federal Reserve Banks, and
the vaults of depository institutions; (2) travelers checks of nonbank
issuers; (3) demand deposits at all commercial banks other than those
owed to depository institutions, the U.S. government, and foreign banks
and official institutions, less cash items in the process of collection
and Federal Reserve float; and (4) other checkable deposits (OCDs),
consisting of negotiable order of withdrawal (NOW) and automatic
transfer service (ATS) accounts at depository institutions, credit
union share draft accounts, and demand deposits at thrift institutions.
Seasonally adjusted M1 is computed by summing currency, travelers
checks, demand deposits, and OCDs, each seasonally adjusted separately.

M2: M1 plus (1) savings deposits (including MMDAs), (2)
small-denomination time deposits (time deposits--including retail
RPs--in amounts of less than $100,000), and (3) balances in retail
money market mutual funds. Excludes individual retirement accounts
(IRAs) and Keogh balances at depository institutions and money market
funds. Seasonally adjusted M2 is calculated by summing savings
deposits, small-denomination time deposits, and retail money fund
balances, each seasonally adjusted separately, and adding this result
to seasonally adjusted M1.

M3: M2 plus (1) large-denomination time deposits (in amounts of
$100,000 or more) issued by all depository institutions, (2) balances
in institutional money funds, (3) RP liabilities (overnight and term)
issued by all depository institutions, and (4) eurodollars (overnight
and term) held by U.S. residents at foreign branches of U.S. banks
worldwide and at all banking offices in the United Kingdom and Canada.
Excludes amounts held by depository institutions, the U.S. government,
money market funds, and foreign banks and official institutions.
Seasonally adjusted M3 is calculated by summing large time deposits,
institutional money fund balances, RP liabilities, and eurodollars,
each seasonally adjusted separately, and adding this result to
seasonally adjusted M2.

Debt: The debt aggregate is the outstanding credit market debt of the
domestic nonfinancial sectors--the federal sector (U.S. government, not
including government-sponsored enterprises or federally related
mortgage pools) and the nonfederal sectors (state and local
governments, households and nonprofit organizations, nonfinancial
corporate and nonfarm noncorporate businesses, and farms). Nonfederal
debt consists of mortgages, tax-exempt and corporate bonds, consumer
credit, bank loans, commercial paper, and other loans. The data, which
are derived from the Federal Reserve Board's flow of funds accounts,
are break-adjusted (that is, discontinuities in the data have been
smoothed into the series) and month-averaged (that is, the data have
been derived by averaging adjacent month-end levels).

(3.) Currency outside the U.S. Treasury, Federal Reserve Banks, and
vaults of depository institutions.

(4.) Outstanding amount of U.S. dollar-denominated travelers checks of
nonbank issuers. Travelers checks issued by depository institutions are
included in demand deposits.

(5.) Demand deposits at commercial banks and foreign-related
institutions other than those owed to depository institutions, the U.S.
government, and foreign banks and official institutions, less cash

items in the process of collection and Federal Reserve float.

(6.) Consists of NOW and ATS account balances at all depository
institutions, credit union share draft account balances, and demand
deposits at thrift institutions.

(7.) Sum of (1) savings deposits (including MMDAs), (2) small time
deposits, and (3) retail money fund balances.

(8.) Sum of (1) large time deposits, (2) institutional money fund
balances, (3) RP liabilities (overnight and term) issued by
depository institutions, and (4) eurodollars (overnight and term) of
U.S. addressees.

(9.) Small time deposits--including retail RPs--are those issued in
amounts of less than $100,000. All IRAs and Keogh accounts at
commercial banks and thrift institutions are subtracted from small time
deposits.

(10.) Large time deposits are those issued in amounts of $100,000 or
more, excluding those booked at international banking facilities.

(11.) Large time deposits at commercial banks less those held by money
market funds, depository institutions, the U.S. government, and foreign
banks and official institutions.

(12.) Includes both overnight and term.
1.26 COMMERCIAL BANKS IN THE UNITED STATES Assets and Liabilities(1)

A. All commercial banks

Billions of dollars

                                            Monthly averages

                                     2000             2000(r)

              Account                 May         Nov.      Dec.

                                          Seasonally adjusted

   Assets
 1 Bank credit                      5,005.8      5,166.5   5,216.3
 2   Securities in bank credit      1,311.1(r)   1,311.4   1,335.4
 3     U.S. government securities     819.0        785.9     788.7
 4     Other securities               492.1(r)     525.4     546.7
 5   Loans and leases in bank
           credit(2)                3,694.7(r)   3,855.2   3,880.9
 6     Commercial and industrial    1,059.0      1,084.6   1,090.3
 7     Real estate                  1,577.0      1,649.8   1,655.5
 8       Revolving home equity        114.2        128.1     131.2
 9       Other                      1,462.7      1,521.7   1,524.3
10     Consumer                       511.1(r)     537.2     542.3
11     Security(3)                    148.7        165.0     168.7
12     Other loans and leases         398.9        418.6     424.2
13 Interbank loans                    227.8        245.9     252.2
14 Cash assets(4)                     273.7        256.1     267.2
15 Other assets(5)                    378.9        402.7     397.1

16 Total assets(6)                  5,826.3      6,008.5   6,068.9

   Liabilities
17 Deposits                         3,630.8(r)   3,781.1   3,847.6
18   Transaction                      629.8        601.2     601.9
19   Nontransaction                 3,001.0(r)   3,179.8   3,245.7
20     Large time                     877.6        917.4     934.7
21     Other                        2,123.5(r)   2,262.5   2,311.0
22 Borrowings                       1,204.6      1,202.9   1,242.4
23   From banks in the U.S.           382.0        368.7     396.7
24   From others                      822.6        834.2     845.7
25 Net due to related foreign
           offices                    254.8        244.3     225.8
26 Other liabilities                  313.5        347.2     345.4

27 Total liabilities                5,403.7(r)   5,575.4   5,661.3

28 Residual (assets less
           liabilities)(7)            422.5(r)     433.1     407.6

                                        Not seasonally adjusted

   Assets
29 Bank credit                      4,998.0      5,185.7   5,252.7
30   Securities in bank credit      1,311.0(r)   1,315.4   1,341.0
31     U.S. government securities     820.3        787.0     788.5
32     Other securities               490.6(r)     528.4     552.5
33   Loans and leases in bank
           credit(2)                3,687.1(r)   3,870.3   3,911.7
34     Commercial and industrial    1,061.5      1,085.7   1,092.5
35     Real estate                  1,577.2      1,655.3   1,660.1
36       Revolving home equity        114.2        128.8     131.3
37       Other                      1,463.0      1,526.5   1,528.8
38     Consumer                       510.0(r)     537.6     548.2
39       Credit cards and related    n.a.          209.3     218.2
           plans
40       Other                       n.a.          328.2     329.9
41     Security(3)                    143.3        171.0     180.8
42     Other loans and leases         395.0        420.7     430.2
43 Interbank loans                    226.7        252.6     260.9
44 Cash assets(4)                     271.8        263.1     286.5
45 Other assets(5)                    379.0        402.4     403.3

46 Total assets(6)                  5,815.5      6,041.0   6,139.5

   Liabilities
47 Deposits                         3,619.1(r)   3,803.1   3,894.2
48   Transaction                      619.9        607.4     631.1
49     Nontransaction               2,999.2(r)   3,195.6   3,263.0
50       Large time                   876.5        924.8     948.6
51       Other                      2,122.7(r)   2,270.9   2,314.4
52 Borrowings                       1,211.2      1,211.3   1,245.3
53   From banks in the U.S.           385.7        369.5     398.6
54   From others                      825.5        841.8     846.7
55 Net due to related foreign
           offices                    254.6        246.6     230.6
56 Other liabilities                  314.3        349.1     347.9

57 Total liabilities                5,399.2(r)   5,610.1   5,718.0

58 Residual (assets less
           liabilities)(7)            416.3(r)     430.9     421.5

                                          Monthly averages

                                               2001

              Account               Jan.(r)   Feb.(r)   Mar.(r)

                                        Seasonally adjusted

   Assets
 1 Bank credit                      5,265.0   5,275.9   5,287.2
 2   Securities in bank credit      1,356.4   1,350.8   1,345.3
 3     U.S. government securities     786.2     777.5     758.5
 4     Other securities               570.2     573.3     586.8
 5   Loans and leases in bank
           credit(2)                3,908.6   3,925.1   3,941.9
 6     Commercial and industrial    1,103.9   1,110.1   1,109.6
 7     Real estate                  1,657.8   1,668.5   1,676.5
 8       Revolving home equity        133.6     135.3     137.2
 9       Other                      1,524.2   1,533.2   1,539.3
10     Consumer                       547.0     546.5     544.9
11     Security(3)                    169.9     168.2     173.5
12     Other loans and leases         429.9     431.8     437.5
13 Interbank loans                    270.4     267.2     276.1
14 Cash assets(4)                     273.3     265.5     268.4
15 Other assets(5)                    412.2     414.2     430.4

16 Total assets(6)                  6,156.2   6,157.7   6,197.3

   Liabilities
17 Deposits                         3,892.0   3,890.6   3,925.0
18   Transaction                      608.2     607.7     606.9
19   Nontransaction                 3,283.8   3,282.9   3,318.2
20     Large time                     941.7     936.9     934.9
21     Other                        2,342.1   2,346.0   2,383.2
22 Borrowings                       1,264.2   1,259.3   1,243.5
23   From banks in the U.S.           397.3     396.2     395.4
24   From others                      867.0     863.1     848.1
25 Net due to related foreign
           offices                    221.2     219.4     233.2
26 Other liabilities                  364.8     343.2     355.1

27 Total liabilities                5,742.3   5,712.4   5,756.8

28 Residual (assets less
           liabilities)(7)            413.9     445.4     440.5

                                      Not seasonally adjusted

   Assets
29 Bank credit                      5,279.9   5,270.9   5,274.5
30   Securities in bank credit      1,361.6   1,352.5   1,349.4
31     U.S. government securities     788.4     779.2     764.4
32     Other securities               573.2     573.3     585.0
33   Loans and leases in bank
           credit(2)                3,918.2   3,918.4   3,925.1
34     Commercial and industrial    1,101.1   1,109.5   1,111.1
35     Real estate                  1,656.9   1,661.9   1,669.1
36       Revolving home equity        132.8     134.1     135.5
37       Other                      1,524.1   1,527.8   1,533.5
38     Consumer                       551.4     547.1     541.1
39       Credit cards and related     218.3     213.4     209.1
           plans
40       Other                        333.0     333.8     331.9
41     Security(3)                    177.7     171.0     169.6
42     Other loans and leases         431.1     428.8     434.2
43 Interbank loans                    272.4     269.0     283.5
44 Cash assets(4)                     289.4     266.5     258.5
45 Other assets(5)                    414.0     413.3     429.7

46 Total assets(6)                  6,191.3   6,154.8   6,181.3

   Liabilities
47 Deposits                         3,906.8   3,907.5   3,935.4
48   Transaction                      620.0     599.5     600.9
49     Nontransaction               3,286.9   3,308.0   3,334.5
50       Large time                   954.8     948.5     938.1
51       Other                      2,332.1   2,359.5   2,396.4
52 Borrowings                       1,281.5   1,262.9   1,241.9
53   From banks in the U.S.           403.5     400.6     399.0
54   From others                      878.0     862.3     842.9
55 Net due to related foreign
           offices                    225.4     225.5     232.2
56 Other liabilities                  367.2     347.2     353.8

57 Total liabilities                5,780.9   5,743.0   5,763.3

58 Residual (assets less
           liabilities)(7)            410.4     411.8     418.0

                                                        Wednesday
                                                         figures

                                           2001           2001

              Account               Apr.(r)     May       May 9

                                         Seasonally adjusted

   Assets
 1 Bank credit                      5,309.1   5,318.0    5,320.4
 2   Securities in bank credit      1,360.8   1,369.2    1,367.0
 3     U.S. government securities     766.6     769.3      764.6
 4     Other securities               594.2     599.9      602.4
 5   Loans and leases in bank
           credit(2)                3,948.3   3,948.8    3,953.4
 6     Commercial and industrial    1,106.2   1,103.2    1,106.6
 7     Real estate                  1,683.0   1,693.5    1,697.6
 8       Revolving home equity        138.0     139.3      139.1
 9       Other                      1,545.1   1,554.3    1,558.5
10     Consumer                       549.3     553.0      549.0
11     Security(3)                    174.1     163.0      165.6
12     Other loans and leases         435.7     436.1      434.6
13 Interbank loans                    293.2     287.1      290.8
14 Cash assets(4)                     270.6     263.7      260.2
15 Other assets(5)                    429.8     423.8      430.5

16 Total assets(6)                  6,237.5   6,227.4    6,236.8

   Liabilities
17 Deposits                         3,987.5   4,000.9    3,959.6
18   Transaction                      610.3     613.0      586.1
19   Nontransaction                 3,377.2   3,388.0    3,373.5
20     Large time                     947.8     962.2      937.8
21     Other                        2,429.4   2,425.8    2,435.7
22 Borrowings                       1,278.2   1,247.6    1,264.0
23   From banks in the U.S.           404.8     385.1      384.6
24   From others                      873.4     862.5      879.4
25 Net due to related foreign
           offices                    189.7     207.1      220.3
26 Other liabilities                  348.8     339.0      350.3

27 Total liabilities                5,804.2   5,794.7    5,794.1

28 Residual (assets less
           liabilities)(7)            433.3     432.7      442.7

                                      Not seasonally adjusted

   Assets
29 Bank credit                      5,301.5   5,307.2    5,312.4
30   Securities in bank credit      1,362.4   1,368.4    1,367.1
31     U.S. government securities     771.5     770.2      765.6
32     Other securities               590.9     598.2      601.5
33   Loans and leases in bank
           credit(2)                3,939.1   3,938.8    3,945.3
34     Commercial and industrial    1,110.9   1,105.5    1,111.6
35     Real estate                  1,678.7   1,693.9    1,698.1
36       Revolving home equity        137.0     139.3      139.1
37       Other                      1,541.7   1,554.6    1,559.0
38     Consumer                       546.1     550.8      546.8
39       Credit cards and related     214.2     218.8      215.1
           plans
40       Other                        331.9     332.0      331.7
41     Security(3)                    169.8     157.0      158.7
42     Other loans and leases         433.6     431.7      430.1
43 Interbank loans                    299.3     280.3      285.9
44 Cash assets(4)                     266.4     261.7      249.4
45 Other assets(5)                    429.6     424.0      433.7

46 Total assets(6)                  6,231.9   6,208.1    6,216.1

   Liabilities
47 Deposits                         4,006.7   3,988.9    3,952.2
48   Transaction                      616.5     603.2      569.3
49     Nontransaction               3,390.2   3,385.7    3,382.8
50       Large time                   949.1     960.9      939.3
51       Other                      2,441.1   2,424.8    2,443.6
52 Borrowings                       1,278.9   1,252.7    1,276.3
53   From banks in the U.S.           408.0     388.2      389.8
54   From others                      870.9     864.4      886.5
55 Net due to related foreign
           offices                    182.7     206.3      218.9
56 Other liabilities                  343.9     339.7      349.9

57 Total liabilities                5,812.2   5,787.7    5,797.2

58 Residual (assets less
           liabilities)(7)            419.7     420.5      418.9

                                          Wednesday figures

                                               2001

              Account               May 16    May 23    May 30

                                        Seasonally adjusted

   Assets
 1 Bank credit                      5,314.5   5,308.9   5,329.7
 2   Securities in bank credit      1,369.2   1,367.8   1,372.8
 3     U.S. government securities     766.8     769.0     775.9
 4     Other securities               602.4     598.8     596.9
 5   Loans and leases in bank
           credit(2)                3,945.3   3,941.1   3,956.9
 6     Commercial and industrial    1,101.8   1,103.9   1,101.0
 7     Real estate                  1,692.6   1,688.1   1,696.5
 8       Revolving home equity        139.3     139.7     139.1
 9       Other                      1,553.3   1,548.4   1,557.4
10     Consumer                       553.5     556.1     554.3
11     Security(3)                    160.0     157.0     168.8
12     Other loans and leases         437.4     436.0     436.2
13 Interbank loans                    293.7     283.5     282.2
14 Cash assets(4)                     262.6     256.0     275.2
15 Other assets(5)                    413.4     424.5     425.4

16 Total assets(6)                  6,218.9   6,207.6   6,247.7

   Liabilities
17 Deposits                         4,001.6   4,006.8   4,038.3
18   Transaction                      605.8     624.6     645.5
19   Nontransaction                 3,395.9   3,382.1   3,392.8
20     Large time                     963.1     973.8     979.9
21     Other                        2,432.7   2,408.3   2,412.9
22 Borrowings                       1,239.4   1,238.8   1,246.0
23   From banks in the U.S.           390.7     385.9     380.0
24   From others                      848.7     852.9     866.0
25 Net due to related foreign
           offices                    209.8     197.2     203.5
26 Other liabilities                  335.7     332.8     336.5

27 Total liabilities                5,786.6   5,775.6   5,824.3

28 Residual (assets less
           liabilities)(7)            432.3     432.0     423.4

                                      Not seasonally adjusted

   Assets
29 Bank credit                      5,305.1   5,290.6   5,318.6
30   Securities in bank credit      1,368.1   1,365.5   1,372.0
31     U.S. government securities     768.1     769.3     776.3
32     Other securities               600.0     596.3     595.7
33   Loans and leases in bank
           credit(2)                3,937.0   3,925.1   3,946.6
34     Commercial and industrial    1,104.4   1,104.0   1,101.2
35     Real estate                  1,694.1   1,688.4   1,696.4
36       Revolving home equity        139.4     139.8     139.1
37       Other                      1,554.7   1,548.7   1,557.3
38     Consumer                       551.6     553.9     551.7
39       Credit cards and related     219.0     221.8     220.0
           plans
40       Other                        332.6     332.1     331.7
41     Security(3)                    154.3     149.8     163.5
42     Other loans and leases         432.6     428.8     433.7
43 Interbank loans                    286.9     270.2     277.3
44 Cash assets(4)                     257.1     241.2     297.1
45 Other assets(5)                    415.5     420.6     424.5

46 Total assets(6)                  6,199.3   6,157.2   6,252.6

   Liabilities
47 Deposits                         3,988.5   3,969.6   4,040.5
48   Transaction                      595.0     596.6     656.4
49     Nontransaction               3,393.5   3,373.0   3,384.0
50       Large time                   960.4     971.6     977.2
51       Other                      2,433.1   2,401.4   2,406.8
52 Borrowings                       1,246.3   1,234.6   1,249.3
53   From banks in the U.S.           394.3     386.2     382.6
54   From others                      852.0     848.4     866.7
55 Net due to related foreign
           offices                    207.9     196.8     203.7
56 Other liabilities                  335.6     334.2     338.5

57 Total liabilities                5,778.3   5,735.2   5,832.0

58 Residual (assets less
           liabilities)(7)            421.0     422.0     420.6
B. Domestically chartered commercial banks

Billions of dollars

                                          Monthly averages

                                  2000               2000

             Account               May         Nov.         Dec.

                                         Seasonally adjusted

   Assets
 1 Bank credit                   4,421.0      4,578.4(r)   4,616.9
 2   Securities in bank credit   1,098.7(r)   1,115.8      1,130.3
 3     U.S. government
           securities              738.6        717.9        719.5
 4     Other securities            360.1(r)     398.0        410.8
 5   Loans and leases in bank
           credit(2)             3,322.3(r)   3,462.6(r)   3,486.6(r)
 6     Commercial and
           industrial              853.7        878.5(r)     881.3(r)
 7     Real estate               1,559.2      1,631.3(r)   1,637.0(r)
 8       Revolving home equity     114.2        128.1(r)     131.2(r)
 9       Other                   1,445.0      1,503.1(r)   1,505.7(r)
10     Consumer                    511.1(r)     537.2(r)     542.3(r)
11     Security(3)                  67.2         64.6(r)      68.6(r)
12     Other loans and leases      331.1        350.9(r)     357.5(r)
13 Interbank loans                 197.3        219.0(r)     225.1(r)
14 Cash assets(4)                  230.5        217.5        227.3
15 Other assets(5)                 338.4        362.7        360.9

16 Total assets(6)               5,127.7      5,315.4      5,366.8

   Liabilities
17 Deposits                      3,247.5      3,401.5      3,467.6
18   Transaction                   618.7        590.4        591.3
19   Nontransaction              2,628.8      2,811.1      2,876.3
20     Large time                  507.3        547.2        563.9
21     Other                     2,121.5      2,263.9      2,312.5
22 Borrowings                    1,001.6        979.9      1,002.8
23   From banks in the U.S.        364.0        350.1        374.5
24   From others                   637.6        629.8        628.3
25 Net due to related foreign
           offices                 234.2        237.1        227.6
26 Other liabilities               229.3        271.8        272.8

27 Total liabilities             4,712.5      4,890.2      4,970.8

28 Residual (assets less
           liabilities)(7)         415.2        425.2        396.0(r)

                                       Not seasonally adjusted

   Assets
29 Bank credit                   4,417.4      4,594.9(r)   4,642.5
30   Securities in bank credit   1,098.6(r)   1,119.8      1,135.9
31     U.S. government
           securities              739.9        718.9        719.3
32     Other securities            358.6(r)     400.9        416.6
33   Loans and leases in bank
           credit(2)             3,318.8(r)   3,475.0      3,506.6
34     Commercial and
           industrial              859.0        879.0(r)     881.2(r)
35     Real estate               1,559.4(r)   1,636.8(r)   1,641.6(r)
36       Revolving home equity     114.2        128.8(r)     131.3(r)
37       Other                   1,445.3      1,508.0(r)   1,510.3(r)
38     Consumer                    510.0(r)     537.6(r)     548.2(r)
39       Credit cards and
           related plans          n.a.          209.3(r)     218.2(r)
40       Other                    n.a.          328.2(r)     329.9(r)
41     Security(3)                  62.6         69.1(r)      74.6(r)
42     Other loans and leases      327.8        352.6(r)     361.2(r)
43 Interbank loans                 196.2        225.8        233.9
44 Cash assets(4)                  229.6        222.5        243.8
45 Other assets(5)                 339.1        362.4        365.4

46 Total assets(6)               5,122.8      5,343.2(r)   5,422.1

   Liabilities
47 Deposits                      3,234.6      3,420.8      3,503.5
48   Transaction                   609.2        596.4        619.8
49   Nontransaction              2,625.4      2,824.4      2,883.7
50     Large time                  504.7        552.1        567.7
51     Other                     2,120.7      2,272.3      2,315.9
52 Borrowings                    1,008.1        988.3      1,005.7
53   From banks in the U.S.        367.7        350.9        376.4
54   From others                   640.5        637.4        629.3
55 Net due to related foreign
           offices                 237.2        239.0        227.7
56 Other liabilities               231.7        273.5        273.2

57 Total liabilities             4,711.6      4,921.6      5,010.0

58 Residual (assets less
           liabilities)(7)         411.2        421.5        412.1

                                       Monthly averages

                                            2001

             Account             Jan.(r)   Feb.(r)   Mar.(r)

                                     Seasonally adjusted

   Assets
 1 Bank credit                   4,651.5   4,668.4   4,666.4
 2   Securities in bank credit   1,148.1   1,151.9   1,139.7
 3     U.S. government
           securities              719.8     713.2     690.6
 4     Other securities            428.3     438.7     449.1
 5   Loans and leases in bank
           credit(2)             3,503.4   3,516.5   3,526.7
 6     Commercial and
           industrial              889.4     892.7     889.0
 7     Real estate               1,639.4   1,650.2   1,658.3
 8       Revolving home equity     133.6     135.3     137.2
 9       Other                   1,505.7   1,514.9   1,521.1
10     Consumer                    547.0     546.5     544.9
11     Security(3)                  64.8      62.9      66.9
12     Other loans and leases      362.8     364.2     367.5
13 Interbank loans                 241.2     238.8     245.5
14 Cash assets(4)                  231.8     223.7     227.7
15 Other assets(5)                 375.1     377.7     392.1

16 Total assets(6)               5,435.3   5,444.0   5,467.1

   Liabilities
17 Deposits                      3,505.4   3,510.0   3,546.4
18   Transaction                   598.0     597.4     597.4
19   Nontransaction              2,907.4   2,912.7   2,948.9
20     Large time                  567.5     568.8     567.9
21     Other                     2,339.9   2,343.9   2,381.0
22 Borrowings                    1,020.7   1,020.8   1,010.2
23   From banks in the U.S.        372.1     373.7     371.2
24   From others                   648.6     647.1     639.0
25 Net due to related foreign
           offices                 217.7     214.6     211.5
26 Other liabilities               285.2     266.1     272.5

27 Total liabilities             5,029.1   5,011.5   5,040.6

28 Residual (assets less
           liabilities)(7)         406.2     432.4     426.5

                                    Not seasonally adjusted

   Assets
29 Bank credit                   4,658.3   4,660.2   4,658.5
30   Securities in bank credit   1,153.3   1,153.7   1,143.8
31     U.S. government
           securities              722.0     715.0     696.5
32     Other securities            431.3     438.8     447.3
33   Loans and leases in bank
           credit(2)             3,505.0   3,506.5   3,514.7
34     Commercial and
           industrial              884.9     889.9     889.4
35     Real estate               1,638.4   1,643.6   1,650.9
36       Revolving home equity     132.8     134.1     135.5
37       Other                   1,505.6   1,509.5   1,515.4
38     Consumer                    551.4     547.1     541.1
39       Credit cards and
           related plans           218.3     213.4     209.1
40       Other                     333.0     333.8     331.9
41     Security(3)                  67.4      64.7      68.9
42     Other loans and leases      362.9     361.1     364.3
43 Interbank loans                 243.2     240.6     252.8
44 Cash assets(4)                  245.3     224.6     219.2
45 Other assets(5)                 375.7     375.9     390.7

46 Total assets(6)               5,458.4   5,436.7   5,456.7

   Liabilities
47 Deposits                      3,510.3   3,518.8   3,552.2
48   Transaction                   609.6     589.4     591.7
49   Nontransaction              2,900.7   2,929.4   2,960.5
50     Large time                  570.8     572.1     566.4
51     Other                     2,329.9   2,357.3   2,394.1
52 Borrowings                    1,038.0   1,024.4   1,008.6
53   From banks in the U.S.        378.3     378.1     374.9
54   From others                   659.7     646.3     633.7
55 Net due to related foreign
           offices                 218.6     217.4     210.3
56 Other liabilities               286.2     268.7     271.2

57 Total liabilities             5,053.2   5,029.3   5,042.3

58 Residual (assets less
           liabilities)(7)         405.3     407.4     414.4

                                                     Wednesday
                                 Monthly averages     figures

                                        2001           2001

             Account             Apr.(r)     May       May 9

                                       Seasonally adjusted

   Assets
 1 Bank credit                   4,692.6   4,715.1     4,708.5
 2   Securities in bank credit   1,146.2   1,158.9     1,153.2
 3     U.S. government
           securities              691.6     699.5       692.9
 4     Other securities            454.6     459.4       460.2
 5   Loans and leases in bank
           credit(2)             3,546.3   3,556.2     3,555.4
 6     Commercial and
           industrial              885.4     884.3       884.6
 7     Real estate               1,665.1   1,675.5     1,679.3
 8       Revolving home equity     138.0     139.3       139.1
 9       Other                   1,527.2   1,536.2     1,540.2
10     Consumer                    549.3     553.0       549.0
11     Security(3)                  78.8      75.2        77.4
12     Other loans and leases      367.8     368.3       365.1
13 Interbank loans                 263.8     255.2       262.6
14 Cash assets(4)                  231.3     226.2       220.9
15 Other assets(5)                 388.9     384.9       392.5

16 Total assets(6)               5,511.7   5,516.7     5,519.8

   Liabilities
17 Deposits                      3,594.9   3,594.2     3,576.8
18   Transaction                   599.8     602.5       575.3
19   Nontransaction              2,995.1   2,991.7     3,001.5
20     Large time                  568.0     568.2       568.1
21     Other                     2,427.1   2,423.5     2,433.4
22 Borrowings                    1,042.1   1,031.3     1,043.5
23   From banks in the U.S.        381.2     365.6       363.9
24   From others                   660.9     665.6       679.6
25 Net due to related foreign
           offices                 185.5     211.9       202.7
26 Other liabilities               260.9     252.8       263.9

27 Total liabilities             5,083.5   5,090.1     5,086.9

28 Residual (assets less
           liabilities)(7)         428.3     426.6       432.9

                                     Not seasonally adjusted

   Assets
29 Bank credit                   4,687.9   4,709.1     4,705.2
30   Securities in bank credit   1,147.8   1,158.1     1,153.2
31     U.S. government
           securities              696.5     700.4       693.9
32     Other securities            451.3     457.7       459.3
33   Loans and leases in bank
           credit(2)             3,540.0   3,550.9     3,551.9
34     Commercial and
           industrial              891.9     889.6       892.6
35     Real estate               1,660.8   1,675.9     1,679.8
36       Revolving home equity     137.0     139.3       139.1
37       Other                   1,523.8   1,536.6     1,540.7
38     Consumer                    546.1     550.8       546.8
39       Credit cards and
           related plans           214.2     218.8       215.1
40       Other                     331.9     332.0       331.7
41     Security(3)                  75.8      70.0        71.3
42     Other loans and leases      365.5     364.7       361.4
43 Interbank loans                 269.9     248.4       257.7
44 Cash assets(4)                  228.7     225.1       211.2
45 Other assets(5)                 389.6     385.7       395.7

46 Total assets(6)               5,511.4   5,503.6     5,504.9

   Liabilities
47 Deposits                      3,611.3   3,581.0     3,566.2
48   Transaction                   606.6     593.1       559.1
49   Nontransaction              3,004.7   2,987.9     3,007.1
50     Large time                  565.9     565.3       565.8
51     Other                     2,438.8   2,422.6     2,441.3
52 Borrowings                    1,042.8   1,036.3     1,055.8
53   From banks in the U.S.        384.5     368.7       369.1
54   From others                   658.4     667.6       686.7
55 Net due to related foreign
           offices                 183.1     214.3       202.6
56 Other liabilities               258.1     254.9       264.1

57 Total liabilities             5,095.3   5,086.5     5,088.7

58 Residual (assets less
           liabilities)(7)         416.1     417.0       416.2

                                       Wednesday figures

                                            2001

             Account             May 16    May 23    May 30

                                     Seasonally adjusted

   Assets
 1 Bank credit                   4,719.6   4,711.0   4,721.6
 2   Securities in bank credit   1,162.1   1,157.8   1,163.4
 3     U.S. government
           securities              698.1     699.1     707.5
 4     Other securities            464.0     458.7     455.9
 5   Loans and leases in bank
           credit(2)             3,557.5   3,553.2   3,558.2
 6     Commercial and
           industrial              884.6     885.0     883.0
 7     Real estate               1,674.7   1,670.1   1,678.5
 8       Revolving home equity     139.3     139.7     139.1
 9       Other                   1,535.3   1,530.4   1,539.4
10     Consumer                    553.5     556.1     554.3
11     Security(3)                  74.3      73.6      73.4
12     Other loans and leases      370.5     368.3     368.9
13 Interbank loans                 256.8     253.0     248.4
14 Cash assets(4)                  224.7     219.4     238.7
15 Other assets(5)                 373.7     383.8     387.4

16 Total assets(6)               5,509.9   5,502.3   5,531.7

   Liabilities
17 Deposits                      3,592.3   3,589.1   3,615.0
18   Transaction                   594.5     614.6     635.4
19   Nontransaction              2,997.8   2,974.5   2,979.6
20     Large time                  567.3     568.4     568.9
21     Other                     2,430.5   2,406.1   2,410.7
22 Borrowings                    1,023.7   1,029.0   1,025.9
23   From banks in the U.S.        368.5     367.5     362.8
24   From others                   655.2     661.4     663.1
25 Net due to related foreign
           offices                 216.6     211.9     220.3
26 Other liabilities               249.2     246.8     250.1

27 Total liabilities             5,081.9   5,076.7   5,111.4

28 Residual (assets less
           liabilities)(7)         428.1     425.6     420.3

                                    Not seasonally adjusted

   Assets
29 Bank credit                   4,714.2   4,699.4   4,714.9
30   Securities in bank credit   1,161.0   1,155.6   1,162.7
31     U.S. government
           securities              699.4     699.4     707.9
32     Other securities            461.6     456.2     454.8
33   Loans and leases in bank
           credit(2)             3,553.1   3,543.8   3,552.3
34     Commercial and
           industrial              890.0     888.8     886.4
35     Real estate               1,676.1   1,670.5   1,678.4
36       Revolving home equity     139.4     139.8     139.1
37       Other                   1,536.7   1,530.7   1,539.2
38     Consumer                    551.6     553.9     551.7
39       Credit cards and
           related plans           219.0     221.8     220.0
40       Other                     332.6     332.1     331.7
41     Security(3)                  69.1      67.8      68.9
42     Other loans and leases      366.4     362.7     367.0
43 Interbank loans                 250.0     239.6     243.4
44 Cash assets(4)                  219.9     205.9     261.0
45 Other assets(5)                 376.2     380.8     387.4

46 Total assets(6)               5,495.4   5,460.8   5,542.3

   Liabilities
47 Deposits                      3,579.0   3,551.5   3,616.9
48   Transaction                   584.2     587.0     646.3
49   Nontransaction              2,994.8   2,964.4   2,970.5
50     Large time                  563.9     565.3     565.9
51     Other                     2,430.9   2,399.1   2,404.6
52 Borrowings                    1,030.6   1,024.7   1,029.3
53   From banks in the U.S.        372.1     367.9     365.5
54   From others                   658.4     656.9     663.8
55 Net due to related foreign
           offices                 218.0     215.9     225.0
56 Other liabilities               250.6     250.2     254.2

57 Total liabilities             5,078.2   5,042.3   5,125.3

58 Residual (assets less
           liabilities)(7)         417.1     418.6     417.0
C. Large domestically chartered commercial banks

Billions of dollars

                                               Monthly averages

                                         2000             2000(r)

                Account                   May         Nov.      Dec.

                                              Seasonally adjusted

   Assets
 1 Bank credit                          2,502.5(r)   2,536.7   2,554.3
 2   Securities in bank credit            582.4(r)     573.8     580.9
 3     U.S. government securities         365.1(r)     348.7     352.2
 4       Trading account                   22.1         21.6      28.8
 5       Investment account               343.0(r)     327.1     323.4
 6     Other securities                   217.4        225.0     228.7
 7       Trading account                  101.9        114.5     119.0
 8       Investment account               115.5        110.6     109.8
 9         State and local government      25.5         26.3      26.3
10         Other                           90.0         84.3      83.5
11   Loans and leases in bank
               credit(2)                1,920.0(r)   1,962.9   1,973.4
12     Commercial and industrial          584.2(r)     588.5     590.7
13       Bankers acceptances                1.1          1.0       1.0
14       Other                            583.1(r)     587.6     589.6
15     Real estate                        802.7(r)     820.0     819.0
16       Revolving home equity             74.3         82.0      84.3
17       Other                            728.4(r)     738.1     734.7
18     Consumer                           229.1        239.6     241.5
19     Security(3)                         61.1         58.0      61.4
20       Federal funds sold to and
               repurchase agreements
               with broker-dealers         39.7         41.7      46.3
21       Other                             21.3         16.3      15.2
22     State and local government          12.5         12.8      12.6
23     Agricultural                         9.6(r)       9.8      10.0
24     Federal funds sold to and
               repurchase agreements
               with others                 13.3         19.0      21.0
25     All other loans                     86.6(r)      86.5      87.8
26     Lease-financing receivables        121.1        128.7     129.4
27 Interbank loans                        133.1        138.7     137.7
28   Federal funds sold to and
               repurchase agreements
               with commercial banks       67.5(r)      62.1      63.8
29   Other                                 65.7         76.5      73.9
30 Cash assets(4)                         150.1        139.0     144.1
31 Other assets(5)                        227.7(r)     254.1     248.6

32 Total assets(6)                      2,978.4(r)   3,032.7   3,048.1

   Liabilities
33 Deposits                             1,654.8(r)   1,643.0   1,672.9
34   Transaction                          317.8(r)     296.4     297.2
35   Nontransaction                     1,337.1(r)   1,346.5   1,375.7
36     Large time                         251.3(r)     254.5     265.3
37     Other                            1,085.8(r)   1,092.0   1,110.4
38 Borrowings                             655.6(r)     652.7     666.3
39   From banks in the U.S.               201.4        196.0     214.0
40   From others                          454.2        456.7     452.3
41 Net due to related foreign offices     228.2        213.4     206.7
42 Other liabilities                      170.9(r)     217.9     218.7

43 Total liabilities                    2,709.4(r)   2,726.9   2,764.6

44 Residual (assets less
               liabilities)(7)            269.0(r)     305.8     283.5

                                             Not seasonally adjusted

   Assets
45 Bank credit                          2,496.7(r)   2,552.4   2,575.5
46   Securities in bank credit            580.5(r)     579.5     587.3
47     U.S. government securities         364.6(r)     351.6     352.8
48       Trading account                   22.1         21.8      28.9
49       Investment account               342.5(r)     329.8     323.9
50         Mortgage-backed securities     220.0        211.4     213.4
51         Other                          122.5(r)     118.3     110.6
52           One year or less              31.7         32.7      31.4
53           One to five years             53.6         50.0      45.0
54           More than five years          37.2         35.7      34.1
55     Other securities                   215.9        228.0     234.5
56       Trading account                  101.2        116.0     122.0
57       Investment account               114.7        112.0     112.5
58         State and local government      25.3         26.6      26.9
59         Other                           89.3         85.4      85.6
60   Loans and leases in bank
               credit(2)                1,916.2(r)   1,972.8   1,988.2
61     Commercial and industrial          587.4(r)     589.7     589.7
62       Bankers acceptances                1.1          1.0       1.0
63       Other                            586.3(r)     588.7     588.7
64     Real estate                        802.1(r)     825.2     823.5
65       Revolving home equity             74.2         82.4      84.2
66       Other                            443.4(r)     453.3     448.7
67       Commercial                       284.5(r)     289.5     290.7
68     Consumer                           229.5        238.1     243.7
69       Credit cards and related
               plans                     n.a.           78.1      82.4
70       Other                           n.a.          160.0     161.3
71     Security(3)                         56.7         62.1      67.2
72       Federal funds sold to and
               repurchase agreements
               with broker-dealers         36.9         44.6      50.6
73       Other                             19.8         17.5      16.6
74     State and local government          12.5         12.8      12.6
75     Agricultural                         9.5          9.8      10.0
76     Federal funds sold to and
               repurchase agreements
               with others                 13.3         19.0      21.0
77     All other loans                     84.8         87.8      90.7
78     Lease-financing receivables        120.5        128.4     129.7
79 Interbank loans                        135.8(r)     139.5     141.6
80   Federal funds sold to and
               repurchase agreements
               with commercial banks       68.9         62.6      65.6
81   Other                                 66.9         77.0      75.9
82 Cash assets(4)                         150.1(r)     140.2     155.5
83 Other assets(5)                        228.4        253.7     253.0

84 Total assets(6)                      2,975.8(r)   3,049.9   3,088.9

   Liabilities
85 Deposits                             1,646.8(r)   1,650.1   1,690.7
86   Transaction                          312.7(r)     298.8     315.0
87   Nontransaction                     1,334.1(r)   1,351.4   1,375.6
88     Large time                         248.7(r)     259.4     269.1
89     Other                            1,085.3(r)   1,092.0   1,106.5
90 Borrowings                             662.1        661.1     669.2
91   From banks in the U.S.               205.1(r)     196.8     215.9
92   From nonbanks in the U.S.            457.1(r)     464.3     453.3
93 Net due to related foreign offices     231.2        215.4     206.8
94 Other liabilities                      173.2        219.7     219.0

95 Total liabilities                    2,713.4(r)   2,746.3   2,785.7

96 Residual (assets less
               liabilities)(7)            262.5        303.6     303.2

                                               Monthly averages

                                                   2001

                Account                 Jan.(r)   Feb.(r)   Mar.(r)

                                             Seasonally adjusted

   Assets
 1 Bank credit                          2,571.4   2,581.6   2,588.7
 2   Securities in bank credit            592.3     595.4     591.2
 3     U.S. government securities         353.4     349.5     338.9
 4       Trading account                   34.2      37.5      35.4
 5       Investment account               319.2     312.0     303.4
 6     Other securities                   238.9     245.9     252.3
 7       Trading account                  126.0     129.3     132.5
 8       Investment account               112.9     116.6     119.9
 9         State and local government      27.1      27.6      28.1
10         Other                           85.8      89.0      91.8
11   Loans and leases in bank
               credit(2)                1,979.1   1,986.2   1,997.5
12     Commercial and industrial          594.1     595.4     591.0
13       Bankers acceptances                 .8        .8        .8
14       Other                            593.2     594.6     590.2
15     Real estate                        819.5     825.8     834.1
16       Revolving home equity             86.1      87.3      89.1
17       Other                            733.4     738.5     744.9
18     Consumer                           243.0     245.0     246.4
19     Security(3)                         57.7      55.3      58.8
20       Federal funds sold to and
               repurchase agreements
               with broker-dealers         41.7      39.4      43.6
21       Other                             16.0      15.9      15.2
22     State and local government          12.8      13.0      13.2
23     Agricultural                        10.1      10.3      10.4
24     Federal funds sold to and
               repurchase agreements
               with others                 25.8      26.1      26.0
25     All other loans                     86.7      85.5      86.4
26     Lease-financing receivables        129.5     129.8     131.2
27 Interbank loans                        153.9     141.1     137.4
28   Federal funds sold to and
               repurchase agreements
               with commercial banks       79.0      70.4      70.4
29   Other                                 74.9      70.7      67.0
30 Cash assets(4)                         146.3     137.6     142.0
31 Other assets(5)                        260.2     262.6     271.5

32 Total assets(6)                      3,094.4   3,085.2   3,102.0

   Liabilities
33 Deposits                             1,680.7   1,674.1   1,700.6
34   Transaction                          300.4     298.3     301.5
35   Nontransaction                     1,380.3   1,375.8   1,399.1
36     Large time                         267.2     262.7     265.0
37     Other                            1,113.1   1,113.2   1,134.0
38 Borrowings                             676.8     679.5     676.9
39   From banks in the U.S.               213.9     215.6     219.6
40   From others                          462.9     463.9     457.3
41 Net due to related foreign offices     200.9     197.9     196.1
42 Other liabilities                      231.8     212.2     216.4

43 Total liabilities                    2,790.3   2,763.8   2,789.9

44 Residual (assets less
               liabilities)(7)            304.2     321.4     312.1

                                           Not seasonally adjusted

   Assets
45 Bank credit                          2,582.5   2,584.4   2,585.2
46   Securities in bank credit            598.1     599.2     593.1
47     U.S. government securities         356.2     353.2     342.5
48       Trading account                   34.5      37.9      35.8
49       Investment account               321.7     315.3     306.7
50         Mortgage-backed securities     219.7     215.6     214.0
51         Other                          102.0      99.7      92.6
52           One year or less              31.5      33.6      33.3
53           One to five years             38.5      37.1      34.1
54           More than five years          32.1      29.0      25.2
55     Other securities                   241.9     246.0     250.5
56       Trading account                  127.6     129.3     131.5
57       Investment account               114.3     116.6     119.0
58         State and local government      27.5      27.6      27.9
59         Other                           86.8      89.0      91.1
60   Loans and leases in bank
               credit(2)                1,984.4   1,985.3   1,992.2
61     Commercial and industrial          590.6     594.3     591.7
62       Bankers acceptances                 .8        .8        .8
63       Other                            589.7     593.5     590.9
64     Real estate                        820.1     822.5     828.3
65       Revolving home equity             85.2      86.3      87.7
66       Other                            445.7     445.5     449.6
67       Commercial                       289.1     290.8     291.0
68     Consumer                           246.6     247.2     246.1
69       Credit cards and related
               plans                       83.4      83.1      82.6
70       Other                            163.2     164.1     163.5
71     Security(3)                         60.3      57.1      60.5
72       Federal funds sold to and
               repurchase agreements
               with broker-dealers         43.6      40.7      44.9
73       Other                             16.7      16.4      15.6
74     State and local government          12.8      13.0      13.2
75     Agricultural                        10.2      10.1      10.2
76     Federal funds sold to and
               repurchase agreements
               with others                 25.8      26.1      26.0
77     All other loans                     86.6      83.8      84.4
78     Lease-financing receivables        131.6     131.2     131.7
79 Interbank loans                        155.3     140.0     138.5
80   Federal funds sold to and
               repurchase agreements
               with commercial banks       79.7      69.9      71.0
81   Other                                 75.7      70.2      67.5
82 Cash assets(4)                         157.2     139.5     137.1
83 Other assets(5)                        260.8     260.8     270.2

84 Total assets(6)                      3,118.8   3,087.0   3,093.3

   Liabilities
85 Deposits                             1,686.9   1,681.9   1,699.0
86   Transaction                          309.3     295.2     297.8
87   Nontransaction                     1,377.6   1,386.7   1,401.2
88     Large time                         270.5     266.0     263.5
89     Other                            1,107.1   1,120.8   1,137.7
90 Borrowings                             694.1     683.1     675.3
91   From banks in the U.S.               220.2     220.0     223.2
92   From nonbanks in the U.S.            473.9     463.1     452.0
93 Net due to related foreign offices     201.8     200.8     194.9
94 Other liabilities                      232.8     214.8     215.1

95 Total liabilities                    2,815.7   2,780.6   2,784.3

96 Residual (assets less
               liabilities)(7)            303.1     306.4     309.1

                                                            Wednesday
                                        Monthly averages     figures

                                               2001           2001

                Account                 Apr.(r)     May       May 9

                                               Seasonally adjusted

   Assets
 1 Bank credit                          2,610.4   2,622.8     2,623.9
 2   Securities in bank credit            597.6     607.6       604.8
 3     U.S. government securities         341.8     349.8       344.9
 4       Trading account                   33.7      35.3        31.0
 5       Investment account               308.1     314.5       313.9
 6     Other securities                   255.8     257.8       259.9
 7       Trading account                  135.9     137.0       139.4
 8       Investment account               119.9     120.8       120.5
 9         State and local government      28.4      28.1        28.0
10         Other                           91.5      92.7        92.5
11   Loans and leases in bank
               credit(2)                2,012.8   2,015.2     2,019.1
12     Commercial and industrial          588.1     587.0       587.9
13       Bankers acceptances                 .8        .8          .8
14       Other                            587.3     586.2       587.1
15     Real estate                        840.7     846.4       851.8
16       Revolving home equity             89.7      90.1        90.1
17       Other                            751.0     756.3       761.7
18     Consumer                           248.0     250.5       248.6
19     Security(3)                         70.2      66.4        68.8
20       Federal funds sold to and
               repurchase agreements
               with broker-dealers         53.8      49.3        51.7
21       Other                             16.4      17.1        17.1
22     State and local government          13.1      13.1        13.2
23     Agricultural                        10.4      10.7        10.8
24     Federal funds sold to and
               repurchase agreements
               with others                 22.9      23.5        22.7
25     All other loans                     87.4      85.1        82.9
26     Lease-financing receivables        132.0     132.5       132.5
27 Interbank loans                        145.3     131.5       142.1
28   Federal funds sold to and
               repurchase agreements
               with commercial banks       81.8      71.0        80.1
29   Other                                 63.5      60.4        62.0
30 Cash assets(4)                         144.7     139.1       136.1
31 Other assets(5)                        264.9     262.2       267.9

32 Total assets(6)                      3,127.7   3,118.0     3,132.5

   Liabilities
33 Deposits                             1,725.0   1,716.1     1,708.0
34   Transaction                          301.2     301.2       286.3
35   Nontransaction                     1,423.8   1,414.9     1,421.6
36     Large time                         264.9     267.2       264.9
37     Other                            1,158.8   1,147.7     1,156.8
38 Borrowings                             705.5     691.1       704.3
39   From banks in the U.S.               229.8     212.4       212.5
40   From others                          475.6     478.7       491.9
41 Net due to related foreign offices     172.7     195.2       185.7
42 Other liabilities                      204.4     195.8       207.6

43 Total liabilities                    2,807.6   2,798.2     2,805.6

44 Residual (assets less
               liabilities)(7)            320.0     319.8       326.9

                                            Not seasonally adjusted

   Assets
45 Bank credit                          2,606.0   2,616.3     2,619.2
46   Securities in bank credit            596.5     605.3       602.8
47     U.S. government securities         344.0     349.1       343.8
48       Trading account                   34.0      35.2        30.9
49       Investment account               310.0     313.9       312.8
50         Mortgage-backed securities     221.4     227.9       231.1
51         Other                           88.7      86.0        81.7
52           One year or less              31.7      28.6        27.9
53           One to five years             31.2      30.9        27.5
54           More than five years          25.8      26.4        26.3
55     Other securities                   252.5     256.2       259.0
56       Trading account                  134.2     136.1       138.9
57       Investment account               118.4     120.0       120.1
58         State and local government      28.0      28.0        27.9
59         Other                           90.3      92.1        92.2
60   Loans and leases in bank
               credit(2)                2,009.5   2,011.0     2,016.4
61     Commercial and industrial          592.4     589.8       592.8
62       Bankers acceptances                 .8        .8          .8
63       Other                            591.6     589.0       592.0
64     Real estate                        836.7     846.0       851.9
65       Revolving home equity             88.7      90.0        90.0
66       Other                            456.4     462.6       468.9
67       Commercial                       291.6     293.4       293.0
68     Consumer                           248.7     250.9       249.3
69       Credit cards and related
               plans                       84.6      86.9        85.4
70       Other                            164.0     164.0       163.9
71     Security(3)                         67.1      61.6        62.9
72       Federal funds sold to and
               repurchase agreements
               with broker-dealers         51.4      45.7        47.3
73       Other                             15.7      15.9        15.6
74     State and local government          13.1      13.1        13.2
75     Agricultural                        10.3      10.7        10.7
76     Federal funds sold to and
               repurchase agreements
               with others                 22.9      23.5        22.7
77     All other loans                     86.3      83.6        81.0
78     Lease-financing receivables        132.0     131.9       132.0
79 Interbank loans                        147.4     133.8       141.1
80   Federal funds sold to and
               repurchase agreements
               with commercial banks       83.0      72.3        79.6
81   Other                                 64.4      61.5        61.5
82 Cash assets(4)                         145.0     139.3       130.2
83 Other assets(5)                        265.6     263.0       271.1

84 Total assets(6)                      3,126.6   3,114.7     3,123.9

   Liabilities
85 Deposits                             1,734.1   1,709.3     1,698.8
86   Transaction                          308.5     297.0       276.2
87   Nontransaction                     1,425.6   1,412.4     1,422.6
88     Large time                         262.8     264.4       262.6
89     Other                            1,162.8   1,148.0     1,160.0
90 Borrowings                             706.2     696.1       716.6
91   From banks in the U.S.               233.1     215.5       217.6
92   From nonbanks in the U.S.            473.1     480.7       499.0
93 Net due to related foreign offices     170.3     197.6       185.6
94 Other liabilities                      201.6     198.0       207.8

95 Total liabilities                    2,812.2   2,801.1     2,808.8

96 Residual (assets less
               liabilities)(7)            314.4     313.6       315.1

                                             Wednesday figures

                                                   2001

                Account                 May 16    May 23    May 30

                                            Seasonally adjusted

   Assets
 1 Bank credit                          2,627.6   2,615.4   2,623.9
 2   Securities in bank credit            610.9     605.7     609.7
 3     U.S. government securities         349.4     348.6     355.8
 4       Trading account                   35.5      36.1      39.6
 5       Investment account               313.9     312.5     316.2
 6     Other securities                   261.5     257.1     253.9
 7       Trading account                  140.1     135.8     133.7
 8       Investment account               121.4     121.2     120.2
 9         State and local government      28.3      28.3      28.1
10         Other                           93.1      93.0      92.1
11   Loans and leases in bank
               credit(2)                2,016.7   2,009.7   2,014.2
12     Commercial and industrial          587.4     587.7     585.4
13       Bankers acceptances                 .8        .8        .8
14       Other                            586.6     586.8     584.6
15     Real estate                        846.0     840.5     847.5
16       Revolving home equity             90.1      90.4      89.6
17       Other                            755.9     750.1     757.9
18     Consumer                           250.8     251.8     251.4
19     Security(3)                         65.5      64.9      64.7
20       Federal funds sold to and
               repurchase agreements
               with broker-dealers         49.0      47.6      47.1
21       Other                             16.4      17.3      17.6
22     State and local government          13.1      13.1      13.0
23     Agricultural                        10.8      10.7      10.7
24     Federal funds sold to and
               repurchase agreements
               with others                 23.5      23.2      24.1
25     All other loans                     87.2      85.3      85.0
26     Lease-financing receivables        132.6     132.5     132.6
27 Interbank loans                        132.4     127.4     122.7
28   Federal funds sold to and
               repurchase agreements
               with commercial banks       72.1      65.9      65.2
29   Other                                 60.3      61.5      57.5
30 Cash assets(4)                         136.4     133.5     149.3
31 Other assets(5)                        252.8     263.7     263.5

32 Total assets(6)                      3,111.6   3,102.3   3,122.1

   Liabilities
33 Deposits                             1,715.5   1,711.2   1,727.2
34   Transaction                          296.1     305.4     321.4
35   Nontransaction                     1,419.4   1,405.8   1,405.8
36     Large time                         266.0     268.7     269.4
37     Other                            1,153.4   1,137.1   1,136.4
38 Borrowings                             686.7     687.3     683.3
39   From banks in the U.S.               216.1     212.0     209.0
40   From others                          470.7     475.3     474.4
41 Net due to related foreign offices     197.7     196.7     203.8
42 Other liabilities                      192.2     189.3     192.7

43 Total liabilities                    2,792.2   2,784.5   2,807.1

44 Residual (assets less
               liabilities)(7)            319.4     317.8     315.0

                                          Not seasonally adjusted

   Assets
45 Bank credit                          2,620.9   2,603.2   2,618.2
46   Securities in bank credit            608.1     602.0     607.9
47     U.S. government securities         349.1     347.4     355.2
48       Trading account                   35.4      36.0      39.5
49       Investment account               313.7     311.5     315.7
50         Mortgage-backed securities     226.4     223.0     229.3
51         Other                           87.2      88.4      86.3
52           One year or less              28.3      29.8      27.8
53           One to five years             32.7      32.2      32.1
54           More than five years          26.3      26.4      26.5
55     Other securities                   259.0     254.6     252.7
56       Trading account                  138.8     134.5     133.1
57       Investment account               120.2     120.1     119.6
58         State and local government      28.0      28.0      28.0
59         Other                           92.3      92.1      91.6
60   Loans and leases in bank
               credit(2)                2,012.8   2,001.2   2,010.3
61     Commercial and industrial          590.0     589.0     586.6
62       Bankers acceptances                 .8        .8        .8
63       Other                            589.3     588.2     585.8
64     Real estate                        846.6     839.4     846.8
65       Revolving home equity             90.0      90.3      89.7
66       Other                            463.3     456.0     462.6
67       Commercial                       293.2     293.1     294.5
68     Consumer                           251.3     252.1     251.7
69       Credit cards and related
               plans                       86.8      88.0      87.7
70       Other                            164.5     164.0     163.9
71     Security(3)                         60.6      59.6      60.5
72       Federal funds sold to and
               repurchase agreements
               with broker-dealers         45.4      43.8      44.0
73       Other                             15.2      15.9      16.5
74     State and local government          13.1      13.1      13.0
75     Agricultural                        10.7      10.7      10.6
76     Federal funds sold to and
               repurchase agreements
               with others                 23.5      23.2      24.1
77     All other loans                     85.2      82.4      85.2
78     Lease-financing receivables        131.9     131.8     131.8
79 Interbank loans                        135.1     127.4     129.2
80   Federal funds sold to and
               repurchase agreements
               with commercial banks       73.6      65.9      68.6
81   Other                                 61.6      61.5      60.5
82 Cash assets(4)                         134.7     124.7     165.3
83 Other assets(5)                        255.3     260.7     263.5

84 Total assets(6)                      3,108.4   3,078.4   3,138.8

   Liabilities
85 Deposits                             1,709.0   1,688.6   1,733.5
86   Transaction                          292.6     289.3     330.6
87   Nontransaction                     1,416.5   1,399.3   1,402.9
88     Large time                         262.6     265.6     266.4
89     Other                            1,153.8   1,133.7   1,136.5
90 Borrowings                             693.6     683.1     686.7
91   From banks in the U.S.               219.6     212.3     211.6
92   From nonbanks in the U.S.            473.9     470.7     475.1
93 Net due to related foreign offices     199.1     200.7     208.5
94 Other liabilities                      193.6     192.8     196.8

95 Total liabilities                    2,795.3   2,765.2   2,825.4

96 Residual (assets less
               liabilities)(7)            313.1     313.2     313.4
D. Small domestically chartered commercial banks

Billions of dollars

                                                 Monthly averages

                                            2000          2000(r)

                  Account                  May(r)     Nov.      Dec.

                                                Seasonally adjusted

   Assets
 1 Bank credit                             1,918.5   2,041.7   2,062.6
 2   Securities in bank credit               516.3     542.1     549.4
 3     U.S. government securities            373.5     369.1     367.4
 4     Other securities                      142.7     172.9     182.1
 5   Loans and leases in bank credit(2)    1,402.2   1,499.6   1,513.2
 6     Commercial and industrial             269.5     290.0     290.7
 7     Real estate                           756.5     811.2     818.0
 8       Revolving home equity                39.9      46.1      47.0
 9       Other                               716.6     765.1     771.0
10     Consumer                              282.0     297.6     300.7
11     Security(3)                             6.1       6.6       7.1
12     Other loans and leases                 88.1      94.2      96.7
13 Interbank loans                            64.2      80.4      87.4
14 Cash assets(4)                             80.4      78.5      83.1
15 Other assets(5)                           110.7     108.6     112.4

16 Total assets(6)                         2,149.3   2,282.7   2,318.7

   Liabilities
17 Deposits                                1,592.7   1,758.5   1,794.8
18   Transaction                             301.0     294.0     294.1
19   Nontransaction                        1,291.7   1,464.6   1,500.7
20     Large time                            256.0     292.7     298.6
21     Other                               1,035.8   1,171.9   1,202.1
22 Borrowings                                346.0     327.2     336.5
23   From banks in the U.S.                  162.6     154.1     160.5
24   From others                             183.4     173.1     176.0
25 Net due to related foreign offices          6.0      23.7      20.9
26 Other liabilities                          58.4      53.9      54.1

27 Total liabilities                       2,003.1   2,163.3   2,206.3

28 Residual (assets less liabilities)(7)     146.2     119.4     112.5

                                              Not seasonally adjusted

   Assets
29 Bank credit                             1,920.7   2,042.5   2,067.1
30   Securities in bank credit               518.1     540.3     548.6
31     U.S. government securities            375.4     367.4     366.5
32     Other securities                      142.7     172.9     182.1
33   Loans and leases in bank credit(2)    1,402.6   1,502.2   1,518.5
34     Commercial and industrial             271.6     289.3     291.4
35     Real estate                           757.3     811.6     818.0
36       Revolving home equity                40.0      46.4      47.1
37       Other                               717.3     765.2     770.9
38     Consumer                              280.6     299.5     304.5
39       Credit cards and related plans     n.a.       131.3     135.8
40       Other                              n.a.       168.2     168.7
41     Security(3)                             5.9       7.0       7.3
42     Other loans and leases                 87.2      94.8      97.2
43 Interbank loans                            60.4      86.2      92.3
44 Cash assets(4)                             79.6      82.4      88.3
45 Other assets(5)                           110.7     108.6     112.4

46 Total assets(6)                         2,146.9   2,293.2   2,333.2

   Liabilities
47 Deposits                                1,587.8   1,770.6   1,812.8
48   Transaction                             296.5     297.6     304.8
49   Nontransaction                        1,291.4   1,473.0   1,508.0
50     Large time                            256.0     292.7     298.6
51     Other                               1,035.4   1,180.3   1,209.4
52 Borrowings                                346.0     327.2     336.5
53   From banks in the U.S.                  162.6     154.1     160.5
54   From others                             183.4     173.1     176.1
55 Net due to related foreign offices          6.0      23.7      20.9
56 Other liabilities                          58.4      53.9      54.1

57 Total liabilities                       1,998.2   2,175.3   2,224.3

58 Residual (assets less liabilities)(7)     148.7     117.9     108.9

                                                 Monthly averages

                                                      2001

                  Account                  Jan.(r)   Feb.(r)   Mar.(r)

                                                Seasonally adjusted

   Assets
 1 Bank credit                             2,080.1   2,086.8   2,077.6
 2   Securities in bank credit               555.8     556.5     548.5
 3     U.S. government securities            366.4     363.7     351.7
 4     Other securities                      189.4     192.8     196.8
 5   Loans and leases in bank credit(2)    1,524.3   1,530.3   1,529.1
 6     Commercial and industrial             295.3     297.3     298.0
 7     Real estate                           819.9     824.4     824.2
 8       Revolving home equity                47.6      48.0      48.0
 9       Other                               772.3     776.4     776.2
10     Consumer                              304.0     301.5     298.5
11     Security(3)                             7.2       7.6       8.1
12     Other loans and leases                 97.9      99.5     100.3
13 Interbank loans                            87.3      97.6     108.0
14 Cash assets(4)                             85.5      86.1      85.6
15 Other assets(5)                           114.9     115.1     120.6

16 Total assets(6)                         2,340.8   2,358.8   2,365.1

   Liabilities
17 Deposits                                1,824.7   1,835.9   1,845.8
18   Transaction                             297.6     299.1     295.9
19   Nontransaction                        1,527.1   1,536.8   1,549.9
20     Large time                            300.3     306.1     302.9
21     Other                               1,226.8   1,230.7   1,247.0
22 Borrowings                                343.9     341.2     333.3
23   From banks in the U.S.                  158.1     158.1     151.6
24   From others                             185.7     183.2     181.7
25 Net due to related foreign offices         16.8      16.7      15.4
26 Other liabilities                          53.4      53.9      56.1

27 Total liabilities                       2,238.8   2,247.7   2,250.6

28 Residual (assets less liabilities)(7)     102.0     111.1     114.5

                                              Not seasonally adjusted

   Assets
29 Bank credit                             2,075.8   2,075.8   2,073.3
30   Securities in bank credit               555.2     554.6     550.7
31     U.S. government securities            365.8     361.8     354.0
32     Other securities                      189.4     192.8     196.8
33   Loans and leases in bank credit(2)    1,520.6   1,521.2   1,522.5
34     Commercial and industrial             294.4     295.6     297.7
35     Real estate                           818.3     821.1     822.6
36       Revolving home equity                47.6      47.8      47.8
37       Other                               770.7     773.3     774.7
38     Consumer                              304.8     300.0     295.0
39       Credit cards and related plans      134.9     130.3     126.5
40       Other                               169.9     169.7     168.5
41     Security(3)                             7.1       7.6       8.4
42     Other loans and leases                 96.0      96.9      98.9
43 Interbank loans                            87.8     100.6     114.3
44 Cash assets(4)                             88.1      85.1      82.0
45 Other assets(5)                           114.9     115.1     120.6

46 Total assets(6)                         2,339.7   2,349.7   2,363.4

   Liabilities
47 Deposits                                1,823.4   1,836.9   1,853.2
48   Transaction                             300.3     294.2     293.9
49   Nontransaction                        1,523.2   1,542.6   1,559.3
50     Large time                            300.3     306.1     302.9
51     Other                               1,222.9   1,236.5   1,256.4
52 Borrowings                                343.9     341.2     333.3
53   From banks in the U.S.                  158.1     158.1     151.6
54   From others                             185.7     183.2     181.7
55 Net due to related foreign offices         16.8      16.7      15.4
56 Other liabilities                          53.4      53.9      56.1

57 Total liabilities                       2,237.5   2,248.6   2,258.1

58 Residual (assets less liabilities)(7)     102.2     101.0     105.3

                                                               Wednes-
                                                                 day
                                           Monthly averages    figures

                                                 2001           2001

                  Account                  Apr.(r)     May      May 9

                                                 Seasonally adjusted

   Assets
 1 Bank credit                             2,082.1   2,092.3   2,084.6
 2   Securities in bank credit               548.6     551.3     548.3
 3     U.S. government securities            349.8     349.7     348.0
 4     Other securities                      198.8     201.6     200.3
 5   Loans and leases in bank credit(2)    1,533.5   1,541.0   1,536.3
 6     Commercial and industrial             297.3     297.3     296.8
 7     Real estate                           824.4     829.1     827.5
 8       Revolving home equity                48.3      49.2      48.9
 9       Other                               776.1     779.9     778.5
10     Consumer                              301.2     302.5     300.4
11     Security(3)                             8.6       8.7       8.6
12     Other loans and leases                102.0     103.4     103.1
13 Interbank loans                           118.5     123.7     120.5
14 Cash assets(4)                             86.6      87.1      84.7
15 Other assets(5)                           123.9     122.7     124.6

16 Total assets(6)                         2,384.1   2,398.6   2,387.3

   Liabilities
17 Deposits                                1,869.9   1,878.1   1,868.8
18   Transaction                             298.6     301.3     289.0
19   Nontransaction                        1,571.4   1,576.8   1,579.9
20     Large time                            303.0     300.9     303.2
21     Other                               1,268.3   1,275.8   1,276.7
22 Borrowings                                336.7     340.2     339.2
23   From banks in the U.S.                  151.4     153.3     151.4
24   From others                             185.3     186.9     187.7
25 Net due to related foreign offices         12.8      16.6      17.0
26 Other liabilities                          56.4      57.0      56.3

27 Total liabilities                       2,275.8   2,291.9   2,281.3

28 Residual (assets less liabilities)(7)     108.2     106.8     106.1

                                             Not seasonally adjusted

   Assets
29 Bank credit                             2,081.8   2,092.8   2,086.0
30   Securities in bank credit               551.3     552.9     550.5
31     U.S. government securities            352.5     351.3     350.2
32     Other securities                      198.8     201.6     200.3
33   Loans and leases in bank credit(2)    1,530.5   1,539.9   1,535.5
34     Commercial and industrial             299.4     299.9     299.8
35     Real estate                           824.1     829.9     827.9
36       Revolving home equity                48.3      49.3      49.1
37       Other                               775.8     780.5     778.8
38     Consumer                              297.5     299.8     297.5
39       Credit cards and related plans      129.6     131.9     129.8
40       Other                               167.9     167.9     167.8
41     Security(3)                             8.7       8.4       8.4
42     Other loans and leases                100.9     102.0     101.8
43 Interbank loans                           122.5     114.7     116.5
44 Cash assets(4)                             83.7      85.9      81.0
45 Other assets(5)                           123.9     122.7     124.6

46 Total assets(6)                         2,384.8   2,388.8   2,381.0

   Liabilities
47 Deposits                                1,877.2   1,871.6   1,867.4
48   Transaction                             298.0     296.2     282.9
49   Nontransaction                        1,579.1   1,575.5   1,584.5
50     Large time                            303.0     300.9     303.2
51     Other                               1,276.1   1,274.5   1,281.3
52 Borrowings                                336.7     340.2     339.2
53   From banks in the U.S.                  151.4     153.3     151.4
54   From others                             185.3     186.9     187.7
55 Net due to related foreign offices         12.8      16.6      17.0
56 Other liabilities                          56.4      57.0      56.3

57 Total liabilities                       2,283.1   2,285.4   2,279.8

58 Residual (assets less liabilities)(7)     101.8     103.4     101.1

                                                 Wednesday figures

                                                      2001

                  Account                  May 16    May 23    May 30

                                                Seasonally adjusted

   Assets
 1 Bank credit                             2,092.0   2,095.6   2,097.7
 2   Securities in bank credit               551.2     552.1     553.7
 3     U.S. government securities            348.7     350.5     351.7
 4     Other securities                      202.6     201.6     202.0
 5   Loans and leases in bank credit(2)    1,540.8   1,543.5   1,544.0
 6     Commercial and industrial             297.2     297.3     297.6
 7     Real estate                           828.6     829.6     831.0
 8       Revolving home equity                49.2      49.3      49.5
 9       Other                               779.4     780.3     781.5
10     Consumer                              302.7     304.3     303.0
11     Security(3)                             8.8       8.7       8.8
12     Other loans and leases                103.5     103.5     103.6
13 Interbank loans                           124.4     125.6     125.6
14 Cash assets(4)                             88.2      85.9      89.4
15 Other assets(5)                           120.9     120.1     124.0

16 Total assets(6)                         2,398.4   2,400.0   2,409.6

   Liabilities
17 Deposits                                1,876.8   1,877.9   1,887.8
18   Transaction                             298.4     309.3     314.0
19   Nontransaction                        1,578.4   1,568.7   1,573.8
20     Large time                            301.2     299.7     299.5
21     Other                               1,277.1   1,269.0   1,274.3
22 Borrowings                                337.0     341.7     342.6
23   From banks in the U.S.                  152.5     155.5     153.9
24   From others                             184.5     186.2     188.7
25 Net due to related foreign offices         18.9      15.2      16.5
26 Other liabilities                          57.0      57.4      57.4

27 Total liabilities                       2,289.7   2,292.2   2,304.3

28 Residual (assets less liabilities)(7)     108.7     107.8     105.3

                                              Not seasonally adjusted

   Assets
29 Bank credit                             2,093.2   2,096.2   2,096.7
30   Securities in bank credit               552.9     553.6     554.7
31     U.S. government securities            350.3     352.0     352.7
32     Other securities                      202.6     201.6     202.0
33   Loans and leases in bank credit(2)    1,540.3   1,542.6   1,542.0
34     Commercial and industrial             300.0     299.8     299.7
35     Real estate                           829.6     831.1     831.6
36       Revolving home equity                49.4      49.4      49.5
37       Other                               780.2     781.7     782.1
38     Consumer                              300.3     301.9     300.0
39       Credit cards and related plans      132.2     133.8     132.2
40       Other                               168.0     168.1     167.8
41     Security(3)                             8.5       8.2       8.4
42     Other loans and leases                102.0     101.6     102.2
43 Interbank loans                           114.8     112.2     114.2
44 Cash assets(4)                             85.3      81.2      95.8
45 Other assets(5)                           120.9     120.1     124.0

46 Total assets(6)                         2,387.0   2,382.5   2,403.5

   Liabilities
47 Deposits                                1,870.0   1,862.9   1,883.4
48   Transaction                             291.7     297.7     315.7
49   Nontransaction                        1,578.3   1,565.1   1,567.6
50     Large time                            301.2     299.7     299.5
51     Other                               1,277.1   1,265.4   1,268.1
52 Borrowings                                337.0     341.7     342.6
53   From banks in the U.S.                  152.5     155.5     153.9
54   From others                             184.5     186.2     188.7
55 Net due to related foreign offices         18.9      15.2      16.5
56 Other liabilities                          57.0      57.4      57.4

57 Total liabilities                       2,282.9   2,277.1   2,299.9

58 Residual (assets less liabilities)(7)     104.1     105.4     103.6
E. Foreign-related institutions

Billions of dollars

                                                 Monthly averages

                                           2000            2000

                 Account                   May       Nov.       Dec.(r)

                                                Seasonally adjusted

   Assets
 1 Bank credit                            584.8      588.1        599.4
 2   Securities in bank credit            212.4      195.5        205.0
 3     U.S. government securities          80.4       68.1         69.2
 4     Other securities                   132.0      127.5        135.9
 5   Loans and leases in bank credit(2)   372.4      392.6        394.4
 6     Commercial and industrial          205.3      206.1        209.0
 7     Real estate                         17.7       18.5         18.5
 8     Security(3)                         81.5      100.3        100.1
 9     Other loans and leases              67.9       67.7         66.7
10 Interbank loans                         30.4       26.8         27.0
11 Cash assets(4)                          43.1       38.5         39.9
12 Other assets(5)                         40.5       40.0         36.1

13 Total assets(6)                        698.5      693.1        702.1

   Liabilities
14 Deposits                               383.3(r)   379.6(r)     380.0
15   Transaction                           11.1       10.8         10.6
16   Nontransaction                       372.2(r)   368.8(r)     369.4
17 Borrowings                             203.1      223.0        239.6
18   From banks in the U.S.                18.1       18.6         22.2
19   From others                          185.0      204.4        217.4
20 Net due to related foreign offices      20.6        7.3         -1.8
21 Other liabilities                       84.2       75.4         72.6

22 Total liabilities                      691.2(r)   685.2(r)     690.5

23 Residual (assets less
           liabilities)(7)                  7.4(r)     7.9(r)      11.6

                                                Not seasonally adjusted

   Assets
24 Bank credit                            580.6      590.8        610.1
25   Securities in bank credit            212.4      195.5        205.0
26     U.S. government securities          80.4       68.1         69.2
27       Trading account                   12.4       10.9         11.8
28       Investment account                68.0       57.2         57.3
29     Other securities                   132.0      127.5        135.9
30       Trading account                   87.7       88.0         90.7
31       Investment account                44.2       39.4         45.1
32   Loans and leases in bank credit(2)   368.2      395.3        405.1
33     Commercial and industrial          202.6      206.7        211.4
34     Real estate                         17.7       18.5         18.5
35     Security(3)                         80.7      101.8        106.2
36     Other loans and leases              67.2       68.2         69.0
37 Interbank loans                         30.4       26.8         27.0
38 Cash assets(4)                          42.1       40.6         42.7
39 Other assets(5)                         39.9       40.0         37.9

40 Total assets(6)                        692.7      697.9        717.4

   Liabilities
41 Deposits                               384.5(r)   382.3(r)     390.7
42   Transaction                           10.7       11.0         11.3
43   Nontransaction                       373.8(r)   371.3(r)     379.4
44 Borrowings                             203.1      223.0        239.6
45   From banks in the U.S.                18.1       18.6         22.2
46   From others                          185.0      204.4        217.4
47 Net due to related foreign offices      17.4        7.6          2.9
48 Other liabilities                       82.7       75.6         74.7

49 Total liabilities                      687.6(r)   688.4(r)     708.0

50 Residual (assets less
           liabilities)(7)                  5.1(r)     9.4(r)       9.4

                                                 Monthly averages

                                                     2001

                 Account                  Jan.(r)   Feb.(r)   Mar.(r)

                                               Seasonally adjusted

   Assets
 1 Bank credit                              613.5     607.4     620.8
 2   Securities in bank credit              208.3     198.8     205.6
 3     U.S. government securities            66.4      64.3      67.9
 4     Other securities                     141.9     134.6     137.7
 5   Loans and leases in bank credit(2)     405.2     408.6     415.2
 6     Commercial and industrial            214.5     217.4     220.6
 7     Real estate                           18.5      18.3      18.2
 8     Security(3)                          105.1     105.3     106.6
 9     Other loans and leases                67.2      67.6      69.9
10 Interbank loans                           29.2      28.4      30.7
11 Cash assets(4)                            41.5      41.8      40.7
12 Other assets(5)                           37.1      36.5      38.3

13 Total assets(6)                          720.9     713.8     730.2

   Liabilities
14 Deposits                                 386.6     380.5     378.6
15   Transaction                             10.2      10.3       9.4
16   Nontransaction                         376.4     370.2     369.2
17 Borrowings                               243.5     238.5     233.3
18   From banks in the U.S.                  25.2      22.5      24.2
19   From others                            218.3     216.0     209.1
20 Net due to related foreign offices         3.5       4.8      21.8
21 Other liabilities                         79.6      77.1      82.5

22 Total liabilities                        713.2     700.9     716.2

23 Residual (assets less
           liabilities)(7)                    7.7      12.9      13.9

                                             Not seasonally adjusted

   Assets
24 Bank credit                              621.6     610.7     616.0
25   Securities in bank credit              208.3     198.8     205.6
26     U.S. government securities            66.4      64.3      67.9
27       Trading account                     11.4      10.4       9.5
28       Investment account                  55.1      53.8      58.4
29     Other securities                     141.9     134.6     137.7
30       Trading account                     96.3      90.8      94.5
31       Investment account                  45.6      43.8      43.2
32   Loans and leases in bank credit(2)     413.3     411.9     410.4
33     Commercial and industrial            216.2     219.6     221.7
34     Real estate                           18.5      18.3      18.2
35     Security(3)                          110.4     106.3     100.6
36     Other loans and leases                68.3      67.7      69.9
37 Interbank loans                           29.2      28.4      30.7
38 Cash assets(4)                            44.1      41.9      39.3
39 Other assets(5)                           30.3      37.4      39.0

40 Total assets(6)                          732.8     718.1     724.6

   Liabilities
41 Deposits                                 396.5     388.7     383.1
42   Transaction                             10.4      10.1       9.2
43   Nontransaction                         386.1     378.7     374.0
44 Borrowings                               243.5     238.5     233.3
45   From banks in the U.S.                  25.2      22.5      24.2
46   From others                            218.3     216.0     209.1
47 Net due to related foreign offices         6.8       8.0      21.9
48 Other liabilities                         81.0      78.5      82.6

49 Total liabilities                        727.8     713.7     720.9

50 Residual (assets less
           liabilities)(7)                    5.1       4.4       3.6

                                                             Wednes-
                                                               day
                                          Monthly averages   figures

                                                2001          2001

                 Account                  Apr.        May     May 9

                                               Seasonally adjusted

   Assets
 1 Bank credit                            616.5(r)   602.9     611.9
 2   Securities in bank credit            214.6(r)   210.3     213.8
 3     U.S. government securities          75.0       69.8      71.7
 4     Other securities                   139.6(r)   140.5     142.2
 5   Loans and leases in bank credit(2)   401.9(r)   392.6     398.1
 6     Commercial and industrial          220.8(r)   218.9     222.0
 7     Real estate                         17.9(r)    18.0      18.3
 8     Security(3)                         95.3(r)    87.8      88.3
 9     Other loans and leases              67.9       67.8      69.5
10 Interbank loans                         29.5(r)    31.9      28.2
11 Cash assets(4)                          39.3       37.5      39.3
12 Other assets(5)                         40.9       38.9      38.0

13 Total assets(6)                        725.8(r)   710.7     717.0

   Liabilities
14 Deposits                               392.6(r)   406.8     382.8
15   Transaction                           10.5       10.5      10.8
16   Nontransaction                       382.1(r)   396.3     371.9
17 Borrowings                             236.0      216.4     220.5
18   From banks in the U.S.                23.5       19.5      20.7
19   From others                          212.5      196.8     199.8
20 Net due to related foreign offices       4.2       -4.7      17.6
21 Other liabilities                       87.9(r)    86.3      86.4

22 Total liabilities                      720.7(r)   704.7     707.3

23 Residual (assets less
           liabilities)(7)                  5.1        6.1       9.7

                                             Not seasonally adjusted

   Assets
24 Bank credit                            613.7(r)   598.2     607.2
25   Securities in bank credit            214.6(r)   210.3     213.8
26     U.S. government securities          75.0       69.8      71.7
27       Trading account                   14.2       13.4      13.9
28       Investment account                60.8       56.4      57.8
29     Other securities                   139.6(r)   140.5     142.2
30       Trading account                   96.5(r)    98.2      98.8
31       Investment account                43.1       42.3      43.3
32   Loans and leases in bank credit(2)   399.1(r)   387.9     393.4
33     Commercial and industrial          219.0      215.8     218.9
34     Real estate                         17.9(r)    18.0      18.3
35     Security(3)                         94.0       87.0      87.4
36     Other loans and leases              68.2       67.0      68.7
37 Interbank loans                         29.5(r)    31.9      28.2
38 Cash assets(4)                          37.7       36.6      38.2
39 Other assets(5)                         40.0       38.3      38.0

40 Total assets(6)                        720.5(r)   704.6     711.2

   Liabilities
41 Deposits                               395.4      407.9     385.9
42   Transaction                           10.0       10.1      10.2
43   Nontransaction                       385.5(r)   397.8     375.7
44 Borrowings                             236.0      216.4     220.5
45   From banks in the U.S.                23.5       19.5      20.7
46   From others                          212.5      196.8     199.8
47 Net due to related foreign offices       -.4       -7.9      16.3
48 Other liabilities                       85.8(r)    84.8      85.8

49 Total liabilities                      716.9(r)   701.1     708.5

50 Residual (assets less
           liabilities)(7)                  3.6        3.4       2.7

                                               Wednesday figures

                                                    2001

                 Account                  May 16   May 23   May 30

                                             Seasonally adjusted

   Assets
 1 Bank credit                             594.9    597.9    608.1
 2   Securities in bank credit             207.1    209.9    209.4
 3     U.S. government securities           68.7     69.9     68.4
 4     Other securities                    138.4    140.0    140.9
 5   Loans and leases in bank credit(2)    387.8    387.9    398.7
 6     Commercial and industrial           217.3    218.9    218.0
 7     Real estate                          18.0     18.0     18.0
 8     Security(3)                          85.7     83.4     95.3
 9     Other loans and leases               66.8     67.6     67.3
10 Interbank loans                          36.9     30.6     33.9
11 Cash assets(4)                           37.9     36.5     36.5
12 Other assets(5)                          39.6     40.7     37.9

13 Total assets(6)                         709.0    705.3    716.0

   Liabilities
14 Deposits                                409.4    417.6    423.3
15   Transaction                            11.3     10.0     10.1
16   Nontransaction                        398.1    407.7    413.2
17 Borrowings                              215.7    209.9    220.1
18   From banks in the U.S.                 22.2     18.4     17.2
19   From others                           193.5    191.5    202.9
20 Net due to related foreign offices       -6.8    -14.7    -16.9
21 Other liabilities                        86.5     86.1     86.4

22 Total liabilities                       704.7    698.9    712.9

23 Residual (assets less
           liabilities)(7)                   4.3      6.4      3.1

                                           Not seasonally adjusted

   Assets
24 Bank credit                             591.2    591.2    603.7
25   Securities in bank credit             207.1    209.9    209.4
26     U.S. government securities           68.7     69.9     68.4
27       Trading account                    13.3     13.5     13.2
28       Investment account                 55.4     56.4     55.2
29     Other securities                    138.4    140.0    140.9
30       Trading account                    95.7     98.3     99.5
31       Investment account                 42.7     41.7     41.4
32   Loans and leases in bank credit(2)    383.9    381.3    394.3
33     Commercial and industrial           214.4    215.2    214.9
34     Real estate                          18.0     18.0     18.0
35     Security(3)                          85.2     82.0     94.6
36     Other loans and leases               66.2     66.1     66.8
37 Interbank loans                          36.9     30.6     33.9
38 Cash assets(4)                           37.1     35.2     36.1
39 Other assets(5)                          39.3     39.8     37.1

40 Total assets(6)                         703.9    696.4    710.3

   Liabilities
41 Deposits                                409.5    418.1    423.6
42   Transaction                            10.7      9.5     10.1
43   Nontransaction                        398.8    408.6    413.5
44 Borrowings                              215.7    209.9    220.1
45   From banks in the U.S.                 22.2     18.4     17.2
46   From others                           193.5    191.5    202.9
47 Net due to related foreign offices      -10.1    -19.1    -21.3
48 Other liabilities                        84.9     84.0     84.3

49 Total liabilities                       700.0    692.9    706.7

50 Residual (assets less
           liabilities)(7)                   3.9      3.5      3.5
F. Memo items

Billions of dollars

                                             Monthly averages

                                    2000        2000            2001

              Account               May    Nov.    Dec.(r)   Jan.(r)

   MEMO
   Large domestically chartered
       banks, adjusted for
       mergers
 1 Revaluation gains on off-
       balance-sheet items(8)       72.4    68.0      77.8      79.5
 2 Revaluation losses on off-
       balance-sheet items(8)       72.9    72.6      83.1      82.5
 3 Mortgage-backed securities(9)   253.7   240.6     242.6     248.0
 4   Pass-through                  178.6   174.3     177.5     182.6
 5   CMO, REMIC, and other          75.1    66.4      65.0      65.3
 6 Net unrealized gains (losses)
       on available-for-sale
       securities(10)              -10.3    -1.2       1.4      -2.5
 7 Off-shore credit to U.S.
       residents(11)                23.5    23.1      23.4      23.0
 8 Securitized consumer
       loans(12)                   n.a.     80.5      82.2      82.4
 9   Credit cards and related
       plans                       n.a.     67.3      68.6      68.5
10   Other                         n.a.     13.2      13.6      13.9
11 Securitized business
       loans(12)                   n.a.     17.8      18.6      18.4
   Small domestically chartered
       commercial banks,
       adjusted for mergers
12 Mortgage-backed securities(9)   205.7   213.0     214.5     218.2
13 Securitized consumer
       loans(12)                   n.a.    225.6     231.1     231.5
14   Credit cards and related
       plans                       n.a.    216.1     221.9     222.4
15   Other                         n.a.      9.5       9.2       9.1
   Foreign-related institutions
16 Revaluation gains on off-
       balance-sheet items(8)       50.4    44.6      45.7      51.8
17 Revaluation losses on off-
       balance-sheet items(8)       47.0    40.8      41.7      48.9
18 Securitized business
       loans(12)                   n.a.     22.8      23.1      23.2

                                             Monthly averages

                                                    2001

              Account              Feb.(r)   Mar.(r)   Apr.        May

   MEMO
   Large domestically chartered
       banks, adjusted for
       mergers
 1 Revaluation gains on off-
       balance-sheet items(8)         77.6      80.6    79.6       81.7
 2 Revaluation losses on off-
       balance-sheet items(8)         81.0      79.8    74.9       74.7
 3 Mortgage-backed securities(9)     244.5     244.8   252.2      258.9
 4   Pass-through                    178.9     180.9   189.8(r)   195.2
 5   CMO, REMIC, and other            65.6      63.9    62.4(r)    63.7
 6 Net unrealized gains (losses)
       on available-for-sale
       securities(10)                  -.6       -.3     -.3       -1.7
 7 Off-shore credit to U.S.
       residents(11)                  22.7      22.6    21.7       21.0
 8 Securitized consumer
       loans(12)                      80.8      80.2    78.8(r)    77.0
 9   Credit cards and related
       plans                          67.3      67.3    66.4(r)    65.0
10   Other                            13.4      12.9    12.4       12.0
11 Securitized business
       loans(12)                      18.6      18.7    18.8       19.8
   Small domestically chartered
       commercial banks,
       adjusted for mergers
12 Mortgage-backed securities(9)     222.7     229.1   237.7(r)   242.3
13 Securitized consumer
       loans(12)                     235.6     238.6   241.2(r)   242.2
14   Credit cards and related
       plans                         226.8     229.9   232.6      233.8
15   Other                             8.9       8.7     8.6(r)     8.4
   Foreign-related institutions
16 Revaluation gains on off-
       balance-sheet items(8)         49.4      52.5    54.1       56.2
17 Revaluation losses on off-
       balance-sheet items(8)         47.1      49.5    50.6(r)    51.6
18 Securitized business
       loans(12)                      22.4      21.5    19.8       18.0

                                             Wednesday figures

                                                 2001

              Account              May 9   May 16   May 23   May 30

   MEMO
   Large domestically chartered
       banks, adjusted for
       mergers
 1 Revaluation gains on off-
       balance-sheet items(8)       84.1     85.0     80.5     78.1
 2 Revaluation losses on off-
       balance-sheet items(8)       74.9     74.6     74.8     74.9
 3 Mortgage-backed securities(9)   262.3    257.4    253.9    260.0
 4   Pass-through                  196.6    194.0    191.8    196.9
 5   CMO, REMIC, and other          65.7     63.4     62.1     63.1
 6 Net unrealized gains (losses)
       on available-for-sale
       securities(10)               -1.0     -1.7     -1.9     -2.4
 7 Off-shore credit to U.S.
       residents(11)                21.1     20.9     21.2     20.6
 8 Securitized consumer
       loans(12)                    78.0     77.0     75.8     76.8
 9   Credit cards and related
       plans                        65.9     65.0     64.0     65.0
10   Other                          12.1     12.0     11.8     11.8
11 Securitized business
       loans(12)                    19.8     19.8     19.8     19.9
   Small domestically chartered
       commercial banks,
       adjusted for mergers
12 Mortgage-backed securities(9)   240.9    241.2    243.5    243.7
13 Securitized consumer
       loans(12)                   242.6    240.5    241.7    243.7
14   Credit cards and related
       plans                       234.1    232.1    233.2    235.3
15   Other                           8.5      8.5      8.4      8.4
   Foreign-related institutions
16 Revaluation gains on off-
       balance-sheet items(8)       56.0     54.3     57.7     56.9
17 Revaluation losses on off-
       balance-sheet items(8)       51.1     50.4     52.8     51.9
18 Securitized business
       loans(12)                    18.4     18.1     17.7     17.5

NOTE. Tables 1.26, 1.27, and 1.28 have been revised to reflect changes
in the Board's H.8 statistical release, "Assets and Liabilities of
Commercial Banks in the United States." Table 1.27, "Assets and
Liabilities of Large Weekly Reporting Commercial Banks," and table
1.28, "Large Weekly Reporting U.S. Branches and Agencies of Foreign
Banks," are no longer being published in the Bulletin. Instead,
abbreviated balance sheets for both large and small domestically
chartered banks have been included in table 1.26, parts C and D. Data
are both merger-adjusted and break-adjusted. In addition, data from
large weekly reporting U.S. branches and agencies of foreign banks have
been replaced by balance sheet estimates of all foreign-related
institutions and are included in table 1.26, part E. These data are
break-adjusted.

The not-seasonally-adjusted data for all tables now contain additional
balance sheet items, which were available as of October 2, 1996.

(1.) Covers the following types of institutions in the fifty states and
the District of Columbia: domestically chartered commercial banks that
submit a weekly report of condition (large domestic); other
domestically chartered commercial banks (small domestic); branches and
agencies of foreign banks, and Edge Act and agreement corporations
(foreign-related institutions). Excludes International Banking
Facilities. Data are Wednesday values or pro rata averages of Wednesday
values. Large domestic banks constitute a universe; data for small
domestic banks and foreign-related institutions are estimates based on
weekly samples and on quarter-end condition reports. Data are adjusted
for breaks caused by reclassifications of assets and liabilities.

The data for large and small domestic banks presented on pp. A17-19 are
adjusted to remove the estimated effects of mergers between these two
groups. The adjustment for mergers changes past levels to make them
comparable with current levels. Estimated quantities of balance sheet
items acquired in mergers are removed from past data for the bank group
that contained the acquired bank and put into past data for the group
containing the acquiring bank. Balance sheet data for acquired banks
are obtained from Call Reports, and a ratio procedure is used to
adjust past levels.

(2.) Excludes federal funds sold to, reverse RPs with, and loans made
to commercial banks in the United States, all of which are included in
"Interbank loans."

(3.) Consists of reverse RPs with brokers and dealers and loans made to
purchase and carry securities.

(4.) Includes vault cash, cash items in process of collection, balances
due from depository institutions, and balances due from Federal Reserve
Banks.

(5.) Excludes the due-from position with related foreign offices, which
is included in "Net due to related foreign offices."

(6.) Excludes unearned income, reserves for losses on loans and leases,
and reserves for transfer risk. Loans are reported gross of these items.

(7.) This balancing item is not intended as a measure of equity capital
for use in capital adequacy analysis. On a seasonally adjusted basis,
this item reflects any differences in the seasonal patterns estimated
for total assets and total liabilities.

(8.) Fair value of derivative contracts (interest rate, foreign
exchange rate, other commodity and equity contracts) in a gain/loss
position, as determined under FASB Interpretation No. 39.

(9.) Includes mortgage-backed securities issued by U.S. government
agencies, U.S. government-sponsored enterprises, and private entities.

(10.) Difference between fair value and historical cost for securities
classified as available-for-sale under FASB Statement No. 115. Data are
reported net of tax effects. Data shown are restated to include an
estimate of these tax effects.

(11.) Mainly commercial and industrial loans but also includes an
unknown amount of credit extended to other than nonfinancial businesses.

(12.) Total amount outstanding.
1.32 COMMERCIAL PAPER AND BANKERS DOLLAR ACCEPTANCES OUTSTANDING

A. Commercial Paper

Millions of dollars, seasonally adjusted, end of period

                             Year ending December

        Item             1996      1997       1998

1 All issuers           775,371   966,699   1,163,303

  Financial
      companies(1)
2   Dealer-placed
      paper, total(2)   361,147   513,307     614,142
3   Directly placed
      paper, total(3)   229,662   252,536     322,030

4 Nonfinancial
      companies(4)      184,563   200,857     227,132

                        Year ending December             2000

        Item              1999        2000        Nov.        Dec.

1 All issuers           1,403,023   1,615,341   1,624,421   1,615,341

  Financial
      companies(1)
2   Dealer-placed
      paper, total(2)     786,643     973,060     960,701     973,060
3   Directly placed
      paper, total(3)     337,240     298,848     312,438     298,848

4 Nonfinancial
      companies(4)        279,140     343,433     351,282     343,433

                                             2001

        Item              Jan.        Feb.        Mar.        Apr.

1 All issuers           1,566,104   1,544,572   1,511,354   1,519,528

  Financial
      companies(1)
2   Dealer-placed
      paper, total(2)     976,735     977,791     978,225     995,072
3   Directly placed
      paper, total(3)     270,922     263,554     249,420     247,333

4 Nonfinancial
      companies(4)        318,447     303,227     283,711     277,123

(1.) Institutions engaged primarily in commercial, savings, and
mortgage banking; sales, personal, and mortgage financing; factoring,
finance leasing, and other business lending; insurance underwriting;
and other investment activities.

(2.) Includes all financial-company paper sold by dealers in the open
market.

(3.) As reported by financial companies that place their paper directly
with investors.

(4.) Includes public utilities and firms engaged primarily in such
activities as communications, construction, manufacturing, mining,
wholesale and retail trade, transportation, and services.
B. Bankers Dollar Acceptances(1)

Millions of dollars, not seasonally adjusted, year ending September(2)

               Item                   1997     1998     1999    2000

1 Total amount of reporting banks'
       acceptances in existence         25,774   14,363   10,094   9,881

2 Amount of other banks' eligible
    acceptances held by reporting
    banks                               736      523      461     462
3 Amount of own eligible
    acceptances held by reporting
    banks (included in item 1)        6,862    4,884    4,261   3,789
4 Amount of eligible acceptances
    representing goods stored in,
    or shipped between, foreign
    countries (included in item 1)   10,467    5,413    3,498   3,689

(1.) Includes eligible, dollar-denominated bankers acceptances legally
payable in the United States. Eligible acceptances are those that are
eligible for discount by Federal Reserve Banks; that is, those
acceptances that meet the criteria of Paragraph 7 of Section 13 of
the Federal Reserve Act (12 U.S.C. [sections] 372).

(2.) Data on bankers dollar acceptances are gathered from
approximately 40 institutions; includes U.S. chartered commercial banks
(domestic and foreign offices), U.S. branches and agencies of foreign
banks, and Edge and agreement corporations. The reporting group is
revised every year.
1.33 PRIME RATE CHARGED BY BANKS Short-Term Business Loans(1)

Percent per year

Date of change    Rate

1998--Jan.   1    8.50
      Sept. 30    8.25
      Oct.  16    8.00
      Nov.  18    7.75

1999--July   1    8.00
      Aug.  25    8.25
      Nov.  17    8.50

2000--Feb.   3    8.75
      Mar.  22    9.00
      May   17    9.50

2001--Jan.   4    9.00
      Feb.   1    8.50
      Mar.  21    8.00
      Apr.  19    7.50
      May   16    7.00
      June  28    6.75

                 Average
Period            rate

1998              8.35
1999              8.00
2000              9.23

1998--Jan.        8.50
      Feb.        8.50
      Mar.        8.50
      Apr.        8.50
      May         8.50
      June        8.50
      July        8.50
      Aug.        8.50
      Sept.       8.49
      Oct.        8.12
      Nov.        7.89
      Dec.        7.75

1999--Jan.        7.75
      Feb.        7.75
      Mar.        7.75
      Apr.        7.75
      May         7.75
      June        7.75
      July        8.00
      Aug.        8.06
      Sept.       8.25
      Oct.        8.25
      Nov.        8.37
      Dec.        8.50

2000--Jan.        8.50
      Feb.        8.73
      Mar.        8.83
      Apr.        9.00
      May         9.24
      June        9.50
      July        9.50
      Aug.        9.50
      Sept.       9.50
      Oct.        9.50
      Nov.        9.50
      Dec.        9.50

2001--Jan.        9.05
      Feb.        8.50
      Mar.        8.32
      Apr.        7.80
      May         7.24
      June        6.98

(1.) The prime rate is one of several base rates that banks use to
price short-term business loans. The table shows the date on which a
new rate came to be the predominant one quoted by a majority of the
twenty-five largest banks by asset size, based on the most recent
Call Report. Data in this table also appear in the Board's H.15 (519)
weekly and G.13 (415) monthly statistical releases. For ordering
address, see inside front cover.
1.35 INTEREST RATES Money and Capital Markets

Percent per year; figures are averages of business day data unless
otherwise noted

               Item                  1998   1999   2000

     MONEY MARKET INSTRUMENTS

 1 Federal funds(1,2,3)              5.35   4.97   6.24
 2 Discount window borrowing(2,4)    4.92   4.62   5.73

   Commercial paper(3,5,6)
   Nonfinancial
 3   1-month                         5.40   5.09   6.27
 4   2-month                         5.38   5.14   6.29
 5   3-month                         5.34   5.18   6.31

   Financial
 6   1-month                         5.42   5.11   6.28
 7   2-month                         5.40   5.16   6.30
 8   3-month                         5.37   5.22   6.33

   Commercial paper
       (historical)(3,5,7)
 9   1-month                         n.a.   n.a.   n.a.
10   3-month                         n.a.   n.a.   n.a.
11   6-month                         n.a.   n.a.   n.a.

   Finance paper, directly placed
       (historical)(3,5,8)
12   1-month                         n.a.   n.a.   n.a.
13   3-month                         n.a.   n.a.   n.a.
14   6-month                         n.a.   n.a.   n.a.

   Bankers acceptances(3,5,9)
15   3-month                         5.39   5.24   6.23
16   6-month                         5.30   5.30   6.37

   Certificates of deposit,
       secondary, market(3,10)
17   1-month                         5.49   5.19   6.35
18   3-month                         5.47   5.33   6.46
19   6-month                         5.44   5.46   6.59

20 Eurodollar deposits,
       3-month(3,11)                 5.45   5.31   6.45

   U.S. Treasury bills
   Secondary market(3,5)
21   3-month                         4.78   4.64   5.82
22   6-month                         4.83   4.75   5.90
23   1-year                          4.80   4.81   5.78
   Auction high(3,5,12)
24   3-month                         4.81   4.66   5.66
25   6-month                         4.85   4.76   5.85
26   1-year                          4.85   4.78   5.85

     U.S. TREASURY NOTES AND BONDS

   Constant maturities(13)
27   1-year                          5.05   5.08   6.11
28   2-year                          5.13   5.43   6.26
29   3-year                          5.14   5.49   6.22
30   5-year                          5.15   5.55   6.16
31   7-year                          5.28   5.79   6.20
32   10-year                         5.26   5.65   6.03
33   20-year                         5.72   6.20   6.23
34   30-year                         5.58   5.87   5.94

   Composite
35 More than 10 years (long-term)    5.69   6.14   6.41

   STATE AND LOCAL NOTES AND BONDS

   Moody's series(14)
36 Aaa                               4.93   5.28   5.58
37 Baa                               5.14   5.70   6.19
38 Bond Buyer series(15)             5.09   5.43   5.71

         CORPORATE BONDS

39 Seasoned issues, all
       industries(16)                6.87   7.45   7.98

   Rating group
40 Aaa                               6.53   7.05   7.62
41 Aa                                6.80   7.36   7.83
42 A                                 6.93   7.53   8.11
43 Baa                               7.22   7.88   8.36

   MEMO
   Dividend-price ratio(17)
44 Common stocks                     1.49   1.25   1.15

                                                2001

               Item                  Feb.   Mar.   Apr.   May

     MONEY MARKET INSTRUMENTS

 1 Federal funds(1,2,3)              5.49   5.31   4.80   4.21
 2 Discount window borrowing(2,4)    5.00   4.81   4.28   3.73

   Commercial paper(3,5,6)
   Nonfinancial
 3   1-month                         5.39   5.02   4.71   4.06
 4   2-month                         5.25   4.87   4.54   3.98
 5   3-month                         5.14   4.78   4.44   3.93

   Financial
 6   1-month                         5.41   5.06   4.74   4.08
 7   2-month                         5.29   4.93   4.57   4.00
 8   3-month                         5.19   4.81   4.47   3.96

   Commercial paper
       (historical)(3,5,7)
 9   1-month                         n.a.   n.a.   n.a.   n.a.
10   3-month                         n.a.   n.a.   n.a.   n.a.
11   6-month                         n.a.   n.a.   n.a.   n.a.

   Finance paper, directly placed
       (historical)(3,5,8)
12   1-month                         n.a.   n.a.   n.a.   n.a.
13   3-month                         n.a.   n.a.   n.a.   n.a.
14   6-month                         n.a.   n.a.   n.a.   n.a.

   Bankers acceptances(3,5,9)
15   3-month                         n.a.   n.a.   n.a.   n.a.
16   6-month                         n.a.   n.a.   n.a.   n.a.

   Certificates of deposit,
       secondary, market(3,10)
17   1-month                         5.47   5.09   4.77   4.11
18   3-month                         5.26   4.89   4.53   4.02
19   6-month                         5.12   4.74   4.41   4.01

20 Eurodollar deposits,
       3-month(3,11)                 5.26   4.89   4.55   4.01

   U.S. Treasury bills
   Secondary market(3,5)
21   3-month                         4.88   4.42   3.87   3.62
22   6-month                         4.71   4.28   3.85   3.62
23   1-year                          4.51   4.11   3.80   3.60
   Auction high(3,5,12)
24   3-month                         n.a.   n.a.   n.a.   n.a.
25   6-month                         n.a.   n.a.   n.a.   n.a.
26   1-year                          n.a.   n.a.   n.a.   n.a.

     U.S. TREASURY NOTES AND BONDS

   Constant maturities(13)
27   1-year                          4.68   4.30   3.98   3.78
28   2-year                          4.66   4.34   4.23   4.26
29   3-year                          4.71   4.43   4.42   4.51
30   5-year                          4.89   4.64   4.76   4.93
31   7-year                          5.10   4.88   5.03   5.24
32   10-year                         5.10   4.89   5.14   5.39
33   20-year                         5.62   5.49   5.78   5.92
34   30-year                         5.45   5.34   5.65   5.78

   Composite
35 More than 10 years (long-term)    n.a.   n.a.   n.a.   n.a.

   STATE AND LOCAL NOTES AND BONDS

   Moody's series(14)
36 Aaa                               5.09   5.00   5.14   5.15
37 Baa                               5.86   5.80   5.96   5.94
38 Bond Buyer series(15)             5.18   5.13   5.27   5.29

         CORPORATE BONDS

39 Seasoned issues, all
       industries(16)                7.50   7.41   7.63   7.69

   Rating group
40 Aaa                               7.10   6.98   7.20   7.29
41 Aa                                7.32   7.22   7.43   7.50
42 A                                 7.69   7.61   7.82   7.88
43 Baa                               7.87   7.84   8.07   8.07

   MEMO
   Dividend-price ratio(17)
44 Common stocks                     1.22   1.33   1.32   1.23

                                               2001, week ending

                                     Apr.   May    May    May    May
               Item                   27     4      11     18     25

     MONEY MARKET INSTRUMENTS

 1 Federal funds(1,2,3)              4.42   4.53   4.43   4.37   3.98
 2 Discount window borrowing(2,4)    4.00   4.00   4.00   3.86   3.50

   Commercial paper(3,5,6)
   Nonfinancial
 3   1-month                         4.36   4.35   4.06   3.98   3.98
 4   2-month                         4.25   4.19   3.98   3.94   3.92
 5   3-month                         4.19   4.14   3.93   3.90   3.87

   Financial
 6   1-month                         4.41   4.31   4.09   4.02   4.00
 7   2-month                         4.28   4.23   3.99   3.96   3.94
 8   3-month                         4.21   4.15   3.96   3.93   3.92

   Commercial paper
       (historical)(3,5,7)
 9   1-month                         n.a.   n.a.   n.a.   n.a.   n.a.
10   3-month                         n.a.   n.a.   n.a.   n.a.   n.a.
11   6-month                         n.a.   n.a.   n.a.   n.a.   n.a.

   Finance paper, directly placed
       (historical)(3,5,8)
12   1-month                         n.a.   n.a.   n.a.   n.a.   n.a.
13   3-month                         n.a.   n.a.   n.a.   n.a.   n.a.
14   6-month                         n.a.   n.a.   n.a.   n.a.   n.a.

   Bankers acceptances(3,5,9)
15   3-month                         n.a.   n.a.   n.a.   n.a.   n.a.
16   6-month                         n.a.   n.a.   n.a.   n.a.   n.a.

   Certificates of deposit,
       secondary, market(3,10)
17   1-month                         4.42   4.33   4.12   4.06   4.04
18   3-month                         4.26   4.20   4.01   4.00   3.98
19   6-month                         4.20   4.17   4.00   3.99   3.98

20 Eurodollar deposits,
       3-month(3,11)                 4.26   4.19   3.99   3.99   3.97

   U.S. Treasury bills
   Secondary market(3,5)
21   3-month                         3.72   3.78   3.65   3.54   3.58
22   6-month                         3.71   3.77   3.60   3.59   3.61
23   1-year                          3.65   3.72   3.58   3.58   3.59
   Auction high(3,5,12)
24   3-month                         n.a.   n.a.   n.a.   n.a.   n.a.
25   6-month                         n.a.   n.a.   n.a.   n.a.   n.a.
26   1-year                          n.a.   n.a.   n.a.   n.a.   n.a.

     U.S. TREASURY NOTES AND BONDS

   Constant maturities(13)
27   1-year                          3.82   3.90   3.76   3.76   3.78
28   2-year                          4.19   4.23   4.16   4.30   4.33
29   3-year                          4.43   4.49   4.38   4.55   4.58
30   5-year                          4.83   4.91   4.78   4.96   5.01
31   7-year                          5.11   5.14   5.12   5.30   5.33
32   10-year                         5.25   5.28   5.29   5.46   5.46
33   20-year                         5.88   5.83   5.85   5.98   5.98
34   30-year                         5.76   5.71   5.74   5.83   5.81

   Composite
35 More than 10 years (long-term)    n.a.   n.a.   n.a.   n.a.   n.a.

   STATE AND LOCAL NOTES AND BONDS

   Moody's series(14)
36 Aaa                               5.16   5.15   5.12   5.17   5.15
37 Baa                               6.01   5.96   5.92   5.98   5.92
38 Bond Buyer series(15)             5.34   5.32   5.25   5.31   5.30

         CORPORATE BONDS

39 Seasoned issues, all
       industries(16)                7.68   7.61   7.65   7.73   7.71

   Rating group
40 Aaa                               7.26   7.21   7.25   7.34   7.32
41 Aa                                7.49   7.42   7.46   7.54   7.52
42 A                                 7.88   7.81   7.85   7.93   7.90
43 Baa                               8.09   8.00   8.03   8.11   8.10

   MEMO
   Dividend-price ratio(17)
44 Common stocks                     1.27   1.23   1.24   1.22   1.22

NOTE. Some of the data in this table also appear in the Board's H.15
(519) weekly and G.13 (415) monthly statistical releases. For ordering
address, see inside front cover.

(1.) The daily effective federal funds rate is a weighted average of
rates on trades through New York brokers.

(2.) Weekly figures are averages of seven calendar days ending on
Wednesday of the current week; monthly figures include each calendar
day in the month.

(3.) Annualized using a 360-day year or bank interest.

(4.) Rate for the Federal Reserve Bank of New York.

(5.) Quoted on a discount basis.

(6.) Interest rates interpolated from data on certain commercial paper
trades settled by the Depository Trust Company. The trades represent
sales of commercial paper by dealers or direct issuers to investors
(that is, the offer side). See the Board's Commercial Paper web pages
(http://www.federalreserve.gov/releases/cp) for more information.

(7.) An average of offering rates on commercial paper for firms whose
bond rating is AA or the equivalent. Series ended August 29, 1997.

(8.) An average of offering rates on paper directly placed by finance
companies. Series ended August 29, 1997.

(9.) Representative closing yields for acceptances of the highest-rated
money center banks.

(10.) An average of dealer offering rates on nationally traded
certificates of deposit.

(11.) Bid rates for eurodollar deposits collected around 9:30 a.m.
Eastern time. Data are for indication purposes only.

(12.) Auction date for daily data; weekly and monthly averages computed
on an issue-date basis. On or after October 28, 1998, data are stop
yields from uniform-price auctions. Before that, they are weighted
average yields from multiple-price auctions.

(13.) Yields on actively traded issues adjusted to constant maturities.
Source: U.S. Department of the Treasury.

(14.) General obligation bonds based on Thursday figures; Moody's
Investors Service.

(15.) State and local government general obligation bonds maturing in
twenty years are used in compiling this index. The twenty-bond index
has a rating roughly equivalent to Moodys' A1 rating. Based on Thursday
figures.

(16.) Daily figures from Moody's Investors Service. Based on yields to
maturity on selected long-term bonds.

(17.) Standard & Poor's corporate series. Common stock ratio is based
on the 500 stocks in the price index.
1.36 STOCK MARKET Selected Statistics

                                                                2000

          Indicator           1998       1999       2000        Sept.

                                    Prices and trading volume
                                   (averages of daily figures)

    Common stock prices
        (indexes)
 1  New York Stock Ex-
        change (Dec. 31,
        1965 = 50)            550.65     619.52      643.71      667.05
 2    Industrial              684.35     775.29      809.40      829.99
 3    Transportation          468.61     491.62      414.73      404.23
 4    Utility                 190.52     284.82      478.99      463.76
 5    Finance                 516.65     530.97      552.48      616.89

 6  Standard & Poor's
        Corporation
        (1941-43 = 10)(1)   1,085.50   1,327.33    1,427.22    1,468.06

 7  American Stock Ex-
        change (Aug. 31,
        1973=50)(2)           682.69     770.90      922.22      952.74

    Volume of trading
        (thousands of
        shares)
 8  New York Stock Ex-
        change               666,534    799,554   1,026,867   1,026,597
 9  American Stock Ex-
        change                28,870     32,629      51,437      47,047

                              Customer financing (millions of dollars,
                                      end-of-period balances)

10  Margin credit at
        broker--dealers
        (3)                  140,980    228,530     198,790     250,780

    Free credit balances
        at brokers(4)
11  Margin accounts(5)        40,250     55,130     100,680      70,960
12  Cash accounts             62,450     79,070      84,400      74,766

                             Margin requirements (percent of market
                                  value and effective date)(6)

                                Mar. 11, 1968          June 8, 1968

13  Margin stocks                    70                     80
14  Convertible bonds                50                     60
15  Short sales                      70                     80

                                         2000

          Indicator           Oct.        Nov.        Dec.

                                 Prices and trading volume
                                (averages of daily figures)

    Common stock prices
        (indexes)
 1  New York Stock Ex-
        change (Dec. 31,
        1965 = 50)             646.53      646.64      645.44
 2    Industrial               797.00      800.88      792.66
 3    Transportation           403.20      434.92      457.53
 4    Utility                  469.16      455.66      444.16
 5    Finance                  587.76      600.45      621.62

 6  Standard & Poor's
        Corporation
        (1941-43 = 10)(1)    1,390.14    1,375.04    1,330.93

 7  American Stock Ex-
        change (Aug. 31,
        1973=50)(2)            913.64      892.60      870.16

    Volume of trading
        (thousands of
        shares)
 8  New York Stock Ex-
        change              1,167,025   1,015,606   1,183,149
 9  American Stock Ex-
        change                 57,915      58,541      73,759

                             Customer financing (millions of
                             dollars, end-of-period balances)

10  Margin credit at
        broker--dealers
        (3)                   233,380     219,110     198,790

    Free credit balances
        at brokers(4)
11  Margin accounts(5)         82,990      96,730     100,680
12  Cash accounts              73,410      74,050      84,400

                                Margin requirements (percent of
                              market value and effective date)(6)

                                  May 6, 1970       Dec. 6, 1971

13  Margin stocks                     65                55
14  Convertible bonds                 50                50
15  Short sales                       65                55

                                           2001

          Indicator           Jan.            Feb.        Mar.

                                   Prices and trading volume
                                  (averages of daily figures)

    Common stock prices
        (indexes)
 1  New York Stock Ex-
        change (Dec. 31,
        1965 = 50)             650.55         648.05      603.44
 2    Industrial               796.74         799.38      744.21
 3    Transportation           471.21         482.26      452.36
 4    Utility                  440.36         424.53      395.34
 5    Finance                  634.17         626.41      583.38

 6  Standard & Poor's
        Corporation
        (1941-43 = 10)(1)    1,335.63       1,305.75    1,185.85

 7  American Stock Ex-
        change (Aug. 31,
        1973=50)(2)            898.18         923.99      891.22

    Volume of trading
        (thousands of
        shares)
 8  New York Stock Ex-
        change              1,299,986      1,117,977   1,251,569
 9  American Stock Ex-
        change                 72,312         70,648      81,666

                               Customer financing (millions of
                               dollars, end-of-period balances)

10  Margin credit at
        broker--dealers
        (3)                   197,110        186,110     165,350

    Free credit balances
        at brokers(4)
11  Margin accounts(5)         90,380         99,390     106,300
12  Cash accounts              81,380         78,660      77,520

                               Margin requirements (percent of
                              market value and effective date)(6)

                            Dec. 6, 1971        Nov. 24, 1972

13  Margin stocks               55                   65
14  Convertible bonds           50                   50
15  Short sales                 55                   65

                                    2001

          Indicator           Apr.         May

                               Prices and trading
                              volume (averages of
                                daily figures)

    Common stock prices
        (indexes)
 1  New York Stock Ex-
        change (Dec. 31,
        1965 = 50)             607.06      644.44
 2    Industrial               747.48      798.94
 3    Transportation           455.22      477.21
 4    Utility                  400.49      414.69
 5    Finance                  587.88      618.74

 6  Standard & Poor's
        Corporation
        (1941-43 = 10)(1)    1,189.84    1,270.37

 7  American Stock Ex-
        change (Aug. 31,
        1973=50)(2)            891.18      940.73

    Volume of trading
        (thousands of
        shares)
 8  New York Stock Ex-
        change              1,247,382   1,091,366
 9  American Stock Ex-
        change                 77,612      66,103

                              Customer financing
                                 (millions of
                             dollars, end-of-period
                                  balances)

10  Margin credit at
        broker--dealers
        (3)                   166,940     174,180

    Free credit balances
        at brokers(4)
11  Margin accounts(5)         97,470      91,990
12  Cash accounts              77,460      76,260

                               Margin requirements
                            (percent of market value
                              and effective date)(6)

                                 Jan. 3, 1974

13  Margin stocks                     50
14  Convertible bonds                 50
15  Short sales                       50

(1.) In July 1976 a financial group, composed of banks and insurance
companies, was added to the group of stocks on which the index is
based. The index is now based on 400 industrial stocks (formerly 425),
20 transportation (formerly 15 rail), 40 public utility (formerly 60),
and 40 financial.

(2.) On July 5, 1983, the American Stock Exchange rebased its index,
effectively cutting previous readings in half.

(3.) Since July 1983, under the revised Regulation T, margin credit at
broker-dealers has included credit extended against stocks, convertible
bonds, stocks acquired through the exercise of subscription rights,
corporate bonds, and government securities. Separate reporting of data
for margin stocks, convertible bonds, and subscription issues was
discontinued in April 1984.

(4.) Free credit balances are amounts in accounts with no unfulfilled
commitments to brokers and are subject to withdrawal by customers on
demand.

(5.) Series initiated in June 1984.

(6.) Margin requirements, stated in regulations adopted by the Board
of Governors pursuant to the Securities Exchange Act of 1934, limit
the amount of credit that can be used to purchase and carry "margin
securities" (as defined in the regulations) when such credit is
collateralized by securities. Margin requirements on securities are
the difference between the market value (100 percent) and the maximum
loan value of collateral as prescribed by the Board. Regulation T was
adopted effective Oct. 15, 1934; Regulation U, effective May 1, 1936;
Regulation G, effective Mar. 11, 1968; and Regulation X, effective
Nov. 1, 1971.

On Jan. 1, 1977, the Board of Governors for the first time established
in Regulation T the initial margin required for writing options on
securities, setting it at 30 percent of the current market value of the
stock underlying the option. On Sept. 30, 1985, the Board changed the
required initial margin, allowing it to be the same as the option
maintenance margin required by the appropriate exchange or
self-regulatory organization; such maintenance margin rules must be
approved by the Securities and Exchange Commission.
1.38 FEDERAL FISCAL AND FINANCING OPERATIONS

Millions of dollars

                               Fiscal year             Calendar
                                                         year

                                                        2000

Type of account
  or operation       1998        1999        2000       Dec.

   US. Budget(1)
 1 Receipts,
       total       1,721,798   1,827,302   2,025,218   200,489
 2   On-budget     1,305,999   1,382,986   1,544,634   161,737
 3   Off-budget      415,799     444,468     480,584    38,752
 4 Outlays,
       total       1,652,619   1,702,875   1,788,826   167,823
 5   On-budget     1,336,015   1,382,097   1,458,061   132,747
 6   Off-budget      316,604     320,778     330,765    35,075
 7 Surplus or
       deficit
       (-),
       total          69,179     124,579     236,392    32,666
 8   On-budget       -30,016         889      86,573    28,990
 9   Off-budget       99,195     123,690     149,819     3,677

   Source of
       financing
       (total)
10 Borrowing
       from the
       public        -51,211     -88,674    -222,672   -36,689
11 Operating
       cash (de-
       crease,
       or in-
       crease
       [-])            4,743     -17,580       3,799    -9,632
12 Other(2)          -22,711     -18,325     -17,519    13,655

   MEMO
13 Treasury
       operating
       balance
       (level,
       end of
       period)        38,878      56,458      52,659    21,069
14 Federal
       Reserve
       Banks           4,952       6,641       8,459     5,149
15 Tax and loan
       accounts       33,926      49,817      44,199    15,920

                                     Calendar year

                                          2001
Type of account
  or operation      Jan.      Feb.      Mar.          Apr.       May

   US. Budget(1)
 1 Receipts,
       total       219,215   110,481   130,071(r)    331,796   125,194
 2   On-budget     171,001    70,555    84,120(r)    278,611    84,363
 3   Off-budget     48,214    39,926    45,951        53,185    40,831
 4 Outlays,
       total       142,836   158,649   180,733(r)    141,999   153,112
 5   On-budget     144,448   123,573   145,182(r)    109,938   118,121
 6   Off-budget     -1,613    35,076    35,550        32,062    34,992
 7 Surplus or
       deficit
       (-),
       total        76,379   -48,168   -50,662       189,796   -27,919
 8   On-budget      26,553   -53,018   -61,062       168,673   -33,758
 9   Off-budget     49,827     4,850    10,401        21,123     5,839

   Source of
       financing
       (total)
10 Borrowing
       from the
       public      -23,990    15,100    32,557      -135,572   -20,608
11 Operating
       cash (de-
       crease,
       or in-
       crease
       [-])        -45,761    45,717    -7,171       -36,846    58,856
12 Other(2)         -6,628   -12,649    25,276       -17,378   -10,329

   MEMO
13 Treasury
       operating
       balance
       (level,
       end of
       period)      66,830    21,113    28,284        65,130     6,274
14 Federal
       Reserve
       Banks         5,256     4,956     5,657         7,894     4,396
15 Tax and loan
       accounts     61,574    16,158    22,627        57,236     1,878

(1.) Since 1990, off-budget items have been the social security trust
funds (Federal Old-Age, Survivors, and Disability Insurance) and the
U.S. Postal Service.

(2.) Includes special drawing rights (SDRs); reserve position on the
U.S. quota in the International Monetary Fund (IMF); loans to the IMF;
other cash and monetary assets; accrued interest payable to the
public; allocations of SDRs; deposit funds; miscellaneous liability
(including checks outstanding) and asset accounts; seigniorage;
increment on gold; net gain or loss for U.S. currency valuation
adjustment; net gain or loss for IMF loan-valuation adjustment; and
profit on sale of gold.

SOURCE. Monthly totals: U.S. Department of the Treasury, Monthly
Treasury Statement of Receipts and Outlays of the U.S. Government;
fiscal year totals: U.S. Office of Management and Budget, Budget of
the U.S. Government when available.
1.39 U.S. BUDGET RECEIPTS AND OUTLAYS(1)

Millions of dollars

                      Fiscal year              Calendar year

                                                   1999

   Source or type       1999        2000        H1        H2

      RECEIPTS

 1 All sources        1,827,302   2,025,218   966,045   892,266

 2 Individual
       income
       taxes, net       879,480   1,004,462   481,907   425,451
 3   Withheld           693,940     780,397   351,068   372,012
 4   Nonwithheld        308,185     358,049   240,278    68,302
 5   Refunds            122,706     134,046   109,467    14,841
   Corporation
       income taxes
 6   Gross receipts     216,324     235,655   106,861   110,111
 7   Refunds             31,645      28,367    17,092    13,996
 8 Social insurance
       taxes and
       contribu-
       tions, net       611,833     652,852   324,831   292,551
 9   Employment
       taxes and
       contribu-
       tions(2)         580,880     620,451   306,235   280,059
10   Unemployment
       insurance         26,480      27,640    16,378    10,173
11   Other net
       receipts(3)        4,473       4,761     2,216     2,319

12 Excise taxes          70,414      68,865    31,015    34,262
13 Customs deposits      18,336      19,914     8,440    10,287
14 Estate and gift
       taxes             27,782      29,010    14,915    14,001
15 Miscellaneous
       receipts(4)       34,929      42,826    15,140    19,569

      OUTLAYS

16 All types          1,702,875   1,788,826   817,227   882,465

17 National defense     274,873     294,494   134,414   149,573
18 International
       affairs           15,243      17,216     6,879     8,530
19 General science,
       space, and
       technology        18,125      18,637     9,319    10,089
20 Energy                   912      -1,060       797       -90
21 Natural
       resources
       and environ-
       ment              23,970      25,031    10,351    12,100
22 Agriculture           23,011      36,641     9,803    20,887

23 Commerce and
       housing
       credit             2,649       3,211    -1,629     7,353
24 Transportation        42,531      46,854    17,082    23,199
25 Community and
       regional
       development       11,870      10,629     5,368     6,806
26 Education,
       training,
       employment,
       and social
       services          56,402      59,201    29,003    27,532

27 Health               141,079     154,534    69,320    74,490
28 Social security
       and Medicare     580,488     606,549   261,146   295,030
29 Income security      237,707     247,895   126,552   113,504

30 Veterans
       benefits and
       services          43,212      47,083    20,105    23,412
31 Administration
       of justice        25,924      27,820    13,149    13,459
32 General
       government        15,771      13,454     6,641     7,010
33 Net interest(5)      229,735     223,218   116,655   112,420
34 Undistributed
       offsetting
       receipts(6)      -40,445     -42,581   -17,724   -22,850

                                      Calendar year

                          2000                       2001

   Source or type     H1          H2        Mar.      Apr.      May

      RECEIPTS

 1 All sources        1,089,763   952,942   130,071   331,796   125,194

 2 Individual
       income
       taxes, net       550,208   458,679    33,591   220,015    46,718
 3   Withheld           388,526   395,572    67,068    64,489    63,237
 4   Nonwithheld        281,103    77,732     7,662   187,032    13,753
 5   Refunds            119,477    14,628    41,153    31,518    30,282
   Corporation
       income taxes
 6   Gross receipts     119,166   123,962    26,986    26,693     6,453
 7   Refunds             13,781    15,776     4,849     2,948     1,349
 8 Social insurance
       taxes and
       contribu-
       tions, net       353,514   310,122    60,135    73,887    61,437
 9   Employment
       taxes and
       contribu-
       tions(2)         333,584   297,665    59,499    68,773    52,210
10   Unemployment
       insurance         17,562    10,097       209     4,760     8,786
11   Other net
       receipts(3)        2,368     2,360       427       354       441

12 Excise taxes          33,532    35,501     7,064     5,690     4,390
13 Customs deposits       9,218    10,676     1,653     1,477     1,501
14 Estate and gift
       taxes             15,073    13,216     2,215     4,471     2,485
15 Miscellaneous
       receipts(4)       22,831    16,556     3,276     2,510     3,559

      OUTLAYS

16 All types            892,947   894,905   180,733   141,999   153,508

17 National defense     143,476   147,651    31,144    22,253    26,028
18 International
       affairs            7,250    11,902     1,980     1,272    -1,490
19 General science,
       space, and
       technology         9,601    10,389     1,811     1,547     1,892
20 Energy                  -893      -595       187      -390       -25
21 Natural
       resources
       and environ-
       ment              10,814    12,907     1,822     1,741     2,136
22 Agriculture           11,164    20,977     2,083     1,272       711

23 Commerce and
       housing
       credit            -2,497     4,408     1,025      -260      -907
24 Transportation        21,054    25,841     3,899     3,593     4,850
25 Community and
       regional
       development        5,050     5,962       616       855       928
26 Education,
       training,
       employment,
       and social
       services          31,234    29,263     6,874     4,798     5,907

27 Health                75,871    81,413    14,763    14,844    14,954
28 Social security
       and Medicare     306,966   307,473    57,468    50,826    55,876
29 Income security      133,915   113,212    31,652    19,913    22,005

30 Veterans
       benefits and
       services          23,174    22,615     6,333     2,164     2,865
31 Administration
       of justice        13,981    14,635     2,559     2,562     2,450
32 General
       government         6,198     6,461     1,100     1,162       849
33 Net interest(5)      115,545   104,685    18,568    17,816    18,363
34 Undistributed
       offsetting
       receipts(6)      -19,346   -24,070    -3,150    -3,970    -3,882

(1.) Functional details do not sum to total outlays for calendar year
data because revisions to monthly totals have not been distributed
among functions. Fiscal year total for receipts and outlays do not
correspond to calendar year data because revisions from the Budget
have not been fully distributed across months.

(2.) Old-age, disability, and hospital insurance, and railroad
retirement accounts.

(3.) Federal employee retirement contributions and civil service
retirement and disability fund.

(4.) Deposits of earnings by Federal Reserve Banks and other
miscellaneous receipts.

(5.) Includes interest received by trust funds.

(6.) Rents and royalties for the outer continental shelf, U.S.
government contributions for employee retirement, and certain
asset sales.

SOURCE. Fiscal year totals: U.S. Office of Management and Budget,
Budget of the U.S. Government, Fiscal Year 2002; monthly and
half-year totals: U.S. Department of the Treasury, Monthly Treasury
Statement of Receipts and Outlays of the U.S. Government.
1.40 FEDERAL DEBT SUBJECT TO STATUTORY LIMITATION

Billions of dollars, end of month

                                                 1999

            Item                     Mar. 31   June 30   Sept. 30

 1 Federal debt outstanding            5,681     5,668      5,685

 2 Public debt securities              5,652     5,639      5,656
 3   Held by public                    3,795     3,685      3,667
 4   Held by agencies                  1,857     1,954      1,989

 5 Agency securities                      29        29         29
 6   Held by public                       28        28         28
 7   Held by agencies                      1         1          1

 8 Debt subject to statutory limit     5,566     5,552      5,568

 9 Public debt securities              5,566     5,552      5,568
10 Other debt(1)                           0         0          0

   MEMO
11 Statutory debt limit                5,950     5,950      5,950

                                      1999           2000

            Item                     Dec. 31   Mar. 31   June 30

 1 Federal debt outstanding            5,805     5,802     5,714

 2 Public debt securities              5,776     5,773     5,686
 3   Held by public                    3,716     3,688     3,496
 4   Held by agencies                  2,061     2,085     2,190

 5 Agency securities                      29        28        28
 6   Held by public                       28        28        28
 7   Held by agencies                      1         0         0

 8 Debt subject to statutory limit     5,687     5,687     5,601

 9 Public debt securities              5,687     5,686     5,601
10 Other debt(1)                           0         0         0

   MEMO
11 Statutory debt limit                5,950     5,950     5,950

                                            2000           2001

           Item                      Sept. 30   Dec. 31   Mar. 31

 1 Federal debt outstanding             5,702     5,690     5,801

 2 Public debt securities               5,674     5,662     5,774
 3   Held by public                     3,439     3,414     3,434
 4   Held by agencies                   2,236     2,249     2,339

 5 Agency securities                       28        27        27
 6   Held by public                        28        27        27
 7   Held by agencies                       0         0         0

 8 Debt subject to statutory limit      5,592     5,581     5,693

 9 Public debt securities               5,591     5,580     5,692
10 Other debt(1)                            0         0         0

   MEMO
11 Statutory debt limit                 5,950     5,950     5,950

(1.) Consists of guaranteed debt of U.S. Treasury and other
federal agencies, specified participation certificates, notes
to international lending organizations, and District of Columbia
stadium bonds.

SOURCE. U.S. Department of the Treasury, Monthly Statement of the
Public Debt of the United States and Monthly Treasury Statement.
1.41 GROSS PUBLIC DEBT OF U.S. TREASURY Types and Ownership

Billions of dollars, end of period

        Type and holder        1997      1998      1999

 1 Total gross public debt    5,502.4   5,614.2   5,776.1

   By type
 2 Interest-bearing           5,494.9   5,605.4   5,766.1
 3   Marketable               3,456.8   3,355.5   3,281.0
 4     Bills                    715.4     691.0     737.1
 5     Notes                  2,106.1   1,960.7   1,784.5
 6     Bonds                    587.3     621.2     643.7
 7     Inflation-indexed
           notes and
           bonds(1)              33.0      67.6     100.7
 8   Nonmarketable(2)         2,038.1   2,249.9   2,485.1
 9     State and local
           government
           series               124.1     165.3     165.7
10     Foreign issues(3)         36.2      34.3      31.3
11       Government              36.2      34.3      31.3
12       Public                    .0        .0        .0
13     Savings bonds and
           notes                181.2     180.3     179.4
14      Government account
           series(4)          1,666.7   1,840.0   2,078.7
15 Non-interest-bearing           7.5       8.8      10.0

   By holder(5)
16 U.S. Treasury and other
           federal agencies
           and trust funds    1,657.1   1,828.1   2,064.2
17 Federal Reserve Banks(6)     430.7     452.1     478.0
18 Private investors          3,414.6   3,334.0   3,233.9
19   Depository
           institutions         300.3     237.3     246.5
20   Mutual funds               321.5     343.2     348.6
21   Insurance companies        176.6     144.5     125.3
22   State and local
           treasuries(7)        239.3     269.3     266.8
     Individuals
23   Savings bonds              186.5     186.6     186.4
24   Pension funds              360.5     375.3     378.9(r)
25     Private                  143.5     157.6     167.7
26     State and Local          216.9     217.7     211.2(r)
27   Foreign and
            internationals    1,241.6   1,278.7   1,268.7
28   Other miscellaneous
           investors(7,9)       589.5     499.0     410.8

                               2000              2000

        Type and holder                      Q2        Q3

 1 Total gross public debt    5,662.2      5,685.9   5,674.2

   By type
 2 Interest-bearing           5,618.1      5,675.9   5,622.1
 3   Marketable               2,966.9      3,070.7   2,992.8
 4     Bills                    646.9        629.9     616.2
 5     Notes                  1,557.3      1,679.1   1,611.3
 6     Bonds                    626.5        637.7     635.3
 7     Inflation-indexed
           notes and
           bonds(1)             121.2        109.0     115.0
 8   Nonmarketable(2)         2,651.2      2,605.2   2,629.3
 9     State and local
           government
           series               151.0        160.4     153.3
10     Foreign issues(3)         27.2         27.7      25.4
11       Government              27.2         27.7      25.4
12       Public                    .0           .0        .0
13     Savings bonds and
           notes                176.9        177.7     177.7
14      Government account
           series(4)          2,266.1      2,209.4   2,242.9
15 Non-interest-bearing          44.2         10.1      52.1

   By holder(5)
16 U.S. Treasury and other
           federal agencies
           and trust funds    2,270.2      2,193.6   2,226.5
17 Federal Reserve Banks(6)     511.7        504.9     511.4
18 Private investors          2,880.4      2,987.4   2,936.2
19   Depository
           institutions         197.8        219.4     218.3
20   Mutual funds               339.0        322.8     324.3
21   Insurance companies        116.6        122.0     119.3
22   State and local
           treasuries(7)        246.2        256.4     241.9
     Individuals
23   Savings bonds              184.8        184.6     184.3
24   Pension funds              387.7(r)     384.1     383.1
25     Private                  181.6        173.6     179.2
26     State and Local          206.1        210.5     203.9
27   Foreign and
            internationals    1,201.4      1,248.8   1,225.2
28   Other miscellaneous
           investors(7,9)       218.3        250.4     237.9

                               2000         2001

                                Q4           Q1

 1 Total gross public debt    5,662.2      5,773.7

   By type
 2 Interest-bearing           5,618.1      5,752.0
 3   Marketable               2,966.9      2,981.9
 4     Bills                    646.9        712.0
 5     Notes                  1,557.3      1,499.0
 6     Bonds                    626.5        627.9
 7     Inflation-indexed
           notes and
           bonds(1)             121.2        128.0
 8   Nonmarketable(2)         2,651.2      2,770.0
 9     State and local
           government
           series               151.0        152.9
10     Foreign issues(3)         27.2         24.7
11       Government              27.2         24.7
12       Public                    .0           .0
13     Savings bonds and
           notes                176.9        177.4
14      Government account
           series(4)          2,266.1      2,360.3
15 Non-interest-bearing          44.2         46.5

   By holder(5)
16 U.S. Treasury and other
           federal agencies
           and trust funds    2,270.2      2,357.0
17 Federal Reserve Banks(6)     511.7        523.9
18 Private investors          2,880.4      2,892.9
19   Depository
           institutions         197.8        188.1
20   Mutual funds               339.0        348.2
21   Insurance companies        116.6        112.8
22   State and local
           treasuries(7)        246.2        234.1
     Individuals
23   Savings bonds              184.8        184.8
24   Pension funds              387.7(r)     384.9
25     Private                  181.6        181.3
26     State and Local          206.1        203.6
27   Foreign and
            internationals    1,201.4      1,196.2
28   Other miscellaneous
           investors(7,9)       218.3        n.a.

(1.) The U.S. Treasury first issued inflation-indexed securities
during the first quarter of 1997.

(2.) Includes (not shown separately) securities issued to the Rural
Electrification Administration, depository bonds, retirement plan
bonds, and individual retirement bonds.

(3.) Nonmarketable series denominated in dollars, and series
denominated in foreign currency held by foreigners.

(4.) Held almost entirely by U.S. Treasury and other federal
agencies and trust funds.

(5.) Data for Federal Reserve Banks and U.S. government agencies
and trust funds are actual holdings; data for other groups are
Treasury estimates.

(6.) U.S. Treasury securities bought outright by Federal Reserve
Banks, see Bulletin table 1.18.

(7.) In March 1996, in a redefinition of series, fully defeased
debt backed by nonmarketable federal securities was removed from
"Other miscellaneous investors" and added to "State and
local treasuries." The data shown here have been revised accordingly.

(8.) Includes nonmarketable foreign series Treasury securities and
Treasury deposit funds. Excludes Treasury securities held under
repurchase agreements in custody accounts at the Federal Reserve
Bank of New York.

(9.) Includes individuals, government-sponsored enterprises, brokers
and dealers, bank personal trusts and estates, corporate and
noncorporate businesses, and other investors.

SOURCES. Data by type of security, U.S. Treasury Department, Monthly
Statement of the Public Debt of the United States; data by holder,
Federal Reserve Board of Governors, Flow of Funds Accounts of the
United States and U.S. Treasury Department, Treasury Bulletin,
unless otherwise noted.
1.42 U.S. GOVERNMENT SECURITIES DEALERS Transactions(1)

Millions of dollars, daily averages

                                              2001

           Item                   Feb.         Mar.         Apr.

   OUTRIGHT TRANSACTIONS(2)

   By type of security
 1 U.S. Treasury bills           30,923       32,043       32,414
   Coupon securities, by
         maturity
 2   Five years or less         177,374      170,530(r)   180,666(r)
 3   More than five years        97,333(r)    87,263(r)    82,663(r)
 4 Inflation-indexed              1,673        1,575        1,847(r)
   Federal agency
 5   Discount notes              66,280       62,429       61,242(r)
     Coupon securities,
         by maturity
 6     One year or less           1,406(r)       998        1,188
 7     More than one year,
         but less than or
         or equal to five
         years                   19,340       16,460       18,577
 8     More than five
         years                    9,935       13,912        7,125(r)
 9   Mortgage-backed            108,394      105,381      107,684

   By type of counterparty
   With interdealer broker
10   U.S. Treasury              164,014      151,017      152,513
11   Federal agency              14,732       15,012       12,924
12   Mortgage-backed             32,659       34,045       34,441
   With other
13   U.S. Treasury              143,288      140,393      145,077
14   Federal agency              82,229       78,786       75,208
15   Mortgage-backed             75,735       71,337       73,244

   FUTURES TRANSACTIONS(3)

   By type of deliverable
         security
16 U.S. Treasury bills                0        n.a.         n.a.
   Coupon securities,
         by maturity
17   Five years or less           4,230        4,208        3,482
18   More than five years        17,291       16,989       17,079(r)
19 Inflation-indexed                  0            0            0
   Federal agency
20   Discount notes                   0            0            0
     Coupon securities,
         by maturity
21     One year or less               0            0            0
22     More than one
         year, but less
         than or equal to
         five years                   0            0            0
23     More than five
         years                       66           55        n.a.
24   Mortgage-backed                  0            0            0

   OPTIONS TRANSACTIONS(4)

   By type of underlying
         security
25 U.S. Treasury bills                0            0            0
   Coupon securities, by
         maturity
26   Five years or less             971        1,167        1,022
27   More than five years         4,166        4,188        4,119
28 Inflation-indexed                  0            0            0
   Federal agency
29   Discount notes                   0            0            0
     Coupon securities, by
         maturity
30   One year or less                 0            0            0
31   More than one year,
         but less than
         or equal to five
         years                       29           85           72
32   More than five years           119          133          118
33   Mortgage-backed              1,444        1,863        1,024

                                         2001, week ending

           Item                   Apr. 4       Apr. 11     Apr. 18

   OUTRIGHT TRANSACTIONS(2)

   By type of security
 1 U.S. Treasury bills            36,299       31,998       44,646
   Coupon securities, by
         maturity
 2   Five years or less          175,696(r)   159,027(r)   190,179
 3   More than five years         84,918(r)    85,881(r)    78,227
 4 Inflation-indexed               1,794        1,676        1,770
   Federal agency
 5   Discount notes               57,355       56,842(r)    61,195
     Coupon securities,
         by maturity
 6     One year or less              965          647        1,517
 7     More than one year,
         but less than or
         or equal to five
         years                    12,047       17,969       18,396
 8     More than five
         years                     8,079(r)     6,381(r)     5,274
 9   Mortgage-backed              83,096      144,118      126,096

   By type of counterparty
   With interdealer broker
10   U.S. Treasury               153,316      142,672      160,861
11   Federal agency               11,034       11,672       11,608
12   Mortgage-backed              28,157       43,120       39,724
   With other
13   U.S. Treasury               145,390      135,910      153,961
14   Federal agency               67,411       70,167       74,774
15   Mortgage-backed              54,940      100,998       86,373

   FUTURES TRANSACTIONS(3)

   By type of deliverable
         security
16 U.S. Treasury bills             n.a.         n.a.         n.a.
   Coupon securities,
         by maturity
17   Five years or less            3,488        3,919        3,766
18   More than five years         16,395       18,265       16,849
19 Inflation-indexed                   0            0            0
   Federal agency
20   Discount notes                    0            0            0
     Coupon securities,
         by maturity
21     One year or less                0            0            0
22     More than one
         year, but less
         than or equal to
         five years                    0            0            0
23     More than five
         years                     n.a.         n.a.         n.a.
24   Mortgage-backed                   0            0            0

   OPTIONS TRANSACTIONS(4)

   By type of underlying
         security
25 U.S. Treasury bills                 0            0            0
   Coupon securities, by
         maturity
26   Five years or less            1,739          502        1,908
27   More than five years          4,805        4,563        4,848
28 Inflation-indexed                   0            0            0
   Federal agency
29   Discount notes                    0            0            0
     Coupon securities, by
         maturity
30   One year or less                  0            0            0
31   More than one year,
         but less than
         or equal to five
         years                        85        n.a.            63
32   More than five years             75          172           29
33   Mortgage-backed                 802        1,251        1,753

                                  2001, week ending

           Item                Apr. 25   May 2     May 9

   OUTRIGHT TRANSACTIONS(2)

   By type of security
 1 U.S. Treasury bills         27,625    20,894    17,560
   Coupon securities, by
         maturity
 2   Five years or less       196,537   182,562   196,987
 3   More than five years      82,033    82,012    94,801
 4 Inflation-indexed            1,995     2,044     1,629
   Federal agency
 5   Discount notes            66,497    63,766    59,305
     Coupon securities,
         by maturity
 6     One year or less         1,502     1,352     1,730
 7     More than one year,
         but less than or
         or equal to five
         years                 23,674    17,867    15,792
 8     More than five
         years                  8,070     8,307     6,490
 9   Mortgage-backed           88,470    79,022   120,064

   By type of counterparty
   With interdealer broker
10   U.S. Treasury            156,341   150,604   159,235
11   Federal agency            15,939    13,632    12,476
12   Mortgage-backed           29,240    27,882    39,299
   With other
13   U.S. Treasury            151,850   136,908   151,742
14   Federal agency            83,805    77,660    70,842
15   Mortgage-backed           59,231    51,140    80,765

   FUTURES TRANSACTIONS(3)

   By type of deliverable
         security
16 U.S. Treasury bills          n.a.      n.a.      n.a.
   Coupon securities,
         by maturity
17   Five years or less         3,007     3,161     4,387
18   More than five years      17,124    16,015    16,450
19 Inflation-indexed                0         0         0
   Federal agency
20   Discount notes                 0         0         0
     Coupon securities,
         by maturity
21     One year or less             0         0         0
22     More than one
         year, but less
         than or equal to
         five years                 0         0         0
23     More than five
         years                  n.a.      n.a.      n.a.
24   Mortgage-backed                0         0         0

   OPTIONS TRANSACTIONS(4)

   By type of underlying
         security
25 U.S. Treasury bills              0         0         0
   Coupon securities, by
         maturity
26   Five years or less           598       696     1,366
27   More than five years       3,615     2,561     3,060
28 Inflation-indexed                0         0         0
   Federal agency
29   Discount notes                 0         0         0
     Coupon securities, by
         maturity
30   One year or less               0         0         0
31   More than one year,
         but less than
         or equal to five
         years                   n.a.        70       130
32   More than five years        n.a.       190       196
33   Mortgage-backed              404       932     2,435

                                     2001, week ending

           Item
                                 May 16    May 23    May 30
   OUTRIGHT TRANSACTIONS(2)

   By type of security
 1 U.S. Treasury bills            20,596    20,583    34,425
   Coupon securities, by
         maturity
 2   Five years or less          201,426   163,520   170,148
 3   More than five years         94,370    80,939    74,755
 4 Inflation-indexed               2,650     1,469     1,633
   Federal agency
 5   Discount notes               52,421    52,497    56,532
     Coupon securities,
         by maturity
 6     One year or less            1,588     1,194     1,903
 7     More than one year,
         but less than or
         or equal to five
         years                    18,626    17,249    14,387
 8     More than five
         years                     8,903    13,506     7,244
 9   Mortgage-backed             122,504    87,584    72,304

   By type of counterparty
   With interdealer broker
10   U.S. Treasury               165,885   140,001   144,299
11   Federal agency               12,561    12,696    10,856
12   Mortgage-backed              31,380    31,511    26,367
   With other
13   U.S. Treasury               153,157   126,510   136,662
14   Federal agency               68,977    71,750    69,211
15   Mortgage-backed              91,124    56,073    45,937

   FUTURES TRANSACTIONS(3)

   By type of deliverable
         security
16 U.S. Treasury bills             n.a.      n.a.      n.a.
   Coupon securities,
         by maturity
17   Five years or less            5,762     4,177     7,214
18   More than five years         16,392    19,139    22,237
19 Inflation-indexed                   0         0         0
   Federal agency
20   Discount notes                    0         0         0
     Coupon securities,
         by maturity
21     One year or less                0         0         0
22     More than one
         year, but less
         than or equal to
         five years                    0         0         0
23     More than five
         years                     n.a.      n.a.      n.a.
24   Mortgage-backed                   0         0         0

   OPTIONS TRANSACTIONS(4)

   By type of underlying
         security
25 U.S. Treasury bills                 0         0         0
   Coupon securities, by
         maturity
26   Five years or less            1,140       728     1,285
27   More than five years          4,111     3,133     4,336
28 Inflation-indexed                   0         0         0
   Federal agency
29   Discount notes                    0         0         0
     Coupon securities, by
         maturity
30   One year or less                  0         0         0
31   More than one year,
         but less than
         or equal to five
         years                         0       131       119
32   More than five years            131     n.a.         40
33   Mortgage-backed               1,520     1,192       863

(1.) Transactions are market purchases and sales of securities
as reported to the Federal Reserve Bank of New York by the U.S.
government securities dealers on its published list of
primary dealers. Monthly averages are based on the number of
trading days in the month. Transactions are assumed to be evenly
distributed among the trading days of the report week. Immediate,
forward, and futures transactions are reported at principal value,
which does not include accrued interest; options transactions
are reported at the face value of the underlying securities.

Dealers report cumulative transactions for each week ending Wednesday.

(2.) Outright transactions include immediate and forward transactions.
Immediate delivery refers to purchases or sales of securities (other
than mortgage-backed federal agency securities) for which delivery is
scheduled in five business days or less and "when-issued"
securities that settle on the issue date of offering. Transactions
for immediate delivery of mortgage-backed agency securities include
purchases and sales for which delivery is scheduled in thirty business
days or less. Stripped securities are reported at market value by
maturity of coupon or corpus.

Forward transactions are agreements made in the over-the-counter
market that specify delayed delivery. Forward contracts for U.S.
Treasury securities and federal agency debt securities are included
when the time to delivery is more than five business days. Forward
contracts for mortgage-backed agency securities are included when
the time to delivery is more than thirty business days.

(3.) Futures transactions are standardized agreements arranged on
an exchange. All futures transactions are included regardless
of time to delivery.

(4.) Options transactions are purchases or sales of put and call
options, whether arranged on an organized exchange or in the
over-the-counter market, and include options on futures
contracts on U.S. Treasury and federal agency securities.

NOTE. "n.a." indicates that data are not published because of
insufficient activity.
1.43 U.S. GOVERNMENT SECURITIES DEALERS Positions and Financing(1)

Millions of dollars

                                                              2001,
                                        2001                  week
                                                             ending

             Item              Feb.      Mar.      Apr.      Apr. 4

                                          Positions(2)

   NET OUTRIGHT POSITIONS(3)

   By type of security
 1 U.S. Treasury bills           9,779    20,272    30,544    44,155
   Coupon securities, by
         maturity
 2   Five years or less        -17,917   -14,721   -17,951   -14,819
 3   More than five years       -3,985     6,315    -7,938    -6,752
 4 Inflation-indexed             3,907     4,146     4,196     4,188
   Federal agency
 5   Discount notes             32,994    36,096    49,374    42,037
     Coupon securities, by
         maturity
 6     One year or less         18,229    16,162    15,777    16,519
 7     More than one year,
         but less than or
         equal to five years     6,215     5,802     7,171     4,274
 8     More than five years      5,480     8,578     8,699     9,240
 9   Mortgage-backed            10,110     9,611    12,181    13,082

   NET FUTURES POSITIONS(4)

   By type of deliverable        n.a.      n.a.      n.a.      n.a.
         security
10 U.S. Treasury bills
   Coupon securities, by
         maturity
11   Five years or less          2,344    -1,421    -1,673    -1,353
12   More than five years      -11,744   -10,207     5,836    -8,406
13 Inflation-indexed                 0         0         0         0
   Federal agency
14   Discount notes                  0         0         0         0
     Coupon securities, by
         maturity
15     One year or less              0         0         0         0
16     More than one year,
         but less than or
         or equal to five
         years                   n.a.          0         0         0
17     More than five years       -300      -341      -335      -385
18   Mortgage-backed                 0         0         0         0

   NET OPTIONS POSITIONS

   By type of deliverable
         security
19 U.S. Treasury bills               0         0         0         0
   Coupon securities, by
         maturity
20   Five year or less             604       295      -356      -612
21   More than five years         -815       730       658     1,131
22 Inflation-indexed                 0         0         0         0
   Federal agency
23   Discount notes                  0         0         0         0
     Coupon securities, by
         maturity
24     One year or less              0         0         0         0
25     More than one year,
         but less than
         or equal to five
         years                    -578       355       302       519
26     More than five years        558       593       103        20
27   Mortgage-backed             2,002     2,485     1,368     2,220

                                           Financing(5)

   Reverse repurchase
         agreements
28 Overnight and continuing    350,827   376,076   366,382   369,121
29 Term                        845,692   881,202   925,786   841,773

   Securities borrowed
30 Overnight and continuing    278,815   278,034   280,746   270,908
31 Term                        120,113   123,908   125,608   123,493

   Securities received as
         pledge
32 Overnight and continuing      3,002     3,391     3,161     2,963
33 Term                          n.a.      n.a.      n.a.      n.a.

   Repurchase agreements
34 Overnight and continuing    803,148   836,852   869,117   861,690
35 Term                        801,371   842,163   852,132   775,748

   Securities loaned
36 Overnight and continuing      9,648     9,463     9,626     9,386
37 Term                          4,194     4,429     4,411     n.a.

   Securities pledged
38 Overnight and continuing     51,166    50,758    53,318    49,627
39 Term                          5,029     5,938     6,529     6,174

   Collateralized loans
40 Total                        21,373    23,731    24,336    27,366

                                       2001, week ending

             Item              Apr. 11   Apr. 18   Apr. 25   May 2

                                           Positions(2)

   NET OUTRIGHT POSITIONS(3)

   By type of security
 1 U.S. Treasury bills          40,934    57,291     6,395     1,469
   Coupon securities, by
         maturity
 2   Five years or less        -16,003   -18,297   -16,403   -24,868
 3   More than five years       -7,782    -7,227    -8,356    -9,514
 4 Inflation-indexed             4,377     4,508     3,827     4,026
   Federal agency
 5   Discount notes             49,299    54,292    50,340    47,111
     Coupon securities, by
         maturity
 6     One year or less         16,307    15,823    14,955    15,529
 7     More than one year,
         but less than or
         equal to five years     4,776     7,117     9,425     9,759
 8     More than five years      9,926     8,534     7,669     8,222
 9   Mortgage-backed             9,749     9,762    14,961    14,358

   NET FUTURES POSITIONS(4)

   By type of deliverable
         security
10 U.S. Treasury bills           n.a.      n.a.      n.a.      n.a.
   Coupon securities, by
         maturity
11   Five years or less         -1,646      -424    -3,011    -1,842
12   More than five years       -6,516    -6,782    -4,296    -3,659
13 Inflation-indexed                 0         0         0         0
   Federal agency
14   Discount notes                  0         0         0         0
     Coupon securities, by
         maturity
15     One year or less              0         0         0         0
16     More than one year,
         but less than or
         or equal to five
         years                       0         0         0         0
17     More than five years       -380      -364      -293      -253
18   Mortgage-backed                 0         0         0         0

   NET OPTIONS POSITIONS

   By type of deliverable
         security
19 U.S. Treasury bills               0         0         0         0
   Coupon securities, by
         maturity
20   Five year or less          -1,472      -719       490       735
21   More than five years          377     1,163       -50       956
22 Inflation-indexed                 0         0         0         0
   Federal agency
23   Discount notes                  0         0         0         0
     Coupon securities, by
         maturity
24     One year or less              0         0         0         0
25     More than one year,
         but less than
         or equal to five
         years                     216       236       252       411
26     More than five years         82        24        74       350
27   Mortgage-backed               823     1,121     2,061       823

                                            Financing(5)

   Reverse repurchase
         agreements
28 Overnight and continuing    360,179   361,327   370,012   374,868
29 Term                        902,139   919,879   977,571   961,871

   Securities borrowed
30 Overnight and continuing    268,931   279,432   290,534   293,294
31 Term                        128,356   124,767   124,015   126,859

   Securities received as
         pledge
32 Overnight and continuing      3,127     3,299     3,104     3,251
33 Term                          n.a.      n.a.      n.a.      n.a.

   Repurchase agreements
34 Overnight and continuing    864,697   867,654   890,133   853,874
35 Term                        833,753   860,415   879,972   888,398

   Securities loaned
36 Overnight and continuing     10,065     9,561     9,591     9,346
37 Term                          n.a.      4,469     4,431     4,303

   Securities pledged
38 Overnight and continuing     53,160    52,868    53,962    56,220
39 Term                          6,500     6,362     6,766     6,753

   Collateralized loans
40 Total                        22,520    24,447    25,177    23,123

                                    2001, week ending

             Item               May 9       May 16    May 23

                                        Positions(2)

   NET OUTRIGHT POSITIONS(3)

   By type of security
 1 U.S. Treasury bills               387    -1,152    -3,039
   Coupon securities, by
         maturity
 2   Five years or less          -10,566   -17,324   -20,578
 3   More than five years        -12,556   -13,569   -12,359
 4 Inflation-indexed               3,420     3,907     5,444
   Federal agency
 5   Discount notes               47,215    51,112    51,121
     Coupon securities, by
         maturity
 6     One year or less           14,666    12,933    13,294
 7     More than one year,
         but less than or
         equal to five years       7,730     7,246    11,572
 8     More than five years        7,161     5,873     6,562
 9   Mortgage-backed              13,940    15,511    16,402

   NET FUTURES POSITIONS(4)

   By type of deliverable
         security
10 U.S. Treasury bills           n.a.        n.a.      n.a.
   Coupon securities, by
         maturity
11   Five years or less           -1,949     1,174     1,881
12   More than five years         -6,652    -6,233    -5,458
13 Inflation-indexed                   0         0         0
   Federal agency
14   Discount notes                    0         0         0
     Coupon securities, by
         maturity
15     One year or less                0         0         0
16     More than one year,
         but less than or
         or equal to five
         years                         0         0         0
17     More than five years         -266      -372      -270
18   Mortgage-backed                   0         0         0

   NET OPTIONS POSITIONS

   By type of deliverable
         security
19 U.S. Treasury bills                 0         0         0
   Coupon securities, by
         maturity
20   Five year or less             1,724     1,356       276
21   More than five years          1,429     2,000     3,246
22 Inflation-indexed                   0         0         0
   Federal agency
23   Discount notes                    0         0         0
     Coupon securities, by
         maturity
24     One year or less                0         0         0
25     More than one year,
         but less than
         or equal to five
         years                       565       459       328
26     More than five years          607       135       299
27   Mortgage-backed                 -41     1,135     1,543

                                        Financing(5)

   Reverse repurchase
         agreements
28 Overnight and continuing      377,131   396,864   376,925
29 Term                        1,018,020   865,077   946,881

   Securities borrowed
30 Overnight and continuing      294,510   308,057   298,110
31 Term                          128,300   115,417   118,057

   Securities received as
         pledge
32 Overnight and continuing        3,694     3,450     3,148
33 Term                          n.a.        n.a.      n.a.

   Repurchase agreements
34 Overnight and continuing      870,984   874,702   862,049
35 Term                          934,216   802,259   869,971

   Securities loaned
36 Overnight and continuing        9,681    10,371     9,665
37 Term                            4,883     4,552     4,451

   Securities pledged
38 Overnight and continuing       58,123    57,947    57,773
39 Term                            6,685     7,753     7,809

   Collateralized loans
40 Total                          23,209    24,038    20,984

(1.) Data for positions and financing are obtained from reports
submitted to the Federal Reserve Bank of New York by the U.S.
government securities dealers on its published list of primary
dealers. Weekly figures are close-of-business Wednesday data.
Positions for calendar days of the report week are assumed to be
constant. Monthly averages are based on the number of calendar
days in the month.

(2.) Securities positions are reported at market value.

(3.) Net outright positions include immediate and forward positions.
Net immediate positions include securities purchased or sold (other
than mortgage-backed agency securities) that
have been delivered or are scheduled to be delivered in five business
days or less and "when-issued" securities that settle on the issue
date of offering. Net immediate positions for mortgage-backed agency
securities include securities purchased or sold that have been
delivered or are scheduled to be delivered in thirty business days
or less.

Forward positions reflect agreements made in the over-the-counter
market that specify delayed delivery. Forward contracts for U.S.
Treasury securities and federal agency debt securities are included
when the time to delivery is more than five business days. Forward
contracts for mortgage-backed agency securities are included when
the time to delivery is more than thirty business days.

(4.) Futures positions reflect standardized agreements arranged on
an exchange. All futures positions are included regardless of time
to delivery.

(5.) Overnight financing refers to agreements made on one business day
that mature on the next business day; continuing contracts are
agreements that remain in effect for more than one business day but
have no specific maturity and can be terminated without advance notice
by either party; term agreements have a fixed maturity of more than one
business day. Financing data are reported in terms of actual funds
paid or received, including accrued interest.

NOTE. "n.a." indicates that data are not published because of
insufficient activity.
1.44 FEDERAL AND FEDERALLY SPONSORED CREDIT AGENCIES Debt Outstanding

Millions of dollars, end of period

              Agency                   1997        1998        1999

 1 Federal and federally sponsored
       agencies                      1,022,609   1,296,477   1,616,492

 2 Federal agencies                     27,792      26,502      26,376
 3   Defense Department(1)                   6           6           6
 4   Export-Import Bank(2,3)               552       n.a.        n.a.
 5   Federal Housing
       Administration(4)                   102         205         126
 6   Government National Mortgage
       Association certificates of
       participation(5)                  n.a.        n.a.        n.a.
 7   Postal Service(6)                   n.a.        n.a.        n.a.
 8   Tennessee Valley Authority         27,786      26,496      26,370
 9   United States Railway
       Association(6)                    n.a.        n.a.        n.a.

10 Federally sponsored agencies(7)     994,817   1,269,975   1,590,116
11   Federal Home Loan Banks           313,919     382,131     529,005
12   Federal Home Loan Mortgage
       Corporation                     169,200     287,396     360,711
13   Federal National Mortgage
       Association                     369,774     460,291     547,619
14   Farm Credit Banks(8)               63,517      63,488      68,883
15   Student Loan Marketing
       Association(9)                   37,717      35,399      41,988
16   Financing Corporation(10)           8,170       8,170       8,170
17   Farm Credit Financial
       Assistance Corporation(11)        1,261       1,261       1,261
18   Resolution Funding
       Corporation(12)                  29,996      29,996      29,996

   MEMO
19 Federal Financing Bank debt(13)      49,090      44,129      42,152

   Lending to federal and
       federally sponsored agencies
20 Export-Import Bank(3)                   552       n.a.        n.a.
21 Postal Service(6)                     n.a.        n.a.        n.a.
22 Student Loan Marketing
       Association                       n.a.        n.a.        n.a.
23 Tennessee Valley Authority            n.a.        n.a.        n.a.
24 United States Railway
       Association(6)                    n.a.        n.a.        n.a.

   Other lending(14)
25 Farmers Home Administration          13,530       9,500       6,665
26 Rural Electrification
       Administration                   14,898      14,091      14,085
27 Other                                20,110      20,538      21,402

                                                         2000

              Agency                   2000        Nov.        Dec.

 1 Federal and federally sponsored
       agencies                      1,851,632   1,833,155   1,851,632

 2 Federal agencies                     25,666      25,555      25,666
 3   Defense Department(1)                   6           6           6
 4   Export-Import Bank(2,3)             n.a.        n.a.        n.a.
 5   Federal Housing
       Administration(4)                   255         239         255
 6   Government National Mortgage
       Association certificates of
       participation(5)                  n.a.        n.a.        n.a.
 7   Postal Service(6)                   n.a.        n.a.        n.a.
 8   Tennessee Valley Authority         25,660      25,549      25,660
 9   United States Railway
       Association(6)                    n.a.        n.a.        n.a.

10 Federally sponsored agencies(7)   1,825,966   1,807,600   1,825,966
11   Federal Home Loan Banks           594,404     580,957     594,404
12   Federal Home Loan Mortgage
       Corporation                     426,899     429,617     426,899
13   Federal National Mortgage
       Association                     642,700     633,100     642,700
14   Farm Credit Banks(8)               74,181      71,667      74,181
15   Student Loan Marketing
       Association(9)                   45,375      50,016      45,375
16   Financing Corporation(10)           8,170       8,170       8,170
17   Farm Credit Financial
       Assistance Corporation(11)        1,261       1,261       1,261
18   Resolution Funding
       Corporation(12)                  29,996      29,996      29,996

   MEMO
19 Federal Financing Bank debt(13)      40,575      40,170      40,575

   Lending to federal and
       federally sponsored agencies
20 Export-Import Bank(3)                 n.a.        n.a.        n.a.
21 Postal Service(6)                     n.a.        n.a.        n.a.
22 Student Loan Marketing
       Association                       n.a.        n.a.        n.a.
23 Tennessee Valley Authority            n.a.        n.a.        n.a.
24 United States Railway
       Association(6)                    n.a.        n.a.        n.a.

   Other lending(14)
25 Farmers Home Administration           5,275       5,320       5,275
26 Rural Electrification
       Administration                   13,126      13,023      13,126
27 Other                                22,174      21,827      22,174

                                                   2001

              Agency                   Jan.        Feb.        Mar.

 1 Federal and federally sponsored
       agencies                          n.a.    1,917,503   1,919,761

 2 Federal agencies                     25,426      25,141      25,063
 3   Defense Department(1)                   6           6           6
 4   Export-Import Bank(2,3)             n.a.        n.a.        n.a.
 5   Federal Housing
       Administration(4)                   275         291         307
 6   Government National Mortgage
       Association certificates of
       participation(5)                  n.a.        n.a.        n.a.
 7   Postal Service(6)                   n.a.        n.a.        n.a.
 8   Tennessee Valley Authority         25,420      25,135      25,057
 9   United States Railway
       Association(6)                    n.a.        n.a.        n.a.

10 Federally sponsored agencies(7)   1,873,199   1,892,362   1,894,698
11   Federal Home Loan Banks           604,904     598,586     602,824
12   Federal Home Loan Mortgage
       Corporation                     446,997     455,623     461,338
13   Federal National Mortgage
       Association                     654,200     668,200     666,600
14   Farm Credit Banks(8)               73,925      73,647      74,174
15   Student Loan Marketing
       Association(9)                   50,669      53,886      47,322
16   Financing Corporation(10)           8,170       8,170       8,170
17   Farm Credit Financial
       Assistance Corporation(11)        1,261       1,261       1,261
18   Resolution Funding
       Corporation(12)                  29,996      29,996      29,996

   MEMO
19 Federal Financing Bank debt(13)      39,348      38,924      39,341

   Lending to federal and
       federally sponsored agencies
20 Export-Import Bank(3)                 n.a.        n.a.        n.a.
21 Postal Service(6)                     n.a.        n.a.        n.a.
22 Student Loan Marketing
       Association                       n.a.        n.a.        n.a.
23 Tennessee Valley Authority            n.a.        n.a.        n.a.
24 United States Railway
       Association(6)                    n.a.        n.a.        n.a.

   Other lending(14)
25 Farmers Home Administration           5,155       5,155       5,155
26 Rural Electrification
       Administration                   13,197      13,281      13,371
27 Other                                20,996      20,488      20,815

(1.) Consists of mortgages assumed by the Defense Department between
1957 and 1963 under family housing and homeowners assistance programs.

(2.) Includes participation certificates reclassified as debt
beginning Oct. 1, 1976.

(3.) On-budget since Sept. 30, 1976.

(4.) Consists of debentures issued in payment of Federal Housing
Administration insurance claims. Once issued, these securities
may be sold privately on the securities market.

(5.) Certificates of participation issued before fiscal year
1969 by the Government National Mortgage Association acting
as trustee for the Farmers Home Administration; the Department
of Health, Education, and Welfare; the Department of Housing
and Urban Development; the Small Business Administration;
and the Veterans Administration.

(6.) Off-budget.

(7.) Includes outstanding noncontingent liabilities: notes,
bonds, and debentures. Includes Federal Agricultural Mortgage
Corporation; therefore, details do not sum to total. Some data
are estimated.

(8.) Excludes borrowing by the Farm Credit Financial Assistance
Corporation, which is shown on line 17.

(9.) Before late 1982, the association obtained financing
through the Federal Financing Bank (FFB). Borrowing excludes
that obtained from the FFB, which is shown on line 22.

(10.) The Financing Corporation, established in August 1987
to recapitalize the Federal Savings and Loan Insurance
Corporation, undertook its first borrowing in October 1987.

(11.) The Farm Credit Financial Assistance Corporation,
established in January 1988 to provide assistance to the
Farm Credit System, undertook its first borrowing in July 1988.

(12.) The Resolution Funding Corporation, established by the
Financial Institutions Reform, Recovery, and Enforcement Act
of 1989, undertook its first borrowing in October 1989.

(13.) The FFB, which began operations in 1974, is authorized
to purchase or sell obligations issued, sold, or guaranteed
by other federal agencies. Because FFB incurs debt solely for the
purpose of lending to other agencies, its debt is not included in
the main portion of the table to avoid double counting.

(14.) Includes FFB purchases of agency assets and guaranteed loans;
the latter are loans guaranteed by numerous agencies, with the
amounts guaranteed by any one agency generally being small. The
Farmers Home Administration entry consists exclusively of agency assets,
whereas the Rural Electrification Administration entry consists of
both agency assets and guaranteed loans.
1.45 NEW SECURITY ISSUES Tax-Exempt State and Local Governments

Millions of dollars

                                                                  2000

    Type of issue or issuer,
             or use                 1998      1999      2000      Oct.

 1 All issues, new and
     refunding(1)                  262,342   215,427   180,403   18,035

   By type of issue
 2 General obligation               87,015    73,308    64,475    5,871
 3 Revenue                         175,327   142,120   115,928   12,163

   By type of issuer
 4 State                            23,506    16,376    19,944    3,005
 5 Special district or statutory
     authority(2)                  178,421   152,418   111,695   11,224
 6 Municipality, county, or
     township                       60,173    46,634    39,273    3,806

 7 Issues for new capital          160,568   161,065   154,257   16,387

   By use of proceeds
 8 Education                        36,904    36,563    38,665    3,492
 9 Transportation                   19,926    17,394    19,730    2,575
10 Utilities and conservation       21,037    15,098    11,917    1,272
11 Social welfare                    n.a.      n.a.      n.a.     n.a.
12 Industrial aid                    8,594     9,099     7,122      730
13 Other purposes                   42,450    47,896    47,309    6,558

                                        2000              2001

    Type of issue or issuer,
             or use                 Nov.     Dec.     Jan.     Feb.

 1 All issues, new and
     refunding(1)                  18,079   15,348   11,255   19,829

   By type of issue
 2 General obligation               5,044    5,060    6,256    9,389
 3 Revenue                         13,036   10,288    4,999   10,441

   By type of issuer
 4 State                            1,942    1,640    1,738    3,268
 5 Special district or statutory
     authority(2)                  12,311    1,053    7,061   11,011
 6 Municipality, county, or
     township                       3,827    3,165    2,456    5,550

 7 Issues for new capital          14,520   13,286    8,758   13,384

   By use of proceeds
 8 Education                        3,446    2,919    2,786    3,102
 9 Transportation                   2,124    1,381      780    2,411
10 Utilities and conservation       1,973    1,307      678    1,335
11 Social welfare                   n.a.     n.a.     n.a.     n.a.
12 Industrial aid                     500      615       63      281
13 Other purposes                   3,787    4,264    3,013    4,742

                                             2001

    Type of issue or issuer,
             or use                 Mar.     Apr.      May

 1 All issues, new and
     refunding(1)                  24,495    16,985   26,248

   By type of issue
 2 General obligation               7,668     6,890    8,385
 3 Revenue                         16,827    10,094   17,863

   By type of issuer
 4 State                            1,893     1,900    3,123
 5 Special district or statutory
     authority(2)                  17,280   113,344   17,281
 6 Municipality, county, or
     township                       5,323     3,740    5,845

 7 Issues for new capital          15,387    12,264   20,002

   By use of proceeds
 8 Education                        5,343     3,731    5,714
 9 Transportation                   1,219     1,381    2,522
10 Utilities and conservation       1,677     1,447    2,969
11 Social welfare                   n.a.      n.a.     n.a.
12 Industrial aid                     396       436      422
13 Other purposes                   4,368     3,010    4,736

(1.) Par amounts of long-term issues based on date of sale.

(2.) Includes school districts.

SOURCE. Securities Data Company beginning January 1990;
Investment Dealer's Digest before then.
1.46 NEW SECURITY ISSUES U.S. Corporations

Millions of dollars

                                                                 2000

  Type of issue, offering,
         or issuer               1998        1999       2000     Sept.

 1 All issues(1)               1,128,491   1,072,866   942,198   94,492

 2 Bonds(2)                    1,001,736     941,298   807,281   88,102

   By type of offering
 3 Sold in the United States     923,771     818,683   684,484   73,516
 4 Sold abroad                    77,965     122,615   122,798   14,586

   MEMO
 5 Private placements,
     domestic                     n.a.        n.a.       n.a.       376

   By industry group
 6 Nonfinancial                  307,711     293,963   242,452   24,483
 7 Financial                     694,025     647,335   564,829   63,619

 8 Stocks(3)                     182,055     223,968   283,717   18,790

   By type of offering
 9 Public                        126,755     131,568   134,917    6,390
10 Private placement(4)           55,300      92,400   148,800   12,400

   By industry group
11 Nonfinancial                   74,113     110,284   118,369    6,205
12 Financial                      52,642      21,284    16,548      185

                                         2000              2001

  Type of issue, offering,
         or issuer              Oct.     Nov.     Dec.     Jan.

 1 All issues(1)               62,466   95,595   61,378   125,894

 2 Bonds(2)                    53,345   84,094   58,713   118,372

   By type of offering
 3 Sold in the United States   47,415   76,383   57,189   115,583
 4 Sold abroad                  5,930    7,712    1,525     2,789

   MEMO
 5 Private placements,
     domestic                     127    5,534    3,709        26

   By industry group
 6 Nonfinancial                12,547   25,784   18,219    44,443
 7 Financial                   40,799   58,310   40,495    73,928

 8 Stocks(3)                   21,521   23,901   15,065     7,522

   By type of offering
 9 Public                       9,121   11,501    2,665     7,522
10 Private placement(4)        12,400   12,400   12,400     n.a.

   By industry group
11 Nonfinancial                 8,278   10,794    2,146     4,356
12 Financial                      843      707      519     3,166

                                           2001

  Type of issue, offering,
         or issuer              Feb.       Mar.          Apr.

 1 All issues(1)               96,206      139,267(r)   92,762

 2 Bonds(2)                    88,806      127,956      86,274

   By type of offering
 3 Sold in the United States   86,146      118,779      81,156
 4 Sold abroad                  2,660        9,177       5,117

   MEMO
 5 Private placements,
     domestic                   1,897          652           0

   By industry group
 6 Nonfinancial                34,604       44,385      33,549
 7 Financial                   54,201       83,571      52,725

 8 Stocks(3)                    7,400       11,311(r)    6,488

   By type of offering
 9 Public                       7,400       11,311(r)    6,488
10 Private placement(4)         n.a.         n.a.        n.a.

   By industry group
11 Nonfinancial                 4,463        7,718       4,823
12 Financial                    2,937        3,593(r)    1,665

(1.) Figures represent gross proceeds of issues maturing in more
than one year; they are the principal amount or number of units
calculated by multiplying by the offering price. Figures exclude
secondary offerings, employee stock plans, investment companies
other than closed-end, intracorporate transactions, and Yankee
bonds. Stock data include ownership securities issued by limited
partnerships.

(2.) Monthly data include 144(a) offerings.

(3.) Monthly data cover only public offerings.

(4.) Data are not available.

SOURCE. Securities Data Company and the Board of Governors of the
Federal Reserve System.
1.47 OPEN-END INVESTMENT COMPANIES Net Sales and Assets(1)

Millions of dollars

                                                        2000

        Item             1999        2000         Oct.        Nov.

1 Sales of own
    shares(2)          1,791,894   2,279,315     169,071     143,412

2 Redemptions of own
    shares             1,621,987   2,057,277     153,067     138,791
3 Net sales(3)           169,906     222,038      16,004       4,621

4 Assets(4)            5,233,191   5,123,747   5,442,937   4,993,008

5 Cash(5)                219,189     277,386     302,682     300,133
6 Other                5,014,002   4,846,361   5,140,255   4,692,875

                          2000              2001

        Item              Dec.        Jan.        Feb.

1 Sales of own
    shares(2)            170,255     206,765     148,362

2 Redemptions of own
    shares               160,918     171,819     141,663
3 Net sales(3)             9,337      34,946       6,699

4 Assets(4)            5,123,747   5,280,222   4,879,229

5 Cash(5)                277,386     280,472     274,077
6 Other                4,846,361   4,999,750   4,605,152

                                      2001

        Item              Mar.       Apr.(r)       May

1 Sales of own
    shares(2)            162,548     152,327     159,517

2 Redemptions of own
    shares               175,633     130,454     134,634
3 Net sales(3)           -13,085      21,873      24,883

4 Assets(4)            4,594,182   4,910,568   4,956,556

5 Cash(5)                241,518     247,169     236,053
6 Other                4,352,664   4,663,399   4,720,503

(1.) Data include stock, hybrid, and bond mutual funds and
exclude money market mutual funds.

(2.) Excludes reinvestment of net income dividends and capital
gains distributions and share issue of conversions from one
fund to another in the same group.

(3.) Excludes sales and redemptions resulting from transfers of
shares into or out of money market mutual funds within the
the same fund family.

(4.) Market value at end of period, less current liabilities.

(5.) Includes all U.S. Treasury securities and other short-term
debt securities.

SOURCE. Investment Company Institute. Data based on reports of
membership, which comprises substantially all open-end
investment companies registered with the Securities and
Exchange Commission. Data reflect underwritings of newly
formed companies after their initial offering of securities.
1.48 CORPORATE PROFITS AND THEIR DISTRIBUTION

Billions of dollars; quarterly data at seasonally adjusted annual rates

                                                       1999

          Account              1998    1999    2000     Q2

1 Profits with inventory
      valuation and capital
      consumption adjustment   815.0   856.0   946.2   836.8
2 Profits before taxes         758.2   823.0   925.6   804.5
3 Profits-tax liability        244.6   255.9   284.2   250.8
4 Profits after taxes          513.6   567.1   641.4   553.7
5   Dividends                  351.5   370.7   397.0   367.2
6   Undistributed profits      162.1   196.4   244.4   186.5

7 Inventory valuation           17.0    -9.1   -12.9    -8.9
8 Capital consumption
      adjustment                39.9    42.1    33.5    41.2

                                   1999            2000

          Account               Q3      Q4      Q1      Q2

1 Profits with inventory
      valuation and capital
      consumption adjustment   842.0   893.2   936.3   963.6
2 Profits before taxes         819.0   870.7   920.7   942.5
3 Profits-tax liability        254.2   270.8   286.3   292.0
4 Profits after taxes          564.8   599.9   634.4   650.4
5   Dividends                  373.9   380.6   387.3   393.0
6   Undistributed profits      190.9   219.3   247.1   257.4

7 Inventory valuation          -19.7   -19.2   -25.0   -13.6
8 Capital consumption
      adjustment                42.7    41.6    40.6    34.7

                                   2000        2001

          Account               Q3      Q4     Q1(r)

1 Profits with inventory
      valuation and capital
      consumption adjustment   970.3   914.7   869.0
2 Profits before taxes         945.1   894.1   841.8
3 Profits-tax liability        290.6   267.7   254.4
4 Profits after taxes          654.4   626.4   587.4
5   Dividends                  400.1   407.6   414.7
6   Undistributed profits      254.4   218.8   172.8

7 Inventory valuation           -4.5    -8.5    -3.5
8 Capital consumption
      adjustment                29.7    29.1    30.7

SOURCE. U.S. Department of Commerce, Survey of Current Business.
1.51 DOMESTIC FINANCE COMPANIES Assets and Liabilities(1)

Billions of dollars, end of period; not seasonally adjusted

                                                              1999

           Account               1998     1999      2000       Q3

            ASSETS

 1 Accounts receivable,
           gross(2)              711.7     811.5     915.6     776.3
 2   Consumer                    261.8     279.8     296.1     271.0
 3   Business                    347.5     405.2     471.1     383.0
 4   Real estate                 102.3     126.5     148.3     122.3

 5 LESS: Reserves for unearned
           income                 56.3      53.5      60.0      54.0
 6       Reserves for losses      13.8      13.5      15.1      13.6

 7 Accounts receivable, net      641.6     744.6     840.5     708.6
 8 All other                     337.9     406.3     461.8     368.5

 9 Total assets                  979.5   1,150.9   1,302.4   1,077.2

   LIABILITIES AND CAPITAL

10 Bank loans                     26.3      35.1      35.6      27.0
11 Commercial paper              231.5     227.9     235.2     205.3

   Debt
12 Owed to parent                 61.8     123.8     146.5      84.5
13 Not elsewhere classified      339.7     397.0     463.8     396.2
14 All other liabilities         203.2     222.7     279.7     216.0
15 Capital, surplus, and
           undivided profits     117.0     144.5     141.6     148.2

16 Total liabilities and
           capital               979.5   1,150.9   1,302.4   1,077.2

                                  1999           2000

           Account                 Q4        Q1        Q2

            ASSETS

 1 Accounts receivable,
           gross(2)                811.5     848.7     884.4
 2   Consumer                      279.8     285.4     294.1
 3   Business                      405.2     434.6     454.1
 4   Real estate                   126.5     128.8     136.2

 5 LESS: Reserves for unearned
           income                   53.5      54.0      57.1
 6       Reserves for losses        13.5      14.0      14.4

 7 Accounts receivable, net        744.6     780.7     813.0
 8 All other                       406.3     412.7     418.3

 9 Total assets                  1,150.9   1,193.4   1,231.3

   LIABILITIES AND CAPITAL

10 Bank loans                       35.1      28.5      32.5
11 Commercial paper                227.9     230.2     221.3

   Debt
12 Owed to parent                  123.8     145.1     137.1
13 Not elsewhere classified        397.0     412.0     445.4
14 All other liabilities           222.7     247.6     259.3
15 Capital, surplus, and
           undivided profits       144.5     130.1     135.6

16 Total liabilities and
           capital               1,150.9   1,193.4   1,231.3

                                       2000           2001

           Account                 Q3        Q4        Q1

            ASSETS

 1 Accounts receivable,
           gross(2)                900.1     915.6     916.6
 2   Consumer                      301.9     296.1     292.9
 3   Business                      455.7     471.1     472.1
 4   Real estate                   142.4     148.3     151.6

 5 LESS: Reserves for unearned
           income                   58.8      60.0      60.3
 6       Reserves for losses        14.2      15.1      15.6

 7 Accounts receivable, net        827.1     840.5     840.7
 8 All other                       441.4     461.8     474.8

 9 Total assets                  1,268.4   1,302.4   1,315.5

   LIABILITIES AND CAPITAL

10 Bank loans                       35.4      35.6      41.2
11 Commercial paper                215.6     235.2     178.3

   Debt
12 Owed to parent                  144.3     146.5     138.5
13 Not elsewhere classified        465.5     463.8     501.9
14 All other liabilities           269.2     279.7     299.7
15 Capital, surplus, and
           undivided profits       138.3     141.6     151.0

16 Total liabilities and
           capital               1,268.4   1,302.4   1,310.6

(1.) Includes finance company subsidiaries of bank holding
companies but not of retailers and banks. Data are amounts
carried on the balance sheets of finance companies; securitized
pools are not shown, as they are not on the books.

(2.) Before deduction for unearned income and losses. Excludes
pools of securitized assets.
1.52 DOMESTIC FINANCE COMPANIES Owned and Managed Receivables(1)

Billions of dollars, amounts outstanding

                                                             2000

    Type of credit        1998     1999      2000      Nov.      Dec.

                                      Seasonally adjusted

 1 Total                  875.8     993.9   1,145.2   1,136.2   1,145.2

 2   Consumer             352.8     385.3     439.3     439.8     439.3
 3   Real estate          131.4     154.7     174.9     176.6     174.9
 4   Business             391.6     453.9     531.0     519.7     531.0

                                    Not seasonally adjusted

 5 Total                  884.0   1,003.2   1,156.0   1,137.9   1,156.0

 6   Consumer             356.1     388.8     443.4     441.4     443.4
 7     Motor vehicles
             loans        103.1     114.7     122.5     127.8     122.5
 8     Motor vehicle
             leases        93.3      98.3     102.9     104.0     102.9
 9     Revolving(2)        32.3      33.8      38.3      38.0      38.3
10     Other(3)            33.1      33.1      32.4      32.0      32.4
       Securitized
             assets(4)
11       Motor vehicle
             loans         54.8      71.1      97.1      91.5      97.1
12       Motor vehicle
             leases        12.7       9.7       6.6       6.8       6.6
13       Revolving          8.7      10.5      27.5      25.8      27.5
14       Other             18.1      17.7      16.0      15.5      16.0
15   Real estate          131.4     154.7     174.9     176.6     174.9
16     One- to four-
             family        75.7      88.3     105.4     107.0     105.4
17     Other               26.6      38.3      42.9      42.7      42.9
       Securitized real
             estate
             assets(4)
18       One- to
             four-
             family        29.0      28.0      24.7      25.0      24.7
19       Other               .1        .2       1.9       1.9       1.9
20   Business             396.5     459.6     537.7     519.9     537.7
21     Motor vehicles      79.6      87.8      95.2      93.3      95.2
22       Retail loans      28.1      33.2      31.0      32.3      31.0
23       Wholesale
             loans(5)      32.8      34.7      39.6      37.3      39.6
24       Leases            18.7      19.9      24.6      23.8      24.6
25     Equipment          198.0     221.9     267.3     259.3     267.3
26       Loans             50.4      52.2      56.2      54.7      56.2
27       Leases           147.6     169.7     211.1     204.6     211.1
28     Other business
             receiv-
             ables(6)      69.9      95.5     108.6     103.2     108.6
       Securitized
             assets(4)
29       Motor vehicles    29.2      31.5      37.8      37.0      37.8
30         Retail loans     2.6       2.9       3.2       3.1       3.2
31         Wholesale
             loans         24.7      26.4      32.5      31.5      32.5
32         Leases           1.9       2.1       2.2       2.4       2.2
33       Equipment         13.0      14.6      23.1      21.3      23.1
34         Loans            6.6       7.9      15.5      14.6      15.5
35         Leases           6.4       6.7       7.6       6.7       7.6
36       Other business
             receiv-
             ables(6)       6.8       8.4       5.6       5.8       5.6

                                          2001

    Type of credit         Jan.      Feb.     Mar.(r)    Apr.

                                   Seasonally adjusted

 1 Total                  1,156.7   1,159.7   1,158.6   1,171.5

 2   Consumer               443.8     447.1     449.8     456.3
 3   Real estate            177.7     179.0     177.7     182.5
 4   Business               535.2     533.6     531.1     532.6

                                 Not seasonally adjusted

 5 Total                  1,156.7   1,159.7   1,163.1   1,173.7

 6   Consumer               443.9     445.1     445.7     451.0
 7     Motor vehicles
             loans          117.5     118.5     118.9     127.0
 8     Motor vehicle
             leases         103.3     102.4     101.3     101.9
 9     Revolving(2)          37.1      36.9      35.6      36.0
10     Other(3)              32.4      32.0      31.3      28.2
       Securitized
             assets(4)
11       Motor vehicle
             loans          103.9     105.2     108.1     106.1
12       Motor vehicle
             leases           6.3       6.9       6.6       7.0
13       Revolving           27.6      27.6      27.6      28.8
14       Other               15.8      15.5      16.2      16.0
15   Real estate            177.7     179.0     177.7     182.5
16     One- to four-
             family         108.2     109.5     108.1     112.3
17     Other                 43.2      43.4      43.8      43.8
       Securitized real
             estate
             assets(4)
18       One- to
             four-
             family          24.4      24.2      23.9      23.8
19       Other                1.9       1.9       1.9       2.6
20   Business               535.1     535.6     539.7     540.2
21     Motor vehicles        93.6      93.6      91.9      91.0
22       Retail loans        30.8      30.7      30.5      29.9
23       Wholesale
             loans(5)        38.2      37.6      35.8      35.3
24       Leases              24.6      25.3      25.6      25.8
25     Equipment            265.6     262.5     264.6     267.5
26       Loans               56.3      55.6      57.1      57.1
27       Leases             209.3     206.9     207.5     210.4
28     Other business
             receiv-
             ables(6)       110.4     114.5     115.2     113.5
       Securitized
             assets(4)
29       Motor vehicles      37.3      37.2      40.0      40.3
30         Retail loans       3.1       2.9       2.8       3.1
31         Wholesale
             loans           32.1      31.7      34.5      34.6
32         Leases             2.2       2.6       2.6       2.6
33       Equipment           22.5      22.2      22.5      22.2
34         Loans             14.7      14.5      14.6      14.4
35         Leases             7.8       7.8       7.9       7.8
36       Other business
             receiv-
             ables(6)         5.6       5.6       5.6       5.7

NOTE. This table has been revised to incorporate several changes
resulting from the benchmarking of finance company receivables to the
June 1996 Survey of Finance Companies. In that benchmark survey, and in
the monthly surveys that have followed, more detailed breakdowns have
been obtained for some components. In addition, previously unavailable
data on securitized real estate loans are now included in this table.
The new information has resulted in some reclassification of
receivables among the three major categories (consumer, real estate,
and business) and in discontinuities in some component series between
May and June 1996.

Includes finance company subsidiaries of bank holding companies but not
of retailers and banks. Data in this table also appear in the Board's
G.20 (422) monthly statistical release. For ordering address, see
inside front cover.

(1.) Owned receivables are those carried on the balance sheet of the
institution. Managed receivables are outstanding balances of pools upon
which securities have been issued; these balances are no longer carried
on the balance sheets of the loan originator. Data are shown before
deductions for unearned income and losses. Components may not sum to
totals because of rounding.

(2.) Excludes revolving credit reported as held by depository
institutions that are subsidiaries of finance companies.

(3.) Includes personal cash loans, mobile home loans, and loans to
purchase other types of consumer goods, such as appliances, apparel,
boats, and recreation vehicles.

(4.) Outstanding balances of pools upon which securities have been
issued; these balances are no longer carried on the balance sheets
of the loan originator.

(5.) Credit arising from transactions between manufacturers and
dealers, that is, floor plan financing.

(6.) Includes loans on commercial accounts receivable, factored
commercial accounts, and receivable dealer capital; small loans used
primarily for business or farm purposes; and wholesale and lease
paper for mobile homes, campers, and travel trailers.
1.53 MORTGAGE MARKETS Mortgages on New Homes

Millions of dollars except as noted

                                   1998      1999      2000      2000

   Item                                                          Nov.

                                         Terms and yields in
                                     primary and secondary markets

   PRIMARY MARKETS

   Terms(1)
 1 Purchase price (thousands
       of dollars)                  195.2     210.7     234.5     247.2
 2 Amount of loan (thousands
       of dollars)                  151.1     161.7     177.0     184.2
 3 Loan-to-price ratio
       (percent)                     80.0      78.7      77.4      76.2
 4 Maturity (years)                  28.4      28.8      29.2      29.2
 5 Fees and charges (percent of
       loan amount)(2)                .89       .77       .70       .69

   Yield (percent per year)
 6 Contract rate(1)                  6.95      6.94      7.41      7.36
 7 Effective rate(1,3)               7.08      7.06      7.52      7.47
 8 Contract rate (HUD
       series)(4)                    7.00      7.45      n.a.      n.a.

   SECONDARY MARKETS

   Yield (percent per year)
 9 FHA mortgages (Section
       203)(5)                       7.04      7.74      n.a.      n.a.
10 GNMA securities(6)                6.43      7.03      7.57      7.22

                                      Activity in secondary markets

   FEDERAL NATIONAL MORTGAGE
          ASSOCIATION

   Mortgage holdings (end of
       period)
11 Total                          414,515   523,941   610,122   598,951
12   FHA/VA insured                33,770    55,318    61,539    60,694
13   Conventional                 380,745   468,623   548,583   538,257

14 Mortgage transactions
       purchased (during
       period)                    188,448   195,210   154,231    17,322

   Mortgage commitments
       (during period)
15 Issued(7)                      193,795   187,948   163,689    15,287
16 To sell(8)                       1,880     5,900    11,786       676

   FEDERAL HOME LOAN MORTGAGE
          CORPORATION

   Mortgage holdings (end
       of period)(8)
17 Total                          255,010   324,443   385,693   372,819
18   FHA/VA insured                   785     1,836     3,332     3,321
19   Conventional                 254,225   322,607   382,361   369,498

   Mortgage transactions
       (during period)
20 Purchases                      267,402   239,793   174,043    19,402
21 Sales                          250,565   233,031   166,901    18,823

22 Mortgage commitments
       contracted (during
       period)(9)                 281,899   228,432   169,231    20,012

                                   2000               2001

   Item                            Dec.      Jan.      Feb.      Mar.

                                      Terms and yields in primary
                                         and secondary markets

   PRIMARY MARKETS

   Terms(1)
 1 Purchase price (thousands
       of dollars)                  250.0     238.7     245.0     244.5
 2 Amount of loan (thousands
       of dollars)                  187.3     181.6     185.4     182.9
 3 Loan-to-price ratio
       (percent)                     76.5      78.2      77.9      77.2
 4 Maturity (years)                  29.1      29.4      29.0      28.8
 5 Fees and charges (percent of
       loan amount)(2)                .73       .71       .70       .66

   Yield (percent per year)
 6 Contract rate(1)                  7.29      7.09      6.99      6.94
 7 Effective rate(1,3)               7.40      7.20      7.10      7.04
 8 Contract rate (HUD
       series)(4)                   n.a.      n.a.      n.a.      n.a.

   SECONDARY MARKETS

   Yield (percent per year)
 9 FHA mortgages (Section
       203)(5)                      n.a.      n.a.      n.a.      n.a.
10 GNMA securities(6)                6.83      6.57      6.61      6.41

                                     Activity in secondary markets

   FEDERAL NATIONAL MORTGAGE
          ASSOCIATION

   Mortgage holdings (end of
       period)
11 Total                          610,122   623,950   632,850     n.a.
12   FHA/VA insured                61,539    62,970    63,337     n.a.
13   Conventional                 548,583   560,980   569,513     n.a.

14 Mortgage transactions
       purchased (during
       period)                     17,193    20,598    17,230    20,899

   Mortgage commitments
       (during period)
15 Issued(7)                       20,120    27,325    25,471     n.a.
16 To sell(8)                       1,436       766       835     n.a.

   FEDERAL HOME LOAN MORTGAGE
          CORPORATION

   Mortgage holdings (end
       of period)(8)
17 Total                          385,693   391,679   407,086   421,655
18   FHA/VA insured                 3,332     3,307     3,319     3,329
19   Conventional                 382,361   388,372   403,767   418,326

   Mortgage transactions
       (during period)
20 Purchases                       24,313    15,658    16,536    24,648
21 Sales                           22,277    15,364    15,549    23,367

22 Mortgage commitments
       contracted (during
       period)(9)                  21,780    18,685    17,664    26,682

                                       2001

   Item                            Apr.       May

                                   Terms and yields
                                    in primary and
                                   secondary markets

   PRIMARY MARKETS

   Terms(1)
 1 Purchase price (thousands
       of dollars)                  240.8     241.4
 2 Amount of loan (thousands
       of dollars)                  181.5     181.4
 3 Loan-to-price ratio
       (percent)                     77.6      77.6
 4 Maturity (years)                  28.5      28.6
 5 Fees and charges (percent of
       loan amount)(2)                .71       .69

   Yield (percent per year)
 6 Contract rate(1)                  6.96      7.02
 7 Effective rate(1,3)               7.07      7.12
 8 Contract rate (HUD
       series)(4)                   n.a.      n.a.

   SECONDARY MARKETS

   Yield (percent per year)
 9 FHA mortgages (Section
       203)(5)                      n.a.      n.a.
10 GNMA securities(6)                6.53      6.61

                                      Activity in
                                   secondary markets

   FEDERAL NATIONAL MORTGAGE
          ASSOCIATION

   Mortgage holdings (end of
       period)
11 Total                            n.a.      n.a.
12   FHA/VA insured                 n.a.      n.a.
13   Conventional                   n.a.      n.a.

14 Mortgage transactions
       purchased (during
       period)                     24,015    16,825

   Mortgage commitments
       (during period)
15 Issued(7)                        n.a.      n.a.
16 To sell(8)                       n.a.      n.a.

   FEDERAL HOME LOAN MORTGAGE
          CORPORATION

   Mortgage holdings (end
       of period)(8)
17 Total                          430,960   437,582
18   FHA/VA insured                 2,878     2,785
19   Conventional                 428,082   434,797

   Mortgage transactions
       (during period)
20 Purchases                        n.a.      n.a.
21 Sales                           31,219    33,670

22 Mortgage commitments
       contracted (during
       period)(9)                  32,758    39,897

(1.) Weighted averages based on sample surveys of mortgages originated
by major institutional lender groups for purchase of newly built homes;
compiled by the Federal Housing Finance Board in cooperation with the
Federal Deposit Insurance Corporation.

(2.) Includes all fees, commissions, discounts, and "points" paid (by
the borrower or the seller) to obtain a loan.

(3.) Average effective interest rate on loans closed for purchase of
newly built homes, assuming prepayment at the end of ten years.

(4.) Average contract rate on new commitments for conventional first
mortgages; from U.S. Department of Housing and Urban Development (HUD).
Based on transactions on the first day of the subsequent month.

(5.) Average gross yield on thirty-year, minimum-downpayment first
mortgages insured by the Federal Housing Administration (FHA) for
immediate delivery in the private secondary market. Based on
transactions on first day of subsequent month.

(6.) Average net yields to investors on fully modified pass-through
securities backed by mortgages and guaranteed by the Government
National Mortgage Association (GNMA), assuming prepayment in twelve
years on pools of thirty-year mortgages insured by the Federal Housing
Administration or guaranteed by the Department of Veterans Affairs.

(7.) Does not include standby commitments issued, but includes standby
commitments converted.

(8.) Includes participation loans as well as whole loans.

(9.) Includes conventional and government-underwritten loans. The
Federal Home Loan Mortgage Corporation's mortgage commitments and
mortgage transactions include activity under mortgage securities swap
programs, whereas the corresponding data for the Federal National
Mortgage Association exclude swap activity.
1.54 MORTGAGE DEBT OUTSTANDING(1)

Millions of dollars, end of period

  Type of holder and property      1996(r)     1997(r)     1998(r)

 1 All holders                    5,198,237   5,698,389   6,326,415

   By type of property
 2 One- to four-family
         residences               3,968,218   4,348,553   4,773,876
 3 Multifamily residences           302,642     330,718     372,619
 4 Nonfarm, nonresidential          837,077     922,612   1,076,958
 5 Farm                              90,300      96,506     102,962

   By type of holder
 6 Major financial institutions   2,084,000   2,195,869   2,396,265
 7   Commercial banks(2)          1,245,334   1,338,273   1,496,844
 8     One- to four-family          745,777     798,009     880,208
 9     Multifamily                   50,705      54,174      67,666
10     Nonfarm, nonresidential      421,865     457,054     517,130
11     Farm                          26,987      29,035      31,839
12   Savings institutions(3)        631,826     643,957     668,634
13     One- to four-family          520,782     533,895     549,046
14     Multifamily                   59,540      56,847      59,168
15     Nonfarm, nonresidential       51,150      52,798      59,945
16     Farm                             354         417         475
17   Life insurance companies       206,840     213,640     230,787
18     One- to four-family            7,187       6,590       5,934
19     Multifamily                   30,402      31,522      32,818
20     Nonfarm, nonresidential      158,779     164,004     179,048
21     Farm                          10,472      11,524      12,987

22 Federal and related agencies     286,194     293,602     322,132
23   Government National
         Mortgage Association             8           7           7
24     One- to four-family                8           7           7
25     Multifamily                        0           0           0
26   Farmers Home
         Administration(4)           41,195      40,851      73,871
27     One- to four-family           17,253      16,895      16,506
28     Multifamily                   11,720      11,739      11,741
29     Nonfarm, nonresidential        7,370       7,705      41,355
30     Farm                           4,852       4,513       4,268
31   Federal Housing and Vete-
         rans' Administrations        3,811       3,674       3,712
32     One- to four-family            1,767       1,849       1,851
33     Multifamily                    2,044       1,825       1,861
34   Resolution Trust
         Corporation                      0           0           0
35     One- to four-family                0           0           0
36     Multifamily                        0           0           0
37     Nonfarm, nonresidential            0           0           0
38     Farm                               0           0           0
39   Federal Deposit Insurance
         Corporation                    724         361         152
40     One- to four-family              117          58          25
41     Multifamily                      140          70          29
42     Nonfarm, nonresidential          467         233          98
43     Farm                               0           0           0
44   Federal National Mortgage
         Association                161,308     157,675     151,500
45     One- to four-family          149,831     147,594     141,195
46     Multifamily                   11,477      10,081      10,305
47   Federal Land Banks              30,657      32,983      34,187
48     One- to four-family            1,804       1,941       2,012
49     Farm                               0           0           0
50   Federal Home Loan Mortgage
         Corporation                 48,454      57,085      56,676
51     One- to four-family           42,629      49,106      44,321
52     Multifamily                    5,825       7,979      12,355

53 Mortgage pools or trusts(5)    2,232,848   2,581,969   2,947,760
54   Government National
         Mortgage Association       536,879     537,446     582,263
55     One- to four-family          523,225     522,498     565,189
56     Multifamily                   13,654      14,948      17,074
57   Federal Home Loan Mortgage
         Corporation                579,385     646,459     749,081
58     One- to four-family          576,846     643,465     744,619
59     Multifamily                    2,539       2,994       4,462
60   Federal National Mortgage
         Association                709,582     834,517     960,883
61     One- to four-family          687,981     804,204     924,941
62     Multifamily                   21,601      30,313      35,942
63   Farmers Home
         Administration(4)                2           1           0
64     One- to four-family                0           0           0
65     Multifamily                        0           0           0
66     Nonfarm, nonresidential            0           0           0
67     Farm                               2           1           0
68   Private mortgage conduits      407,000     563,546     655,533
69     One- to four-family(6)       310,659     405,153     455,021
70     Multifamily                   20,907      33,754      42,226
71     Nonfarm, nonresidential       75,434     124,639     158,287
72     Farm                               0           0           0

73 Individuals and others(7)        595,195     626,949     660,258
74   One- to four-family            382,315     416,335     441,205
75   Multifamily                     72,088      74,462      76,740
76   Nonfarm, nonresidential        122,013     116,178     121,095
77   Farm                            18,779      19,974      21,217

                                                2000

  Type of holder and property        Q1          Q2          Q3

 1 All holders                    6,426,515   6,592,329   6,744,667

   By type of property
 2 One- to four-family
         residences               4,832,886   4,962,031   5,087,538
 3 Multifamily residences           387,188     390,753     399,232
 4 Nonfarm, nonresidential        1,102,565   1,133,107   1,149,940
 5 Farm                             103,875     106,437     107,957

   By type of holder
 6 Major financial institutions   2,458,194   2,550,201   2,606,592
 7   Commercial banks(2)          1,548,224   1,615,794   1,650,294
 8     One- to four-family          905,270     949,223     968,831
 9     Multifamily                   72,509      75,795      77,031
10     Nonfarm, nonresidential      537,772     557,059     570,513
11     Farm                          32,673      33,717      33,919
12   Savings institutions(3)        680,745     701,992     721,563
13     One- to four-family          560,018     578,612     595,518
14     Multifamily                   57,790      59,174      60,077
15     Nonfarm, nonresidential       62,444      63,688      65,437
16     Farm                             493         518         531
17   Life insurance companies       229,225     232,415     234,735
18     One- to four-family            5,567       5,237       4,907
19     Multifamily                   32,634      33,121      33,478
20     Nonfarm, nonresidential      178,043     180,701     182,646
21     Farm                          12,981      13,356      13,704

22 Federal and related agencies     322,917     332,642     336,682
23   Government National
         Mortgage Association             7           7           6
24     One- to four-family                7           7           6
25     Multifamily                        0           0           0
26   Farmers Home
         Administration(4)           72,899      72,896      73,009
27     One- to four-family           16,456      16,435      16,444
28     Multifamily                   11,732      11,729      11,734
29     Nonfarm, nonresidential       40,509      40,554      40,665
30     Farm                           4,202       4,179       4,167
31   Federal Housing and Vete-
         rans' Administrations        3,794       3,845       3,395
32     One- to four-family            1,847       1,832       1,327
33     Multifamily                    1,947       2,013       2,068
34   Resolution Trust
         Corporation                      0           0           0
35     One- to four-family                0           0           0
36     Multifamily                        0           0           0
37     Nonfarm, nonresidential            0           0           0
38     Farm                               0           0           0
39   Federal Deposit Insurance
         Corporation                     98          72          82
40     One- to four-family               16          12          13
41     Multifamily                       19          14          16
42     Nonfarm, nonresidential           63          46          53
43     Farm                               0           0           0
44   Federal National Mortgage
         Association                150,312     153,507     152,815
45     One- to four-family          139,986     142,478     141,786
46     Multifamily                   10,326      11,029      11,029
47   Federal Land Banks              34,142      34,830      35,549
48     One- to four-family            2,009       2,049       2,092
49     Farm                               0           0           0
50   Federal Home Loan Mortgage
         Corporation                 57,009      56,972      57,046
51     One- to four-family           43,384      42,892      42,138
52     Multifamily                   13,625      14,080      14,908

53 Mortgage pools or trusts(5)    2,983,365   3,034,691   3,115,138
54   Government National
         Mortgage Association       589,192     590,708     602,628
55     One- to four-family          571,506     572,661     584,152
56     Multifamily                   17,686      18,047      18,476
57   Federal Home Loan Mortgage
         Corporation                757,106     768,641     790,891
58     One- to four-family          752,607     763,890     786,007
59     Multifamily                    4,499       4,751       4,884
60   Federal National Mortgage
         Association                975,815     995,815   1,020,828
61     One- to four-family          932,178     957,584     981,206
62     Multifamily                   43,637      38,231      39,622
63   Farmers Home
         Administration(4)                0           0           0
64     One- to four-family                0           0           0
65     Multifamily                        0           0           0
66     Nonfarm, nonresidential            0           0           0
67     Farm                               0           0           0
68   Private mortgage conduits      661,252     679,527     700,792(r)
69     One- to four-family(6)       455,623     464,593     477,899
70     Multifamily                   43,069      44,290      45,991
71     Nonfarm, nonresidential      162,560     170,644     176,901
72     Farm                               0           0           0

73 Individuals and others(7)        662,039     674,794     686,254
74   One- to four-family            442,006     454,314     470,762
75   Multifamily                     77,466      78,179      79,587
76   Nonfarm, nonresidential        121,174     120,415     113,725
77   Farm                            21,393      21,886      22,179

                                    2000        2001

  Type of holder and property        Q4          Q1

 1 All holders                    6,889,962   7,016,475

   By type of property
 2 One- to four-family
         residences               5,193,000   5,284,886
 3 Multifamily residences           409,216     418,762
 4 Nonfarm, nonresidential        1,178,909   1,202,752
 5 Farm                             108,836     110,075

   By type of holder
 6 Major financial institutions   2,621,076   2,667,125
 7   Commercial banks(2)          1,661,600   1,688,869
 8     One- to four-family          966,609     978,227
 9     Multifamily                   77,821      79,890
10     Nonfarm, nonresidential      583,153     596,518
11     Farm                          34,016      34,234
12   Savings institutions(3)        723,534     741,114
13     One- to four-family          595,053     608,289
14     Multifamily                   61,094      62,666
15     Nonfarm, nonresidential       66,852      69,589
16     Farm                             535         569
17   Life insurance companies       235,942     237,142
18     One- to four-family            4,904       4,800
19     Multifamily                   33,681      33,867
20     Nonfarm, nonresidential      183,757     184,774
21     Farm                          13,600      13,701

22 Federal and related agencies     343,962     346,276
23   Government National
         Mortgage Association             6           6
24     One- to four-family                6           6
25     Multifamily                        0           0
26   Farmers Home
         Administration(4)           73,323      73,361
27     One- to four-family           16,372      16,297
28     Multifamily                   11,733      11,725
29     Nonfarm, nonresidential       41,070      41,247
30     Farm                           4,148       4,093
31   Federal Housing and Vete-
         rans' Administrations        3,507       2,873
32     One- to four-family            1,308       1,276
33     Multifamily                    2,199       1,597
34   Resolution Trust
         Corporation                      0           0
35     One- to four-family                0           0
36     Multifamily                        0           0
37     Nonfarm, nonresidential            0           0
38     Farm                               0           0
39   Federal Deposit Insurance
         Corporation                     45          50
40     One- to four-family                7           8
41     Multifamily                        9          10
42     Nonfarm, nonresidential           29          32
43     Farm                               0           0
44   Federal National Mortgage
         Association                155,363     156,294
45     One- to four-family          144,150     145,014
46     Multifamily                   11,213      11,280
47   Federal Land Banks              36,326      37,072
48     One- to four-family            2,137       2,181
49     Farm                               0           0
50   Federal Home Loan Mortgage
         Corporation                 59,240      60,110
51     One- to four-family           42,871      42,771
52     Multifamily                   16,369      17,339

53 Mortgage pools or trusts(5)    3,231,195   3,305,311
54   Government National
         Mortgage Association       611,629     601,540
55     One- to four-family          592,700     581,760
56     Multifamily                   18,929      19,780
57   Federal Home Loan Mortgage
         Corporation                822,310     833,616
58     One- to four-family          816,602     827,769
59     Multifamily                    5,708       5,847
60   Federal National Mortgage
         Association              1,057,750   1,099,049
61     One- to four-family        1,016,398   1,055,412
62     Multifamily                   41,352      43,637
63   Farmers Home
         Administration(4)                0           0
64     One- to four-family                0           0
65     Multifamily                        0           0
66     Nonfarm, nonresidential            0           0
67     Farm                               0           0
68   Private mortgage conduits      739,506     771,106
69     One- to four-family(6)       499,834     523,300

70     Multifamily                   49,322      50,639
71     Nonfarm, nonresidential      190,350     197,167
72     Farm                               0           0

73 Individuals and others(7)        693,729     697,763
74   One- to four-family            478,118     481,485
75   Multifamily                     79,566      80,268
76   Nonfarm, nonresidential        113,697     113,424
77   Farm                            22,348      22,586

(1.) Multifamily debt refers to loans on structures of five
or more units.

(2.) Includes loans held by nondeposit trust companies but not
loans held by bank trust departments.

(3.) Includes savings banks and savings and loan associations.

(4.) FmHA-guaranteed securities sold to the Federal Financing Bank
were reallocated from FmHA mortgage pools to FmHA mortgage holdings
in 1986:Q4 because of accounting changes by the Farmers Home
Administration.

(5.) Outstanding principal balances of mortgage-backed securities
insured or guaranteed by the agency indicated.

(6.) Includes securitized home equity loans.

(7.) Other holders include mortgage companies, real estate investment
trusts, state and local credit agencies, state and local retirement
funds, noninsured pension funds, credit unions, and finance companies.

SOURCE. Based on data from various institutional and government
sources. Separation of nonfarm mortgage debt by type of property,
if not reported directly, and interpolations and extrapolations, when
required for some quarters, are estimated in part by the Federal
Reserve. Line 69 from Inside Mortgage Securities and other sources.
1.55 CONSUMER CREDIT(1)

Millions of dollars, amounts outstanding, end of period

  Holder and type of credit       1998        1999       2000(r)

                                      Seasonally adjusted

 1 Total                        1,301,023   1,393,657   1,531,469

 2 Revolving                      560,504     595,610     663,830
 3 Nonrevolving(2)                740,519     798,047     867,639

                                      Not seasonally adjusted

 4 Total                        1,331,742   1,426,151   1,566,457

   By major holder
 5 Commercial banks               508,932     499,758     541,470
 6 Finance companies              168,491     181,573     193,189
 7 Credit unions                  155,406     167,921     184,434
 8 Savings institutions            51,611      61,527      64,557
 9 Nonfinancial business           74,877      80,311      82,662
10 Pools of securitized
       assets(3)                  372,425     435,061     500,145

   By major type of credit(4)
11 Revolving                      586,528     623,245     693,645
12   Commercial banks             210,346     189,352     218,063
13   Finance companies             32,309      33,814      38,251
14   Credit unions                 19,930      20,641      22,226
15   Savings institutions          12,450      15,838      16,560
16   Nonfinancial business         39,166      42,783      42,430
17   Pools of securitized
       assets(3)                  272,327     320,817     356,114

18 Nonrevolving                   745,214     802,906     872,812
19   Commercial banks             298,586     310,406     323,407
20   Finance companies            136,182     147,759     154,938
21   Credit unions                135,476     147,280     162,208
22   Savings institutions          39,161      45,689      47,997
23   Nonfinancial business         35,711      37,528      40,232
24   Pools of securitized
       assets(3)                  100,098     114,244     144,031

                                          2000               2001

  Holder and type of credit        Nov.         Dec.(r)     Jan.(r)

                                        Seasonally adjusted

 1 Total                        1,525,073(r)   1,531,469   1,548,486

 2 Revolving                      660,992(r)     663,830     669,780
 3 Nonrevolving(2)                864,081(r)     867,639     878,706

                                      Not seasonally adjusted

 4 Total                        1,532,836(r)   1,566,457   1,560,357

   By major holder
 5 Commercial banks               529,911(r)     541,470     539,796
 6 Finance companies              197,759        193,189     187,029
 7 Credit unions                  183,772        184,434     184,120
 8 Savings institutions            63,879(r)      64,557      64,667
 9 Nonfinancial business           73,786         82,662      77,685
10 Pools of securitized
       assets(3)                  483,729        500,145     507,060

   By major type of credit(4)
11 Revolving                      664,463(r)     693,645     681,812
12   Commercial banks             206,121        218,063     211,006
13   Finance companies             37,956         38,251      37,098
14   Credit unions                 21,656         22,226      21,714
15   Savings institutions          16,482(r)      16,560      16,701
16   Nonfinancial business         36,430         42,430      38,934
17   Pools of securitized
       assets(3)                  345,817        356,114     356,359

18 Nonrevolving                   868,373(r)     872,812     878,545
19   Commercial banks             323,789(r)     323,407     328,790
20   Finance companies            159,803        154,938     149,931
21   Credit unions                162,116        162,208     162,406
22   Savings institutions          47,397(r)      47,997      47,966
23   Nonfinancial business         37,356         40,232      38,750
24   Pools of securitized
       assets(3)                  137,912        144,031     150,701

                                              2001

  Holder and type of credit      Feb.(r)     Mar.(r)      Apr.

                                       Seasonally adjusted

 1 Total                        1,562,937   1,570,368   1,584,329

 2 Revolving                      681,384     688,166     697,360
 3 Nonrevolving(2)                881,553     882,203     886,970

                                     Not seasonally adjusted

 4 Total                        1,558,086   1,557,971   1,570,179

   By major holder
 5 Commercial banks               535,137     534,545     540,781
 6 Finance companies              187,493     185,874     191,161
 7 Credit unions                  183,548     182,918     184,248
 8 Savings institutions            64,777      64,887      64,950
 9 Nonfinancial business           73,020      71,757      71,510
10 Pools of securitized
       assets(3)                  514,111     517,990     517,529

   By major type of credit(4)
11 Revolving                      682,143     681,139     690,146
12   Commercial banks             208,192     208,924     215,185
13   Finance companies             36,938      35,626      36,044
14   Credit unions                 21,415      20,902      21,103
15   Savings institutions          16,842      16,983      16,975
16   Nonfinancial business         35,290      34,150      33,815
17   Pools of securitized
       assets(3)                  363,466     364,554     367,024

18 Nonrevolving                   875,943     876,832     880,033
19   Commercial banks             326,945     325,621     325,597
20   Finance companies            150,555     150,249     155,117
21   Credit unions                162,133     162,016     163,145
22   Savings institutions          47,935      47,904      47,975
23   Nonfinancial business         37,729      37,607      37,694
24   Pools of securitized
       assets(3)                  150,645     153,436     150,506

(1.) The Board's series on amounts of credit covers most short- and
intermediate-term credit extended to individuals, excluding loans
secured by real estate. Data in this table also appear in the Board's
G.19 (421) monthly statistical release. For ordering address, see
inside front cover.

(2.) Comprises motor vehicle loans, mobile home loans, and all other
loans that are not included in revolving credit, such as loans for
education, boats, trailers, or vacations. These loans may be
secured or unsecured.

(3.) Outstanding balances of pools upon which securities have been
issued; these balances are no longer carried on the balance sheets
of the loan originator.

(4.) Totals include estimates for certain holders for which only
consumer credit totals are available.
1.56 TERMS OF CONSUMER CREDIT(1)

Percent per year except as noted

                                                             2000

          Item               1998     1999     2000     Oct.     Nov.

     INTEREST RATES

   Commercial banks(2)
 1 48-month new car           8.72     8.44     9.34    n.a.      9.63
 2 24-month personal         13.74    13.39    13.90    n.a.     14.12

   Credit card plan
 3 All accounts              15.71    15.21    15.71    n.a.     15.99
 4 Accounts assessed
     interest                15.59    14.81    14.91    n.a.     15.23

   Auto finance companies
 5 New car                    6.30     6.66     6.61     4.74     5.41
 6 Used car                  12.64    12.60    13.55    13.87    13.66

     OTHER TERMS(3)

   Maturity (months)
 7 New car                    52.1     52.7     54.9     57.6     57.3
 8 Used car                   53.5     55.9     57.0     57.0     56.8

   Loan-to-value ratio
 9 New car                      92       92       92       93       93
10 Used car                     99       99       99      100      100

   Amount financed
     (dollars)
11 New car                  19,083   19,880   20,923   22,069   22,443
12 Used car                 12,691   13,642   14,058   13,978   14,325

                             2000                  2001

          Item               Dec.     Jan.     Feb.     Mar.     Apr.

     INTEREST RATES

   Commercial banks(2)
 1 48-month new car          n.a.     n.a.      9.17    n.a.     n.a.
 2 24-month personal         n.a.     n.a.     13.71    n.a.     n.a.

   Credit card plan
 3 All accounts              n.a.     n.a.     15.66    n.a.     n.a.
 4 Accounts assessed
     interest                n.a.     n.a.     14.61    n.a.     n.a.

   Auto finance companies
 5 New car                    7.45     7.29     7.19     6.80     6.80
 6 Used car                  13.58    13.11    13.34    13.19    12.82

     OTHER TERMS(3)

   Maturity (months)
 7 New car                    55.2     54.3     55.5     55.6     56.3
 8 Used car                   56.6     57.8     58.0     58.0     57.9

   Loan-to-value ratio
 9 New car                      91       90       91       91       91
10 Used car                    100       98       99      100      100

   Amount financed
     (dollars)
11 New car                  21,867   21,315   21,993   22,131   21,914
12 Used car                 14,591   14,155   14,095   14,214   14,347

(1.) The Board's series on amounts of credit covers most short- and
intermediate-term credit extended to individuals. Data in this table
also appear in the Board's G.19 (421) monthly statistical release.
For ordering address, see inside front cover.

(2.) Data are available for only the second month of each quarter.

(3.) At auto finance companies.
1.57 FUNDS RAISED IN U.S. CREDIT MARKETS(1)

Billions of dollars; quarterly data at seasonally adjusted annual rates

Transaction category or sector     1995      1996      1997      1998

                                           Nonfinancial sectors

 1 Total net borrowing by
         domestic nonfinancial
         sectors                    711.1     731.3     804.6   1,011.4

   By sector and instrument
 2 Federal government               144.4     145.0      23.1     -52.6
 3   Treasury securities            142.9     146.6      23.2     -54.6
 4   Budget agency securities
         and mortgages                1.5      -1.6       -.1       2.0

 5 Nonfederal                       566.7     586.3     781.5   1,064.0

     By instrument
 6   Commercial paper                18.1       -.9      13.7      24.4
 7   Municipal securities
         and loans                  -48.2       2.6      71.4      96.8
 8   Corporate bonds                 91.1     116.3     150.5     218.7
 9   Bank loans n.e.c.              103.7      70.5     106.5     108.2
10   Other loans and advances        67.2      33.5      69.1      74.3
11   Mortgages                      195.8     275.7     317.7     474.0
12     Home                         181.0     242.1     252.3     379.7
13     Multifamily residential        6.1       9.0       8.2      19.9
14     Commercial                     7.1      22.0      54.1      68.2
15     Farm                           1.6       2.6       3.2       6.2
16   Consumer credit                138.9      88.8      52.5      67.6

     By borrowing sector
17   Household                      363.5     357.8     337.1     472.1
18   Nonfinancial business          254.7     235.3     388.2     511.7
19     Corporate                    227.5     149.1     266.5     392.0
20     Nonfarm noncorporate          24.3      81.4     115.6     112.0
21     Farm                           2.9       4.8       6.2       7.7
22   State and local government     -15.5      -6.8      56.1      80.3

23 Foreign net borrowing in
         United States               78.5      88.4      71.8      43.3
24   Commercial paper                13.5      11.3       3.7       7.8
25   Bonds                           57.1      67.0      61.4      34.8
26   Bank loans n.e.c.                8.5       9.1       8.5       6.7
27   Other loans and advances         -.5       1.0      -1.8      -6.0

28 Total domestic plus foreign      789.6     819.7     876.3   1,054.7

                                             Financial sectors

29 Total net borrowing by
         financial sectors          454.0     545.7     653.8   1,073.9

   By instrument
30 Federal government-related       204.2     231.4     212.9     470.9
31   Government-sponsored
         enterprise securities      105.9      90.4      98.4     278.3
32   Mortgage pool securities        98.3     141.0     114.6     192.6
33   Loans from U.S. government        .0        .0        .0        .0

34 Private                          249.8     314.4     440.9     603.0
35   Open market paper               42.7      92.2     166.7     161.0
36   Corporate bonds                195.9     173.8     210.5     296.9
37   Bank loans n.e.c.                2.5      12.6      13.2      30.1
38   Other loans and advances         3.4      27.9      35.6      90.2
39   Mortgages                        5.3       7.9      14.9      24.8

   By borrowing sector
40 Commercial banking                22.5      13.0      46.1      72.9
41 Savings institutions               2.6      25.5      19.7      52.2
42 Credit unions                      -.1        .1        .1        .6
43 Life insurance companies           -.1       1.1        .2        .7
44 Government-sponsored
         enterprises                105.9      90.4      98.4     278.3
45 Federally related mortgage
         pools                       98.3     141.0     114.6     192.6
46 Issuers of asset-backed
         securities (ABSs)          142.4     150.8     202.2     321.4
47 Finance companies                 50.2      45.9      48.7      43.0
48 Mortgage companies                -2.2       4.1      -4.6       1.6
49 Real estate investment
         trusts (REITs)               4.5      11.9      39.6      62.7
50 Brokers and dealers               -5.0      -2.0       8.1       7.2
51 Funding corporations              34.9      64.1      80.7      40.7

                                              All sectors

52 Total net borrowing, all
         sectors                  1,243.7   1,365.4   1,530.1   2,128.6

53 Open market paper                 74.3     102.6     184.1     193.1
54 U.S. government securities       348.6     376.4     236.0     418.3
55 Municipal securities             -48.2       2.6      71.4      96.8
56 Corporate and foreign bonds      344.1     357.0     422.4     550.4
57 Bank loans n.e.c.                114.7      92.1     128.2     145.0
58 Other loans and advances          70.1      62.5     102.8     158.5
59 Mortgages                        201.1     283.5     332.6     498.8
60 Consumer credit                  138.9      88.8      52.5      67.6

                                    Funds raised through mutual funds
                                         and corporate equities

61 Total net issues                 131.7     231.7     181.2     101.6

62 Corporate equities               -15.7      -5.9     -83.9    -173.0
63   Nonfinancial corporations      -58.3     -69.5    -114.4    -267.0
64   Foreign shares purchased
         by U.S. residents           50.4      82.8      57.6     101.2
65   Financial corporations          -7.8     -19.2     -27.1      -7.3
66 Mutual fund shares               147.4     237.6     265.1     274.6

                                                  1999           2000

Transaction category or sector     1999       Q3        Q4        Q1

                                           Nonfinancial sectors

 1 Total net borrowing by
         domestic nonfinancial
         sectors                  1,088.8   1,150.9   1,051.9     917.1

   By sector and instrument
 2 Federal government               -71.2     -68.9     -34.0    -215.5
 3   Treasury securities            -71.0     -68.9     -34.0    -213.5
 4   Budget agency securities
         and mortgages                -.2        .0        .0      -2.1

 5 Nonfederal                     1,160.0   1,219.8   1,085.9   1,132.6

     By instrument
 6   Commercial paper                37.4      49.8      44.0      29.8
 7   Municipal securities
         and loans                   68.2      71.3      52.5       8.9
 8   Corporate bonds                229.9     202.8     155.2     186.2
 9   Bank loans n.e.c.               82.7     112.3     108.6     131.9
10   Other loans and advances        60.6      74.0      39.7     155.6
11   Mortgages                      586.9     633.4     576.3     475.0
12     Home                         426.1     473.6     391.3     336.5
13     Multifamily residential       39.6      40.6      51.0      28.8
14     Commercial                   115.6     112.2     131.6     102.3
15     Farm                           5.5       7.0       2.5       7.3
16   Consumer credit                 94.4      76.2     109.5     145.3

     By borrowing sector
17   Household                      532.4     574.8     492.2     516.2
18   Nonfinancial business          575.3     592.6     560.1     612.7
19     Corporate                    454.7     452.5     421.9     480.8
20     Nonfarm noncorporate         115.3     131.6     132.7     116.5
21     Farm                           5.2       8.5       5.6      15.4
22   State and local government      52.3      52.5      33.6       3.8

23 Foreign net borrowing in
         United States               25.3      77.3      17.6     118.0
24   Commercial paper                16.3      41.1      33.6      57.8
25   Bonds                           14.2      44.0      -2.7      45.7
26   Bank loans n.e.c.                 .5      -6.6       2.3      15.4
27   Other loans and advances        -5.7      -1.1     -15.5       -.9

28 Total domestic plus foreign    1,114.1   1,228.2   1,069.5   1,035.1

                                             Financial sectors

29 Total net borrowing by
         financial sectors        1,077.2   1,059.1   1,047.6     586.4

   By instrument
30 Federal government-related       592.0     651.6     550.1     248.6
31   Government-sponsored
         enterprise securities      318.2     407.1     367.9     104.9
32   Mortgage pool securities       273.8     244.5     182.2     143.7
33   Loans from U.S. government        .0        .0        .0        .0

34 Private                          485.3     407.5     497.4     337.8
35   Open market paper              176.2      89.9     479.0     130.9
36   Corporate bonds                211.1     174.4     -36.6     135.1
37   Bank loans n.e.c.              -14.3      -5.9     -55.6        .3
38   Other loans and advances       107.1     139.8     107.5      64.4
39   Mortgages                        5.1       9.4       3.2       7.0

   By borrowing sector
40 Commercial banking                67.2     107.0      54.1      72.4
41 Savings institutions              48.0      51.9       5.8      40.6
42 Credit unions                      2.2       2.8       3.3      -2.9
43 Life insurance companies            .7       1.1      -4.4       -.7
44 Government-sponsored
         enterprises                318.2     407.1     367.9     104.9
45 Federally related mortgage
         pools                      273.8     244.5     182.2     143.7
46 Issuers of asset-backed
         securities (ABSs)          223.4     215.4     108.6     134.6
47 Finance companies                 62.4     -17.2      99.2      52.3
48 Mortgage companies                  .2      -6.1       6.2      -3.0
49 Real estate investment
         trusts (REITs)               6.3       7.9      11.3      11.5
50 Brokers and dealers              -17.2      17.8     -37.3      44.4
51 Funding corporations              92.2      27.0     250.6     -11.4

                                                All sectors

52 Total net borrowing, all
         sectors                  2,191.3   2,287.4   2,117.1   1,621.5

53 Open market paper                229.9     180.7     556.6     218.4
54 U.S. government securities       520.7     582.7     516.1      33.0
55 Municipal securities              68.2      71.3      52.5       8.9
56 Corporate and foreign bonds      455.2     421.2     115.9     367.0
57 Bank loans n.e.c.                 68.9      99.8      55.2     147.7
58 Other loans and advances         162.0     212.8     131.7     219.2
59 Mortgages                        592.0     642.7     579.5     482.0
60 Consumer credit                   94.4      76.2     109.5     145.3

                                    Funds raised through mutual funds
                                         and corporate equities

61 Total net issues                 161.6     129.6     178.1     366.3

62 Corporate equities               -26.7       2.2       5.2      60.2
63   Nonfinancial corporations     -143.5    -128.4     -55.0      61.2
64   Foreign shares purchased
         by U.S. residents          114.4     121.7      71.3      63.3
65   Financial corporations           2.4       8.8     -11.1     -64.2
66 Mutual fund shares               188.3     127.5     172.8     306.1

                                             2000                2001

Transaction category or sector      Q2        Q3        Q4        Q1

                                           Nonfinancial sectors

 1 Total net borrowing by
         domestic nonfinancial
         sectors                    952.3     752.2     829.1     965.5

   By sector and instrument
 2 Federal government              -414.0    -219.5    -334.5     -10.8
 3   Treasury securities           -415.8    -217.1    -333.3      -8.6
 4   Budget agency securities
         and mortgages                1.8      -2.4      -1.2      -2.2

 5 Nonfederal                     1,366.2     971.8   1,163.5     976.3

     By instrument
 6   Commercial paper               110.4      56.1      -4.0    -207.2
 7   Municipal securities
         and loans                   34.0      29.8      68.6      94.3
 8   Corporate bonds                153.8     184.4     175.6     400.0
 9   Bank loans n.e.c.              163.1      31.7      86.5     -11.3
10   Other loans and advances       126.6     -10.1     145.1      -8.9
11   Mortgages                      640.4     557.4     568.1     553.8
12     Home                         482.4     428.4     413.5     406.3
13     Multifamily residential       43.9      29.5      40.3      40.8
14     Commercial                   104.3      93.2     110.6     101.5
15     Farm                           9.7       6.2       3.7       5.1
16   Consumer credit                137.9     122.5     123.7     155.6

     By borrowing sector
17   Household                      632.7     550.5     565.2     559.9
18   Nonfinancial business          712.7     397.6     537.9     326.5
19     Corporate                    578.5     282.3     407.5     231.8
20     Nonfarm noncorporate         125.1     109.3     116.5      85.7
21     Farm                           9.1       6.0      13.9       9.1
22   State and local government      20.8      23.6      60.4      89.9

23 Foreign net borrowing in
         United States               -7.6      89.3      66.3     -27.0
24   Commercial paper                12.0       7.0      50.1     -25.4
25   Bonds                          -27.4      71.8       9.2      -1.4
26   Bank loans n.e.c.                5.7      11.9      12.2      10.3
27   Other loans and advances         2.0      -1.5      -5.2     -10.5

28 Total domestic plus foreign      944.6     841.5     895.4     938.4

                                             Financial sectors

29 Total net borrowing by
         financial sectors          819.3     725.5   1,075.9     893.6

   By instrument
30 Federal government-related       370.4     503.4     612.1     461.1
31   Government-sponsored
         enterprise securities      248.9     278.1     304.8     264.1
32   Mortgage pool securities       121.6     225.3     307.3     197.0
33   Loans from U.S. government        .0        .0        .0        .0

34 Private                          448.9     222.1     463.8     432.5
35   Open market paper               77.4      65.2     237.5    -119.5
36   Corporate bonds                233.0     188.3     211.6     456.8
37   Bank loans n.e.c.                5.4       -.7      -6.2      23.6
38   Other loans and advances       123.1     -36.7      19.1      79.2
39   Mortgages                       10.0       6.0       1.8      -7.5

   By borrowing sector
40 Commercial banking               113.2      23.5      30.8     138.4
41 Savings institutions              59.1     -23.4      32.7      40.8
42 Credit unions                       .9       1.1       1.0       -.2
43 Life insurance companies          -1.1       -.3       -.7      -2.4
44 Government-sponsored
         enterprises                248.9     278.1     304.8     264.1
45 Federally related mortgage
         pools                      121.6     225.3     307.3     197.0
46 Issuers of asset-backed
         securities (ABSs)          157.1     148.0     311.3     277.0
47 Finance companies                103.9      96.9      45.6     -43.8
48 Mortgage companies                 2.7       -.3       1.0        .7
49 Real estate investment
         trusts (REITs)               9.8      -2.4      -8.1      -6.1
50 Brokers and dealers                -.7      25.4      -6.6     -23.9
51 Funding corporations               4.0     -46.4      56.8      51.8

                                                All sectors

52 Total net borrowing, all
         sectors                  1,763.9   1,567.0   1,971.3   1,832.1

53 Open market paper                199.8     128.4     283.6    -352.1
54 U.S. government securities       -43.5     283.8     277.6     450.3
55 Municipal securities              34.0      29.8      68.6      94.3
56 Corporate and foreign bonds      359.5     444.6     396.4     855.4
57 Bank loans n.e.c.                174.2      42.9      92.5      22.6
58 Other loans and advances         251.7     -48.3     159.0      59.7
59 Mortgages                        650.4     563.4     569.9     546.3
60 Consumer credit                  137.9     122.5     123.7     155.6

                                    Funds raised through mutual funds
                                         and corporate equities

61 Total net issues                 142.4     170.9    -170.9     127.4

62 Corporate equities               -95.2     -88.9    -342.0      22.7
63   Nonfinancial corporations     -245.2     -87.7    -394.8     -33.9
64   Foreign shares purchased
         by U.S. residents          180.1      61.1      90.5      79.8
65   Financial corporations         -30.2     -62.3     -37.8     -23.2
66 Mutual fund shares               237.6     259.8     171.1     104.7

(1.) Data in this table also appear in the Board's Z.1 (780)
quarterly statistical release, tables F.2 through F.4. For ordering
address, see inside front cover.
1.58 SUMMARY OF FINANCIAL TRANSACTIONS(1)

Billions of dollars except as noted; quarterly data at
seasonally adjusted annual rates

   Transaction category or sector       1995      1996      1997

  NET LENDING IN CREDIT MARKETS(2)

 1 Total net lending in credit
         markets                       1,243.7   1,365.4   1,530.1
 2 Domestic nonfederal nonfinancial
         sectors                         -65.7      81.0     -17.3
 3   Household                            29.7     129.3      -2.6
 4   Nonfinancial corporate business      -8.8     -10.2     -12.7
 5   Nonfarm noncorporate business         4.7      -4.3      -2.1
 6   State and local governments         -91.4     -33.7        .1
 7 Federal government                      -.5      -7.2       5.1
 8 Rest of the world                     273.9     414.4     311.3
 9 Financial sectors                   1,036.0     877.1   1,231.0
10   Monetary authority                   12.7      12.3      38.3
11   Commercial banking                  265.9     187.5     324.3
12     U.S.-chartered banks              186.5     119.6     274.9
13     Foreign banking offices in
         United States                    75.4      63.3      40.2
14     Bank holding companies              -.3       3.9       5.4
15     Banks in U.S.-affiliated
         areas                             4.2        .7       3.7
16   Savings institutions                 -7.6      19.9      -4.7
17   Credit unions                        16.2      25.5      16.8
18   Bank personal trusts and
         estates                          -8.3      -7.7     -25.0
19   Life insurance companies            100.0      69.6     104.8
20   Other insurance companies            21.5      22.5      25.2
21   Private pension funds                19.9      -4.1      47.6
22   State and local government
         retirement funds                 38.3      35.8      67.1
23   Money market mutual funds            86.5      88.8      87.5
24   Mutual funds                         52.5      48.9      80.9
25   Closed-end funds                     10.5       4.7      -2.6
26   Government-sponsored
         enterprises                      86.7      84.2      94.3
27   Federally related mortgage
         pools                            98.3     141.0     114.6
28   Asset-backed securities
         issuers (ABSs)                  120.6     120.5     163.8
29   Finance companies                    49.9      18.4      21.9
30   Mortgage companies                   -3.4       8.2      -9.1
31   Real estate investment
         trusts (REITs)                    1.4       4.4      20.2
32   Brokers and dealers                  90.1     -15.7      14.9
33   Funding corporations                -15.7      12.6      50.4

       RELATION OF LIABILITIES
         TO FINANCIAL ASSETS

34 Net flows through credit markets    1,243.7   1,365.4   1,530.1

   Other financial sources
35 Official foreign exchange               8.8      -6.3        .7
36 Special drawing rights
         certificates                      2.2       -.5       -.5
37 Treasury currency                        .7        .5        .5
38 Foreign deposits                       35.3      85.9     108.9
39 Net interbank transactions             10.0     -51.6     -19.7
40 Checkable deposits and currency       -12.8      15.7      41.2
41 Small time and savings deposits        96.6      97.2      97.1
42 Large time deposits                    65.6     114.0     122.5
43 Money market fund shares              141.2     145.4     155.9
44 Security repurchase agreements        110.5      41.4     120.9
45 Corporate equities                    -15.7      -5.9     -83.9
46 Mutual fund shares                    147.4     237.6     265.1
47 Trade payables                        127.5     113.5     132.1
48 Security credit                        26.7      52.4     111.0
49 Life insurance reserves                45.8      44.5      59.3
50 Pension fund reserves                 158.8     148.3     201.4
51 Taxes payable                           6.2      16.2      15.7
52 Investment in bank personal
         trusts                            6.4      -5.3     -49.9
53 Noncorporate proprietors' equity       36.5     -11.9     -50.2
54 Miscellaneous                         505.4     532.1     487.5

55 Total financial sources             2,746.6   2,928.8   3,245.7

   Liabilities not identified as
         assets (-)
56 Treasury currency                       -.3       -.4       -.2
57 Foreign deposits                       25.1      59.6     107.4
58 Net interbank liabilities              -3.1      -3.3     -19.9
59 Security repurchase agreements         25.7       2.4      63.2
60 Taxes payable                          21.1      23.1      28.0
61 Miscellaneous                        -208.4    -137.2    -148.6

   Floats not included in assets (-)
62 Federal government checkable
         deposits                         -6.0        .5      -2.7
63 Other checkable deposits               -3.8      -4.0      -3.9
64 Trade credit                           14.1     -21.9     -28.5

65 Total identified to sectors as
         assets                        2,882.3   3,010.1   3,250.9

   Transaction category or sector       1998      1999      1999

                                                             Q3

  NET LENDING IN CREDIT MARKETS(2)

 1 Total net lending in credit
         markets                       2,128.6   2,191.3   2,287.4
 2 Domestic nonfederal nonfinancial
         sectors                         106.3     231.5     202.7
 3   Household                           -12.2     189.4     238.4
 4   Nonfinancial corporate business     -16.0      -2.8       5.8
 5   Nonfarm noncorporate business          .1       1.5        .8
 6   State and local governments         134.5      43.4     -42.4
 7 Federal government                     13.5       5.8      11.2
 8 Rest of the world                     254.2     210.6     385.3
 9 Financial sectors                   1,754.5   1,743.4   1,688.2
10   Monetary authority                   21.1      25.7      20.6
11   Commercial banking                  305.2     308.2     449.4
12     U.S.-chartered banks              312.0     317.6     421.9
13     Foreign banking offices in
         United States                   -11.9     -20.1      33.2
14     Bank holding companies              -.9       6.2     -12.4
15     Banks in U.S.-affiliated
         areas                             6.0       4.4       6.6
16   Savings institutions                 36.1      68.6      58.1
17   Credit unions                        19.0      27.5      27.5
18   Bank personal trusts and
         estates                         -12.8      27.8      27.8
19   Life insurance companies             76.9      53.5      36.8
20   Other insurance companies            20.4      -4.2     -14.4
21   Private pension funds                56.4      45.0       5.9
22   State and local government
         retirement funds                 72.1      46.9      40.0
23   Money market mutual funds           244.0     182.0     224.8
24   Mutual funds                        124.8      47.2     -13.0
25   Closed-end funds                      5.5       6.9       6.9
26   Government-sponsored
         enterprises                     261.7     235.5     275.9
27   Federally related mortgage
         pools                           192.6     273.8     244.5
28   Asset-backed securities
         issuers (ABSs)                  281.7     205.2     206.9
29   Finance companies                    51.9      94.9      91.7
30   Mortgage companies                    3.2        .3     -12.1
31   Real estate investment
         trusts (REITs)                   -5.1      -2.6      -2.7
32   Brokers and dealers                   6.8     -34.7      -6.7
33   Funding corporations                 -6.9     135.9      20.3

       RELATION OF LIABILITIES
         TO FINANCIAL ASSETS

34 Net flows through credit markets    2,128.6   2,191.3   2,287.4

   Other financial sources
35 Official foreign exchange               6.6      -8.7      -8.5
36 Special drawing rights
         certificates                       .0      -3.0      -4.0
37 Treasury currency                        .6       1.0       2.0
38 Foreign deposits                        2.0      86.5      69.4
39 Net interbank transactions            -32.3      17.6     -30.8
40 Checkable deposits and currency        47.4     151.4     139.3
41 Small time and savings deposits       152.4      44.7     119.1
42 Large time deposits                    92.1     130.6     102.7
43 Money market fund shares              287.2     249.1     174.3
44 Security repurchase agreements         91.3     169.7     191.4
45 Corporate equities                   -173.0     -26.7       2.2
46 Mutual fund shares                    274.6     188.3     127.5
47 Trade payables                         96.0     207.3     257.9
48 Security credit                       103.3     104.3      29.7
49 Life insurance reserves                48.0      50.8      48.1
50 Pension fund reserves                 202.1     184.5     191.7
51 Taxes payable                          12.0      16.1        .4
52 Investment in bank personal
         trusts                          -42.5      -7.1      -7.2
53 Noncorporate proprietors' equity      -50.0     -10.8     -59.6
54 Miscellaneous                         936.5     654.6     499.0

55 Total financial sources             4,182.8   4,391.3   4,131.7

   Liabilities not identified as
         assets (-)
56 Treasury currency                       -.1       -.7        .2
57 Foreign deposits                      -13.0      71.3      26.4
58 Net interbank liabilities               3.4       3.5      -7.0
59 Security repurchase agreements         60.4      29.9     131.1
60 Taxes payable                          13.9       3.6       3.0
61 Miscellaneous                        -207.7    -436.0    -540.7

   Floats not included in assets (-)
62 Federal government checkable
         deposits                          2.6      -7.4       8.6
63 Other checkable deposits               -3.1       -.8       -.3
64 Trade credit                          -44.6      57.5      79.3

65 Total identified to sectors as
         assets                        4,371.1   4,670.4   4,431.1

   Transaction category or sector       1999          2000

                                         Q4        Q1        Q2

  NET LENDING IN CREDIT MARKETS(2)

 1 Total net lending in credit
         markets                       2,117.1   1,621.5   1,763.9
 2 Domestic nonfederal nonfinancial
         sectors                         -41.2    -148.2     120.8
 3   Household                             2.7    -224.5      61.8
 4   Nonfinancial corporate business     -47.6      71.5      14.9
 5   Nonfarm noncorporate business         1.4       2.6       2.8
 6   State and local governments           2.4       2.3      41.4
 7 Federal government                    -11.7       6.5       7.7
 8 Rest of the world                     138.7     325.9     207.1
 9 Financial sectors                   2,031.3   1,437.2   1,428.4
10   Monetary authority                  -42.2     103.4      -3.9
11   Commercial banking                  548.7     377.1     484.6
12     U.S.-chartered banks              457.7     409.2     505.6
13     Foreign banking offices in
         United States                    42.0       4.8     -29.9
14     Bank holding companies             42.6     -42.2       3.5
15     Banks in U.S.-affiliated
         areas                             6.3       5.4       5.4
16   Savings institutions                 20.2      56.3      71.2
17   Credit unions                        18.8      35.6      36.6
18   Bank personal trusts and
         estates                          27.8      18.9      13.8
19   Life insurance companies             30.7      51.3      50.9
20   Other insurance companies            -9.4     -14.0     -18.1
21   Private pension funds                49.8      46.8      24.7
22   State and local government
         retirement funds                 46.2      63.3      31.5
23   Money market mutual funds           354.5     208.8    -156.2
24   Mutual funds                        -12.7     -77.8      63.7
25   Closed-end funds                      6.9      -8.8      -8.8
26   Government-sponsored
         enterprises                     225.3     138.2     222.3
27   Federally related mortgage
         pools                           182.2     143.7     121.6
28   Asset-backed securities
         issuers (ABSs)                   78.8     114.0     122.6
29   Finance companies                   114.4     132.9     138.9
30   Mortgage companies                   12.3      -6.0       5.5
31   Real estate investment
         trusts (REITs)                   -7.0     -16.3      -2.5
32   Brokers and dealers                 -30.5      96.6      58.6
33   Funding corporations                416.5     -26.6     171.6

       RELATION OF LIABILITIES
         TO FINANCIAL ASSETS

34 Net flows through credit markets    2,117.1   1,621.5   1,763.9

   Other financial sources
35 Official foreign exchange              -7.0       1.5      -8.8
36 Special drawing rights
         certificates                     -4.0        .0      -8.0
37 Treasury currency                        .0       2.2       3.2
38 Foreign deposits                       52.7     258.5       8.5
39 Net interbank transactions            -40.7     -64.7     150.3
40 Checkable deposits and currency       365.2    -219.1     -65.0
41 Small time and savings deposits        28.0     104.3     130.3
42 Large time deposits                   359.4     149.2     108.4
43 Money market fund shares              485.5     241.0      48.2
44 Security repurchase agreements        310.5     257.4     156.8
45 Corporate equities                      5.2      60.2     -95.2
46 Mutual fund shares                    172.8     306.1     237.6
47 Trade payables                        219.1     211.8     122.6
48 Security credit                       321.3     489.9     -86.2
49 Life insurance reserves                57.6      54.9      45.6
50 Pension fund reserves                 164.0     212.7     262.7
51 Taxes payable                          18.3      22.7      29.9
52 Investment in bank personal
         trusts                           -6.9      -5.9     -10.6
53 Noncorporate proprietors' equity        7.0     -20.7      -3.6
54 Miscellaneous                         518.4     962.3   1,194.5

55 Total financial sources             5,143.8   4,645.7   3,985.3

   Liabilities not identified as
         assets (-)
56 Treasury currency                      -2.2      -1.8       -.7
57 Foreign deposits                      114.4     211.5     -77.1
58 Net interbank liabilities             -23.7      24.4      -4.3
59 Security repurchase agreements       -225.4     560.7      56.8
60 Taxes payable                          -4.9       7.9       5.7
61 Miscellaneous                        -319.1    -437.9    -323.0

   Floats not included in assets (-)
62 Federal government checkable
         deposits                         -9.2      28.7      -2.6
63 Other checkable deposits                 .0        .6       1.5
64 Trade credit                          185.5     -19.9     -47.8

65 Total identified to sectors as
         assets                        5,428.4   4,271.7   4,377.0

   Transaction category or sector            2000           2001

                                         Q3        Q4        Q1

  NET LENDING IN CREDIT MARKETS(2)

 1 Total net lending in credit
         markets                       1,567.0   1,971.3   1,832.1
 2 Domestic nonfederal nonfinancial
         sectors                        -236.9    -212.5    -261.2
 3   Household                          -218.5    -233.3    -279.3
 4   Nonfinancial corporate business      -3.2     -35.5      10.3
 5   Nonfarm noncorporate business         3.8       4.3       4.4
 6   State and local governments         -19.0      52.1       3.4
 7 Federal government                      4.5      10.2       6.1
 8 Rest of the world                     205.6     381.1     112.4
 9 Financial sectors                   1,593.8   1,792.4   1,974.7
10   Monetary authority                   27.3       7.9      55.0
11   Commercial banking                  369.3     203.8     108.4
12     U.S.-chartered banks              332.8     111.6      63.9
13     Foreign banking offices in
         United States                    30.9      90.4      40.7
14     Bank holding companies             -6.7      -3.2       7.3
15     Banks in U.S.-affiliated
         areas                            12.3       5.1      -3.6
16   Savings institutions                 58.2      40.1      50.5
17   Credit unions                        28.5      25.0      39.0
18   Bank personal trusts and
         estates                          17.6      18.1      10.7
19   Life insurance companies             81.5      73.1      71.9
20   Other insurance companies             6.0      -4.0      16.2
21   Private pension funds                68.9      28.7      35.7
22   State and local government
         retirement funds                  1.1      80.6      58.8
23   Money market mutual funds           244.9     297.9     357.7
24   Mutual funds                         46.3      74.4      56.4
25   Closed-end funds                     -8.8      -8.8      -8.8
26   Government-sponsored
         enterprises                     158.9     302.8     289.9
27   Federally related mortgage
         pools                           225.3     307.3     197.0
28   Asset-backed securities
         issuers (ABSs)                  112.8     282.4     257.0
29   Finance companies                    81.4      44.3     -16.7
30   Mortgage companies                    -.5       2.0       1.4
31   Real estate investment
         trusts (REITs)                   -3.6      -2.8       4.0
32   Brokers and dealers                 181.4     -61.0     284.1
33   Funding corporations               -102.9      80.5     106.1

       RELATION OF LIABILITIES
         TO FINANCIAL ASSETS

34 Net flows through credit markets    1,567.0   1,971.3   1,832.1

   Other financial sources
35 Official foreign exchange                .7       4.9     -10.5
36 Special drawing rights
         certificates                     -4.0      -4.0        .0
37 Treasury currency                       4.2        .0      -1.1
38 Foreign deposits                      -16.0     192.7      40.0
39 Net interbank transactions           -148.6     -17.2    -168.8
40 Checkable deposits and currency        49.2     -50.2      83.8
41 Small time and savings deposits       238.5     290.8     287.6
42 Large time deposits                   141.5      75.3     125.7
43 Money market fund shares              241.9     402.2     623.0
44 Security repurchase agreements        238.6    -209.3     -44.4
45 Corporate equities                    -88.9    -342.0      22.7
46 Mutual fund shares                    259.8     171.1     104.7
47 Trade payables                        135.1      87.1      88.8
48 Security credit                       102.2      57.9    -118.8
49 Life insurance reserves                35.9      65.4      40.5
50 Pension fund reserves                 197.4     188.7     273.0
51 Taxes payable                         -10.7     271.0      24.5
52 Investment in bank personal
         trusts                           -6.6      -5.5     -14.1
53 Noncorporate proprietors' equity       31.6      -2.6      -5.4
54 Miscellaneous                       1,210.2     673.5     590.5

55 Total financial sources             4,178.9   3,577.4   3,773.5

   Liabilities not identified as
         assets (-)
56 Treasury currency                        .9      -3.3      -2.5
57 Foreign deposits                      -75.0     160.0      17.3
58 Net interbank liabilities             -18.3      68.6      16.4
59 Security repurchase agreements        104.9    -286.4     -87.3
60 Taxes payable                         -20.1      32.3      17.4
61 Miscellaneous                         -49.2    -189.1     160.2

   Floats not included in assets (-)
62 Federal government checkable
         deposits                         -2.0      11.9     -10.7
63 Other checkable deposits                1.9       2.7       3.3
64 Trade credit                          -41.0      41.6      -1.9

65 Total identified to sectors as
         assets                        4,276.9   3,739.1   3,661.2

(1.) Data in this table also appear in the Board's Z.1
(780) quarterly statistical release, tables F.1
and F.5. For ordering address, see inside front cover.

(2.) Excludes corporate equities and mutual fund shares.
1.59 SUMMARY OF CREDIT MARKET DEBT OUTSTANDING(1)

Billions of dollars, end of period

  Transaction category or sector      1996       1997       1998

                                         Nonfinancial sectors

 1 Total credit market debt
         owed by domestic
         nonfinancial sectors       14,443.7   15,246.8   16,258.2

   By sector and instrument
 2 Federal government                3,781.8    3,804.9    3,752.2
 3   Treasury securities             3,755.1    3,778.3    3,723.7
 4   Budget agency securities and
         mortgages                      26.6       26.5       28.5

 5 Nonfederal                       10,662.0   11,441.9   12,505.9

     By instrument
 6   Commercial paper                  156.4      168.6      193.0
 7   Municipal securities and
         loans                       1,296.0    1,367.5    1,464.3
 8   Corporate bonds                 1,460.4    1,610.9    1,829.6
 9   Bank loans n.e.c.                 934.1    1,040.5    1,148.8
10   Other loans and advances          770.4      839.5      913.8
11   Mortgages                       4,833.1    5,150.8    5,624.8
12     Home                          3,719.0    3,971.3    4,351.0
13     Multifamily residential         278.4      286.6      306.5
14     Commercial                      748.6      802.6      870.8
15     Farm                             87.1       90.3       96.5
16   Consumer credit                 1,211.6    1,264.1    1,331.7

     By borrowing sector
17   Household                       5,222.5    5,559.9    6,032.0
18   Nonfinancial business           4,376.1    4,762.5    5,274.2
19     Corporate                     3,095.3    3,359.9    3,751.9
20     Nonfarm noncorporate          1,130.9    1,246.5    1,358.4
21     Farm                            149.9      156.1      163.8
22   State and local government      1,063.4    1,119.5    1,199.8

23 Foreign credit market debt
         held in United States         542.2      608.0      651.4

24 Commercial paper                     67.5       65.1       72.9
25 Bonds                               366.3      427.7      462.5
26 Bank loans n.e.c.                    43.7       52.1       58.9
27 Other loans and advances             64.7       63.0       57.2

28 Total credit market debt owed
         by nonfinancial sectors,
         domestic and foreign       14,985.9   15,854.7   16,909.6

                                          Financial sectors

29 Total credit market debt owed
         by financial sectors        4,824.5    5,445.2    6,519.1

   By instrument
30 Federal government-related        2,608.2    2,821.1    3,292.0
31   Government-sponsored
         enterprise securities         896.9      995.3    1,273.6
32   Mortgage pool securities        1,711.3    1,825.8    2,018.4
33   Loans from U.S. government           .0         .0         .0
34 Private                           2,216.3    2,624.1    3,227.1
35   Open market paper                 579.1      745.7      906.7
36   Corporate bonds                 1,378.4    1,555.9    1,852.8
37   Bank loans n.e.c.                  64.0       77.2      107.2
38   Other loans and advances          162.9      198.5      288.7
39   Mortgages                          31.9       46.8       71.6

   By borrowing sector
40 Commercial banks                    113.6      140.6      188.6
41 Bank holding companies              150.0      168.6      193.5
42 Savings institutions                140.5      160.3      212.4
43 Credit unions                         4.0         .6        1.1
44 Life insurance companies              1.6        1.8        2.5
45 Government-sponsored
         enterprises                   896.9      995.3    1,273.6
46 Federally related mortgage
         pools                       1,711.3    1,825.8    2,018.4
47 Issuers of asset-backed
         securities (ABSs)             863.3    1,076.6    1,398.0
48 Brokers and dealers                  27.3       35.3       42.5
49 Finance companies                   529.8      554.5      597.5
50 Mortgage companies                   20.6       16.0       17.7
51 Real estate investment trusts
         (REITs)                        56.5       96.1      158.8
52 Funding corporations                312.7      373.7      414.4

                                            All sectors

53 Total credit market debt,
         domestic and foreign       19,810.4   21,300.0   23,428.7

54 Open market paper                   803.0      979.4    1,172.6
55 U.S. government securities        6,389.9    6,626.0    7,044.3
56 Municipal securities              1,296.0    1,367.5    1,464.3
57 Corporate and foreign bonds       3,205.1    3,594.5    4,144.9
58 Bank loans n.e.c.                 1,041.7    1,169.8    1,314.9
59 Other loans and advances            998.0    1,101.0    1,259.6
60 Mortgages                         4,865.1    5,197.7    5,696.4
61 Consumer credit                   1,211.6    1,264.1    1,331.7

  Transaction category or sector      1999            1999

                                                  Q3         Q4

                                         Nonfinancial sectors

 1 Total credit market debt
         owed by domestic
         nonfinancial sectors       17,381.6   17,052.5   17,381.6

   By sector and instrument
 2 Federal government                3,681.0    3,633.4    3,681.0
 3   Treasury securities             3,652.8    3,605.1    3,625.8
 4   Budget agency securities and
         mortgages                      28.3       28.3       28.3

 5 Nonfederal                       13,700.6   13,419.1   13,700.6

     By instrument
 6   Commercial paper                  230.3      239.3      230.3
 7   Municipal securities and
         loans                       1,532.5    1,518.6    1,532.5
 8   Corporate bonds                 2,059.5    2,020.7    2,059.5
 9   Bank loans n.e.c.               1,231.5    1,202.9    1,231.5
10   Other loans and advances          974.6      963.1      974.6
11   Mortgages                       6,246.1    6,104.5    6,246.1
12     Home                          4,777.1    4,681.8    4,777.1
13     Multifamily residential         346.4      333.6      346.4
14     Commercial                    1,020.5      987.6    1,020.5
15     Farm                            102.0      101.4      102.0
16   Consumer credit                 1,426.2    1,370.1    1,426.2

     By borrowing sector
17   Household                       6,564.6    6,413.2    6,564.6
18   Nonfinancial business           5,883.9    5,763.5    5,883.9
19     Corporate                     4,241.0    4,154.7    4,241.0
20     Nonfarm noncorporate          1,473.8    1,440.2    1,473.8
21     Farm                            169.0      168.6      169.0
22   State and local government      1,252.1    1,242.4    1,252.1

23 Foreign credit market debt
         held in United States         676.9      672.9      676.9

24 Commercial paper                     89.2       81.8       89.2
25 Bonds                               476.7      477.4      476.7
26 Bank loans n.e.c.                    59.4       58.8       59.4
27 Other loans and advances             51.7       55.0       51.7

28 Total credit market debt owed
         by nonfinancial sectors,
         domestic and foreign       18,058.6   17,725.4   18,058.6

                                          Financial sectors

29 Total credit market debt owed
         by financial sectors        7,596.3    7,340.1    7,596.3

   By instrument
30 Federal government-related        3,884.0    3,745.9    3,884.0
31   Government-sponsored
         enterprise securities       1,591.7    1,499.8    1,591.7
32   Mortgage pool securities        2,292.2    2,246.1    2,292.2
33   Loans from U.S. government           .0         .0         .0
34 Private                           3,712.4    3,594.2    3,712.4
35   Open market paper               1,082.9      963.4    1,082.9
36   Corporate bonds                 2,064.0    2,084.3    2,064.0
37   Bank loans n.e.c.                  92.9      105.2       92.9
38   Other loans and advances          395.8      365.4      395.8
39   Mortgages                          76.7       75.9       76.7

   By borrowing sector
40 Commercial banks                    230.0      224.2      230.0
41 Bank holding companies              219.3      211.8      219.3
42 Savings institutions                260.4      255.4      260.4
43 Credit unions                         3.4        2.5        3.4
44 Life insurance companies              3.2        4.3        3.2
45 Government-sponsored
         enterprises                 1,591.7    1,499.8    1,591.7
46 Federally related mortgage
         pools                       2,292.2    2,246.1    2,292.2
47 Issuers of asset-backed
         securities (ABSs)           1,621.4    1,592.4    1,621.4
48 Brokers and dealers                  25.3       34.6       25.3
49 Finance companies                   659.9      628.5      659.9
50 Mortgage companies                   17.8       16.3       17.8
51 Real estate investment trusts
         (REITs)                       165.1      162.2      165.1
52 Funding corporations                506.6      462.0      506.6

                                           All sectors

53 Total credit market debt,
         domestic and foreign       25,654.9   25,065.5   25,654.9

54 Open market paper                 1,402.4    1,284.5    1,402.4
55 U.S. government securities        7,565.0    7,379.2    7,565.0
56 Municipal securities              1,532.5    1,518.6    1,532.5
57 Corporate and foreign bonds       4,600.1    4,582.4    4,600.1
58 Bank loans n.e.c.                 1,383.8    1,366.9    1,383.8
59 Other loans and advances          1,422.1    1,383.4    1,422.1
60 Mortgages                         6,322.8    6,180.4    6,322.8
61 Consumer credit                   1,426.2    1,370.1    1,426.2

  Transaction category or sector                2000

                                       Q1         Q2         Q3

                                         Nonfinancial sectors

 1 Total credit market debt
         owed by domestic
         nonfinancial sectors       17,609.4   17,784.7   17,984.2

   By sector and instrument
 2 Federal government                3,653.5    3,464.0    3,410.2
 3   Treasury securities             3,625.8    3,435.7    3,382.6
 4   Budget agency securities and
         mortgages                      27.8       28.2       27.6

 5 Nonfederal                       13,955.9   14,320.7   14,574.0

     By instrument
 6   Commercial paper                  260.8      296.8      307.0
 7   Municipal securities and
         loans                       1,539.2    1,551.6    1,550.3
 8   Corporate bonds                 2,106.0    2,144.5    2,190.6
 9   Bank loans n.e.c.               1,259.1    1,307.2    1,311.6
10   Other loans and advances        1,020.1    1,049.5    1,052.2
11   Mortgages                       6,354.7    6,517.1    6,667.1
12     Home                          4,851.1    4,974.1    5,091.8
13     Multifamily residential         353.6      364.6      371.9
14     Commercial                    1,046.1    1,072.2    1,095.5
15     Farm                            103.9      106.3      107.8
16   Consumer credit                 1,416.0    1,454.0    1,495.3

     By borrowing sector
17   Household                       6,632.7    6,800.2    6,968.6
18   Nonfinancial business           6,065.9    6,254.8    6,342.3
19     Corporate                     4,392.5    4,544.7    4,603.7
20     Nonfarm noncorporate          1,503.2    1,534.5    1,561.1
21     Farm                            170.3      175.7      177.5
22   State and local government      1,257.3    1,265.7    1,263.1

23 Foreign credit market debt
         held in United States         704.6      699.3      727.8

24 Commercial paper                    101.6      101.2      109.8
25 Bonds                               488.1      481.3      499.2
26 Bank loans n.e.c.                    63.3       64.7       67.7
27 Other loans and advances             51.7       52.1       51.2

28 Total credit market debt owed
         by nonfinancial sectors,
         domestic and foreign       18,314.0   18,484.0   18,712.0

                                          Financial sectors

29 Total credit market debt owed
         by financial sectors        7,725.8    7,946.3    8,140.2

   By instrument
30 Federal government-related        3,940.1    4,035.3    4,164.0
31   Government-sponsored
         enterprise securities       1,618.0    1,680.2    1,749.7
32   Mortgage pool securities        2,322.1    2,355.2    2,414.3
33   Loans from U.S. government           .0         .0         .0
34 Private                           3,785.7    3,911.0    3,976.1
35   Open market paper               1,115.7    1,135.2    1,151.6
36   Corporate bonds                 2,095.7    2,165.2    2,219.4
37   Bank loans n.e.c.                  91.4       92.7       92.5
38   Other loans and advances          404.4      436.9      430.2
39   Mortgages                          78.5       81.0       82.5

   By borrowing sector
40 Commercial banks                    242.2      265.4      265.2
41 Bank holding companies              221.4      229.3      236.9
42 Savings institutions                266.9      280.7      276.0
43 Credit unions                         2.6        2.9        3.1
44 Life insurance companies              3.0        2.7        2.7
45 Government-sponsored
         enterprises                 1,618.0    1,680.2    1,749.7
46 Federally related mortgage
         pools                       2,322.1    2,355.2    2,414.3
47 Issuers of asset-backed
         securities (ABSs)           1,647.3    1,688.5    1,733.8
48 Brokers and dealers                  36.4       36.2       42.6
49 Finance companies                   670.7      699.2      716.5
50 Mortgage companies                   17.1       17.8       17.7
51 Real estate investment trusts
         (REITs)                       167.9      170.4      169.8
52 Funding corporations                510.1      517.9      511.9

                                           All sectors

53 Total credit market debt,
         domestic and foreign       26,039.8   26,430.3   26,852.2

54 Open market paper                 1,478.1    1,533.3    1,568.3
55 U.S. government securities        7,593.6    7,499.3    7,574.2
56 Municipal securities              1,539.2    1,551.6    1,550.3
57 Corporate and foreign bonds       4,689.8    4,791.0    4,909.2
58 Bank loans n.e.c.                 1,413.7    1,464.6    1,471.7
59 Other loans and advances          1,476.2    1,538.5    1,533.6
60 Mortgages                         6,433.2    6,598.1    6,749.5
61 Consumer credit                   1,416.0    1,454.0    1,495.3

  Transaction category or sector      2000       2001

                                       Q4         Q1

                                    Nonfinancial sectors

 1 Total credit market debt
         owed by domestic
         nonfinancial sectors       18,263.4   18,506.5

   By sector and instrument
 2 Federal government                3,385.2    3,408.8
 3   Treasury securities             3,357.8    3,382.1
 4   Budget agency securities and
         mortgages                      27.3       26.8

 5 Nonfederal                       14,878.2   15,097.6

     By instrument
 6   Commercial paper                  278.4      253.2
 7   Municipal securities and
         loans                       1,567.8    1,596.6
 8   Corporate bonds                 2,234.5    2,334.5
 9   Bank loans n.e.c.               1,334.8    1,326.2
10   Other loans and advances        1,090.0    1,094.6
11   Mortgages                       6,806.3    6,934.7
12     Home                          5,192.4    5,283.9
13     Multifamily residential         382.0      392.2
14     Commercial                    1,123.1    1,148.5
15     Farm                            108.8      110.0
16   Consumer credit                 1,566.5    1,558.0

     By borrowing sector
17   Household                       7,149.9    7,227.6
18   Nonfinancial business           6,449.1    6,563.5
19     Corporate                     4,678.3    4,771.4
20     Nonfarm noncorporate          1,590.6    1,612.3
21     Farm                            180.2      179.8
22   State and local government      1,279.3    1,306.5

23 Foreign credit market debt
         held in United States         743.4      736.6

24 Commercial paper                    120.9      112.8
25 Bonds                               501.5      501.2
26 Bank loans n.e.c.                    70.7       73.3
27 Other loans and advances             50.3       49.4

28 Total credit market debt owed
         by nonfinancial sectors,
         domestic and foreign       19,006.8   19,243.1

                                     Financial sectors

29 Total credit market debt owed
         by financial sectors        8,410.0    8,616.4

   By instrument
30 Federal government-related        4,317.6    4,426.1
31   Government-sponsored
         enterprise securities       1,825.9    1,891.9
32   Mortgage pool securities        2,491.7    2,534.2
33   Loans from U.S. government           .0         .0
34 Private                           4,092.5    4,190.2
35   Open market paper               1,210.7    1,180.8
36   Corporate bonds                 2,267.9    2,380.6
37   Bank loans n.e.c.                  92.6       96.8
38   Other loans and advances          438.3      450.9
39   Mortgages                          82.9       81.1

   By borrowing sector
40 Commercial banks                    266.7      273.9
41 Bank holding companies              242.5      266.0
42 Savings institutions                287.7      294.8
43 Credit unions                         3.4        3.3
44 Life insurance companies              2.5        1.9
45 Government-sponsored
         enterprises                 1,825.9    1,891.9
46 Federally related mortgage
         pools                       2,491.7    2,534.2
47 Issuers of asset-backed
         securities (ABSs)           1,821.1    1,882.4
48 Brokers and dealers                  40.9       35.0
49 Finance companies                   734.6      721.4
50 Mortgage companies                   17.9       18.1
51 Real estate investment trusts
         (REITs)                       167.8      166.2
52 Funding corporations                507.3      527.2

                                       All sectors

53 Total credit market debt,
         domestic and foreign       27,416.8   27,859.5

54 Open market paper                 1,610.0    1,546.8
55 U.S. government securities        7,702.7    7,834.9
56 Municipal securities              1,567.8    1,596.6
57 Corporate and foreign bonds       5,003.9    5,216.2
58 Bank loans n.e.c.                 1,498.1    1,496.3
59 Other loans and advances          1,578.6    1,594.9
60 Mortgages                         6,889.2    7,015.7
61 Consumer credit                   1,566.5    1,558.0

(1.) Data in this table also appear in the Board's Z.1 (780) quarterly
statistical release, tables L.2 through L.4. For ordering address, see
inside front cover.
1.60 SUMMARY OF FINANCIAL ASSETS AND LIABILITIES(1)

Billions of dollars except as noted, end of period

   Transaction category or sector       1996       1997       1998

  CREDIT MARKET DEBT OUTSTANDING(2)

 1 Total credit market assets         19,810.4   21,300.0   23,428.7

 2 Domestic nonfederal nonfinancial
         sectors                       3,035.0    2,974.0    3,052.0
 3   Household                         2,122.0    2,075.7    2,035.1
 4   Nonfinancial corporate
         business                        270.2      257.5      241.5
 5   Nonfarm noncorporate business        38.0       35.9       35.9
 6   State and local governments         604.8      605.0      739.4
 7 Federal government                    200.2      205.4      219.1
 8 Rest of the world                   1,926.6    2,257.3    2,539.8
 9 Financial sectors                  14,648.6   15,863.2   17,617.7
10   Monetary authority                  393.1      431.4      452.5
11   Commercial banking                3,707.7    4,031.9    4,335.7
12     U.S.-chartered banks            3,175.8    3,450.7    3,761.2
13     Foreign banking offices in
         United States                   475.8      516.1      504.2
14     Bank holding companies             22.0       27.4       26.5
15     Banks in U.S.-affiliated
         areas                            34.1       37.8       43.8
16   Savings institutions                933.2      928.5      964.6
17   Credit unions                       288.5      305.3      324.2
18   Bank personal trusts and
         estates                         232.0      207.0      194.1
19   Life insurance companies          1,657.0    1,751.1    1,828.0
20   Other insurance companies           491.2      515.3      535.7
21   Private pension funds               627.0      674.6      731.0
22   State and local government
         retirement funds                565.4      632.5      704.6
23   Money market mutual funds           634.3      721.9      965.9
24   Mutual funds                        820.2      901.1    1,025.9
25   Closed-end funds                    101.1       98.5      104.0
26   Government-sponsored
         enterprises                     807.9      902.2    1,163.9
27   Federally related mortgage
         pools                         1,711.3    1,825.8    2,018.4
28   Asset-backed securities
         issuers (ABSs)                  773.9      937.7    1,219.4
29   Finance companies                   544.5      566.4      618.4
30   Mortgage companies                   41.2       32.1       35.3
31   Real estate investment trusts
         (REITs)                          30.4       50.6       45.5
32   Brokers and dealers                 167.7      182.6      189.4
33   Funding corporations                121.0      166.7      161.3

     RELATION OF LIABILITIES
       TO FINANCIAL ASSETS

34 Total credit market debt           19,810.4   21,300.0   23,428.7

   Other liabilities
35 Official foreign exchange              53.7       48.9       60.1
36 Special drawing rights
         certificates                      9.7        9.2        9.2
37 Treasury currency                      18.9       19.3       19.9
38 Foreign deposits                      521.7      619.7      639.0
39 Net interbank liabilities             240.8      219.4      189.0
40 Checkable deposits and currency     1,244.8    1,286.1    1,333.4
41 Small time and savings deposits     2,377.0    2,474.1    2,626.5
42 Large time deposits                   590.9      713.4      805.5
43 Money market fund shares              886.7    1,042.5    1,329.7
44 Security repurchase agreements        701.5      822.4      913.7
45 Mutual fund shares                  2,342.4    2,989.4    3,610.5
46 Security credit                       358.1      469.1      572.3
47 Life insurance reserves               610.6      665.0      718.3
48 Pension fund reserves               6,325.1    7,323.4    8,193.7
49 Trade payables                      1,809.3    1,941.4    2,037.4
50 Taxes payable                         123.8      139.5      151.5
51 Investment in bank personal
         trusts                          871.3      942.5    1,001.0
52 Miscellaneous                       6,349.1    6,670.6    7,332.7

53 Total liabilities                  45,245.6   49,695.6   54,972.1

   Financial assets not included in
         liabilities (+)
54 Gold and special drawing rights        21.4       21.1       21.6
55 Corporate equities                 10,255.8   13,201.3   15,492.5
56 Household equity in noncorporate
         business                      3,889.2    4,162.6    4,428.4

   Liabilities not identified as
         assets (-)
57 Treasury currency                      -6.1       -6.3       -6.4
58 Foreign deposits                      437.0      538.3      541.6
59 Net interbank transactions            -10.6      -32.2      -27.0
60 Security repurchase agreements        109.8      172.9      233.4
61 Taxes payable                          76.9       92.6      102.0
62 Miscellaneous                      -1,448.9   -1,785.7   -2,468.4

   Floats not included in
         assets (-)
63 Federal government checkable
         deposits                         -1.6       -8.1       -3.9
64 Other checkable deposits               30.1       26.2       23.1
65 Trade credit                          171.8      133.5       90.0

66 Total identified to sectors as
         assets                       60,053.7   67,949.4   76,430.1

   Transaction category or sector       1999            1999

                                                    Q3         Q4

  CREDIT MARKET DEBT OUTSTANDING(2)

 1 Total credit market assets         25,654.9   25,065.5   25,654.9

 2 Domestic nonfederal nonfinancial
         sectors                       3,353.6    3,239.7    3,353.6
 3   Household                         2,294.6    2,185.6    2,294.6
 4   Nonfinancial corporate
         business                        238.7      235.1      238.7
 5   Nonfarm noncorporate business        37.5       37.1       37.5
 6   State and local governments         782.8      781.9      782.8
 7 Federal government                    258.0      260.7      258.0
 8 Rest of the world                   2,678.0    2,718.1    2,678.0
 9 Financial sectors                  19,365.3   18,846.9   19,365.3
10   Monetary authority                  478.1      489.3      478.1
11   Commercial banking                4,643.9    4,488.3    4,643.9
12     U.S.-chartered banks            4,078.9    3,944.3    4,078.9
13     Foreign banking offices in
         United States                   484.1      475.3      484.1
14     Bank holding companies             32.7       22.0       32.7
15     Banks in U.S.-affiliated
         areas                            48.3       46.7       48.3
16   Savings institutions              1,033.2    1,030.5    1,033.2
17   Credit unions                       351.7      348.5      351.7
18   Bank personal trusts and
         estates                         222.0      215.0      222.0
19   Life insurance companies          1,886.0    1,880.4    1,886.0
20   Other insurance companies           531.6      533.9      531.6
21   Private pension funds               775.9      763.5      775.9
22   State and local government
         retirement funds                751.4      739.9      751.4
23   Money market mutual funds         1,147.8    1,049.7    1,147.8
24   Mutual funds                      1,073.1    1,083.0    1,073.1
25   Closed-end funds                    110.9      109.2      110.9
26   Government-sponsored
         enterprises                   1,399.5    1,339.1    1,399.5
27   Federally related mortgage
         pools                         2,292.2    2,246.1    2,292.2
28   Asset-backed securities
         issuers (ABSs)                1,424.6    1,403.1    1,424.6
29   Finance companies                   713.3      678.2      713.3
30   Mortgage companies                   35.6       32.5       35.6
31   Real estate investment trusts
         (REITs)                          42.9       44.7       42.9
32   Brokers and dealers                 154.7      166.8      154.7
33   Funding corporations                296.8      205.3      296.8

     RELATION OF LIABILITIES
       TO FINANCIAL ASSETS

34 Total credit market debt           25,654.9   25,065.5   25,654.9

   Other liabilities
35 Official foreign exchange              50.1       52.1       50.1
36 Special drawing rights
         certificates                      6.2        7.2        6.2
37 Treasury currency                      20.9       20.9       20.9
38 Foreign deposits                      725.8      712.3      725.8
39 Net interbank liabilities             204.5      199.6      204.5
40 Checkable deposits and currency     1,484.8    1,353.8    1,484.8
41 Small time and savings deposits     2,671.2    2,665.9    2,671.2
42 Large time deposits                   936.1      837.5      936.1
43 Money market fund shares            1,578.8    1,444.9    1,578.8
44 Security repurchase agreements      1,083.4      999.4    1,083.4
45 Mutual fund shares                  4,553.4    3,931.5    4,553.4
46 Security credit                       676.6      593.1      676.6
47 Life insurance reserves               783.9      756.2      783.9
48 Pension fund reserves               9,041.7    8,363.7    9,041.7
49 Trade payables                      2,244.6    2,169.9    2,244.6
50 Taxes payable                         167.6      167.5      167.6
51 Investment in bank personal
         trusts                        1,130.4    1,019.0    1,130.4
52 Miscellaneous                       7,788.5    7,465.5    7,788.5

53 Total liabilities                  60,803.4   57,825.5   60,803.4

   Financial assets not included in
         liabilities (+)
54 Gold and special drawing rights        21.4       21.3       21.4
55 Corporate equities                 19,494.5   16,106.8   19,494.5
56 Household equity in noncorporate
         business                      4,736.4    4,647.8    4,736.4

   Liabilities not identified as
         assets (-)
57 Treasury currency                      -7.1       -6.6       -7.1
58 Foreign deposits                      613.3      584.3      613.3
59 Net interbank transactions            -25.5      -13.2      -25.5
60 Security repurchase agreements        263.3      323.7      263.3
61 Taxes payable                          95.6       96.5       95.6
62 Miscellaneous                      -3,079.3   -3,143.7   -3,079.3

   Floats not included in
         assets (-)
63 Federal government checkable
         deposits                         -9.9      -10.2       -9.9
64 Other checkable deposits               22.3       14.5       22.3
65 Trade credit                          148.9       29.3      148.9

66 Total identified to sectors as
         assets                       87,034.2   80,726.8   87,034.2

   Transaction category or sector                  2000

                                         Q1         Q2         Q3

  CREDIT MARKET DEBT OUTSTANDING(2)

 1 Total credit market assets         26,039.8   26,430.3   26,852.2

 2 Domestic nonfederal nonfinancial
         sectors                       3,285.6    3,289.4    3,236.4
 3   Household                         2,232.4    2,217.2    2,167.2
 4   Nonfinancial corporate
         business                        232.1      237.6      240.7
 5   Nonfarm noncorporate business        38.1       38.8       39.8
 6   State and local governments         782.9      795.8      788.7
 7 Federal government                    259.6      261.6      262.7
 8 Rest of the world                   2,763.6    2,812.8    2,864.7
 9 Financial sectors                  19,731.0   20,066.5   20,488.4
10   Monetary authority                  501.9      505.1      511.5
11   Commercial banking                4,725.0    4,847.4    4,931.0
12     U.S.-chartered banks            4,171.3    4,295.4    4,368.2
13     Foreign banking offices in
         United States                   482.0      478.1      487.5
14     Bank holding companies             22.1       23.0       21.3
15     Banks in U.S.-affiliated
         areas                            49.6       51.0       54.0
16   Savings institutions              1,045.8    1,062.5    1,082.2
17   Credit unions                       359.0      370.8      378.6
18   Bank personal trusts and
         estates                         226.7      230.2      234.6
19   Life insurance companies          1,900.1    1,911.6    1,933.7
20   Other insurance companies           528.0      523.5      525.0
21   Private pension funds               787.6      793.8      811.0
22   State and local government
         retirement funds                767.2      775.1      775.4
23   Money market mutual funds         1,217.1    1,159.4    1,212.5
24   Mutual funds                      1,053.7    1,073.9    1,088.1
25   Closed-end funds                    108.7      106.5      104.4
26   Government-sponsored
         enterprises                   1,426.4    1,483.5    1,532.5
27   Federally related mortgage
         pools                         2,322.1    2,355.2    2,414.3
28   Asset-backed securities
         issuers (ABSs)                1,445.4    1,477.9    1,514.5
29   Finance companies                   747.0      780.6      795.5
30   Mortgage companies                   34.1       35.5       35.4
31   Real estate investment trusts
         (REITs)                          38.8       38.2       37.3
32   Brokers and dealers                 194.6      187.9      243.3
33   Funding corporations                301.8      348.0      327.7

     RELATION OF LIABILITIES
       TO FINANCIAL ASSETS

34 Total credit market debt           26,039.8   26,430.3   26,852.2

   Other liabilities
35 Official foreign exchange              49.4       46.5       44.9
36 Special drawing rights
         certificates                      6.2        4.2        3.2
37 Treasury currency                      21.4       22.1       23.2
38 Foreign deposits                      790.4      792.6      788.6
39 Net interbank liabilities             169.7      210.6      173.2
40 Checkable deposits and currency     1,392.9    1,409.7    1,385.7
41 Small time and savings deposits     2,728.0    2,738.8    2,790.9
42 Large time deposits                   966.5      987.4    1,025.9
43 Money market fund shares            1,666.0    1,627.1    1,697.8
44 Security repurchase agreements      1,149.2    1,185.0    1,238.7
45 Mutual fund shares                  4,863.3    4,759.6    4,815.0
46 Security credit                       795.4      775.5      800.4
47 Life insurance reserves               801.0      806.5      815.5
48 Pension fund reserves               9,237.9    9,166.7    9,308.4
49 Trade payables                      2,271.1    2,302.3    2,342.9
50 Taxes payable                         181.0      180.0      182.9
51 Investment in bank personal
         trusts                        1,163.0    1,124.1    1,122.3
52 Miscellaneous                       7,981.8    8,254.0    8,701.5

53 Total liabilities                  62,274.0   62,823.2   64,113.0

   Financial assets not included in
         liabilities (+)
54 Gold and special drawing rights        21.4       21.5       21.4
55 Corporate equities                 20,147.2   19,179.6   18,990.4
56 Household equity in noncorporate
         business                      4,763.1    4,809.4    4,865.0

   Liabilities not identified as
         assets (-)
57 Treasury currency                      -7.6       -7.9       -7.6
58 Foreign deposits                      666.1      646.9      628.1
59 Net interbank transactions            -13.9      -11.6      -17.6
60 Security repurchase agreements        410.1      422.6      447.7
61 Taxes payable                          89.6      103.0       92.5
62 Miscellaneous                      -3,250.3   -3,319.2   -3,099.3

   Floats not included in
         assets (-)
63 Federal government checkable
         deposits                         -6.5       -5.2       -7.8
64 Other checkable deposits               18.7       22.5       15.5
65 Trade credit                           89.2       54.3       43.4

66 Total identified to sectors as
         assets                       89,210.1   88,928.3,  89,894.8

   Transaction category or sector       2000       2001

                                         Q4         Q1

  CREDIT MARKET DEBT OUTSTANDING(2)

 1 Total credit market assets         27,416.8   27,859.5

 2 Domestic nonfederal nonfinancial
         sectors                       3,246.4    3,146.6
 3   Household                         2,152.9    2,075.2
 4   Nonfinancial corporate
         business                        250.6      226.9
 5   Nonfarm noncorporate business        40.8       41.9
 6   State and local governments         802.0      802.5
 7 Federal government                    265.2      268.3
 8 Rest of the world                   2,957.9    2,990.0
 9 Financial sectors                  20,947.3   21,454.6
10   Monetary authority                  511.8      523.9
11   Commercial banking                5,002.6    5,016.7
12     U.S.-chartered banks            4,418.7    4,425.1
13     Foreign banking offices in
         United States                   508.1      514.9
14     Bank holding companies             20.5       22.3
15     Banks in U.S.-affiliated
         areas                            55.3       54.4
16   Savings institutions              1,089.7    1,101.0
17   Credit unions                       383.1      391.3
18   Bank personal trusts and
         estates                         239.1      241.8
19   Life insurance companies          1,950.2    1,969.2
20   Other insurance companies           524.0      528.1
21   Private pension funds               818.2      827.1
22   State and local government
         retirement funds                795.5      810.2
23   Money market mutual funds         1,296.7    1,403.8
24   Mutual funds                      1,099.7    1,113.5
25   Closed-end funds                    102.2      100.0
26   Government-sponsored
         enterprises                   1,612.1    1,677.3
27   Federally related mortgage
         pools                         2,491.7    2,534.2
28   Asset-backed securities
         issuers (ABSs)                1,594.5    1,650.9
29   Finance companies                   812.6      809.3
30   Mortgage companies                   35.9       36.2
31   Real estate investment trusts
         (REITs)                          36.6       37.6
32   Brokers and dealers                 223.6      312.3
33   Funding corporations                327.5      370.1

     RELATION OF LIABILITIES
       TO FINANCIAL ASSETS

34 Total credit market debt           27,416.8   27,859.5

   Other liabilities
35 Official foreign exchange              45.3       42.2
36 Special drawing rights
         certificates                      2.2        2.2
37 Treasury currency                      23.2       22.9
38 Foreign deposits                      836.7      846.7
39 Net interbank liabilities             188.2      121.8
40 Checkable deposits and currency     1,413.5    1,384.1
41 Small time and savings deposits     2,862.2    2,965.4
42 Large time deposits                 1,054.7    1,078.3
43 Money market fund shares            1,812.1    1,994.7
44 Security repurchase agreements      1,194.3    1,197.5
45 Mutual fund shares                  4,456.3    4,030.6
46 Security credit                       817.6      784.5
47 Life insurance reserves               819.4      817.0
48 Pension fund reserves               9,054.1    8,590.3
49 Trade payables                      2,383.8    2,379.5
50 Taxes payable                         184.8      198.6
51 Investment in bank personal
         trusts                        1,039.0      949.2
52 Miscellaneous                       8,905.8    8,963.0

53 Total liabilities                  64,510.0   64,228.1

   Financial assets not included in
         liabilities (+)
54 Gold and special drawing rights        21.6       21.4
55 Corporate equities                 17,026.1   14,878.4
56 Household equity in noncorporate
         business                      4,944.9    5,056.0

   Liabilities not identified as
         assets (-)
57 Treasury currency                      -8.5       -9.1
58 Foreign deposits                      668.1      682.1
59 Net interbank transactions             -4.1        1.3
60 Security repurchase agreements        372.2      370.8
61 Taxes payable                          96.9       87.2
62 Miscellaneous                      -3,282.3   -3,530.1

   Floats not included in
         assets (-)
63 Federal government checkable
         deposits                         -3.0      -22.3
64 Other checkable deposits               24.0       21.1
65 Trade credit                          128.1       76.3

66 Total identified to sectors as
         assets                       88,511.2   86,506.7

(1.) Data in this table also appear in the Board's Z.1 (780) quarterly
statistical release, tables L.1 and L.5. For ordering address, see
inside front cover.

(2.) Excludes corporate equities and mutual fund shares.
2.10 NONFINANCIAL BUSINESS ACTIVITY Selected Measures

Monthly data seasonally adjusted, and indexes 1992=100, except as noted

               Measure         1998    1999       2000      2000

                                                            Sept.

 1 Industrial production(1)   134.0   139.6      147.5      149.0

   Market groups
 2 Products, total            127.2   131.2      136.2      136.7
 3   Final, total             129.3   133.3      138.8      139.3
 4     Consumer goods         118.4   120.8      123.0      123.8
 5     Equipment              147.1   153.8      166.1      168.3
 6   Intermediate             121.0   125.1      128.7      128.6
 7 Materials                  145.7   154.5      167.8      171.3
   Industry groups
 8 Manufacturing              138.2   144.8      153.6      155.1

 9 Capacity utilization,
         manufacturing
         (percent)(2)          81.3    80.5       81.3       81.7
10 Construction
         contracts(3)         122.6   135.1(r)   142.1(r)   143.0

11 Nonagricultural
         employment,
         total(4)             123.5   126.3      128.9      129.5(r)
12   Goods-producing, total   103.0   103.3      104.0      104.1(r)
13     Manufacturing, total    99.0    97.6       97.0       97.0(r)
14     Manufacturing,
         production
         workers              100.0    98.4       97.6       97.0(r)
15   Service-producing        130.0   133.7      136.8      137.6(r)
16 Personal income, total     186.5   196.6      209.0      212.5
17   Wages and salary
       disbursements          184.6   196.9      210.1      212.7
18     Manufacturing          152.3   157.4      164.2      165.1
19   Disposable personal
         income(5)            182.7   191.9      202.0      205.2
20 Retail sales(5)            178.4   194.7      210.0      212.7

   Prices(6)
21 Consumer (1982-84=100)     163.0   166.6      172.2      173.7
22 Producer finished goods
         (1982=100)           130.7   133.0      138.0      139.4

               Measure                    2000                 2001

                               Oct.       Nov.       Dec.      Jan.

 1 Industrial production(1)   148.7      148.2      147.3      146.0

   Market groups
 2 Products, total            136.3      136.3      136.0      135.0
 3   Final, total             138.8      138.8      139.0      137.8
 4     Consumer goods         122.7      122.4      123.1      121.8
 5     Equipment              169.1      169.9      168.9      168.0
 6   Intermediate             128.7      128.5      126.8      126.7
 7 Materials                  171.1      169.9      167.8      165.9
   Industry groups
 8 Manufacturing              154.9      154.1      152.6      151.3

 9 Capacity utilization,
         manufacturing
         (percent)(2)          81.2       80.5       79.3       78.4
10 Construction
         contracts(3)         151.0      143.0      140.0(r)   152.0

11 Nonagricultural
         employment,
         total(4)             129.6(r)   129.7(r)   129.8(r)   129.9(r)
12   Goods-producing, total   104.2(r)   104.2(r)   104.1(r)   103.9
13     Manufacturing, total    96.9(r)    96.8(r)    96.6(r)    96.1(r)
14     Manufacturing,
         production
         workers               96.9(r)    96.6(r)    96.2(r)    95.7(r)
15   Service-producing        137.7(r)   137.9(r)   138.0(r)   138.2(r)
16 Personal income, total     212.1      212.5      213.5      214.8
17   Wages and salary
       disbursements          214.0      214.6      215.2      216.8
18     Manufacturing          166.6      166.9      165.5      165.8
19   Disposable personal
         income(5)            204.4      204.6      205.5      206.6(r)
20 Retail sales(5)            212.5      211.3      211.6      214.4

   Prices(6)
21 Consumer (1982-84=100)     174.0      174.1      174.0      175.1
22 Producer finished goods
         (1982=100)           140.1      140.0      139.7      141.2

               Measure                         2001

                              Feb.(r)   Mar.(r)   Apr.    May(p)

 1 Industrial production(1)    145.4     145.1    144.2    143.1

   Market groups
 2 Products, total             134.6     134.7    133.7    132.7
 3   Final, total              137.7     138.0    136.9    135.9
 4     Consumer goods          122.3     122.5    121.7    120.8
 5     Equipment               166.2     167.1    165.1    164.1
 6   Intermediate              125.5     124.6    124.1    123.3
 7 Materials                   165.0     163.9    163.2    161.8
   Industry groups
 8 Manufacturing               150.7     150.1    149.1    148.1

 9 Capacity utilization,
         manufacturing
         (percent)(2)           77.9      77.4     76.7     76.0
10 Construction
         contracts(3)          148.0     138.0    142.0    139.0

11 Nonagricultural
         employment,
         total(4)              130.1     130.1    129.9    129.9
12   Goods-producing, total    103.9     103.8    103.0    102.6
13     Manufacturing, total     95.8      95.4     94.8     94.1
14     Manufacturing,
         production
         workers                95.1      94.6     93.9     93.1
15   Service-producing         138.4     138.5    138.5    138.6
16 Personal income, total      215.9     216.9    217.4    217.8
17   Wages and salary
       disbursements           218.3     219.4    220.1    220.5
18     Manufacturing           166.2     166.4    165.8    164.9
19   Disposable personal
         income(5)             207.6     208.6    209.1    209.5
20 Retail sales(5)             213.9     213.2    214.9     n.a.

   Prices(6)
21 Consumer (1982-84=100)      175.8     176.2    176.9    177.7
22 Producer finished goods
         (1982=100)            141.5     141.0    141.7    142.5

(1.) Data in this table appear in the Board's G.17 (419) monthly
statistical release. The data are also available on the Board's
web site, http://www.federalreserve.gov/releases/g17. The latest
historical revision of the industrial production index and the
capacity utilization rates was released in December 2000. The recent
annual revision is described in an article in the March 2001 issue
of the Bulletin. For a description of the methods of estimating
industrial production and capacity utilization, see "Industrial
Production and Capacity Utilization: Historical Revision and Recent
Developments," Federal Reserve Bulletin, vol. 83 (February 1997),
pp. 67-92, and the references cited therein. For details about the
construction of individual industrial production series, see
"Industrial Production: 1989 Developments and Historical Revision,"
Federal Reserve Bulletin, vol. 76 (April 1990), pp. 187-204.

(2.) Ratio of index of production to index of capacity. Based on
data from the Federal Reserve, U.S. Department of Commerce, and
other sources.

(3.) Index of dollar value of total construction contracts, including
residential, nonresidential, and heavy engineering, from McGraw-Hill
Information Systems Company, F.W. Dodge Division.

(4.) Based on data from the U.S. Department of Labor, Employment and
Earnings. Series covers employees only, excluding personnel in the
armed forces.

(5.) Based on data from U.S. Department of Commerce, Survey of
Current Business.

(6.) Based on data not seasonally adjusted. Seasonally adjusted data
for changes in the price indexes can be obtained from the U.S.
Department of Labor, Bureau of Labor Statistics, Monthly Labor Review.

NOTE. Basic data (not indexes) for series mentioned in notes 4 and 5,
and indexes for series mentioned in notes 3 and 6, can also be found
in the Survey of Current Business.
2.11 LABOR FORCE, EMPLOYMENT, AND UNEMPLOYMENT

Thousands of persons; monthly data seasonally adjusted

      Category           1998      1999      2000     2000(r)

                                                       Oct.

   HOUSEHOLD SURVEY
       DATA(1)

 1 Civilian labor
       force(2)         137,673   139,368   140,863   141,000
     Employment
 2   Nonagricultural
       industries(3)    128,085   130,207   131,903   132,223
 3   Agriculture          3,378     3,281     3,305     3,241
     Unemployment
 4   Number               6,210     5,880     5,655     5,536
 5   Rate (percent of
       civilian labor
       force)               4.5       4.2       4.0       3.9

     ESTABLISHMENT
      SURVEY DATA

 6 Nonagricultural
       payroll
       employment(4)    125,865   128,786   131,417   132,145

 7 Manufacturing         18,805    18,543    18,437    18,404
 8 Mining                   590       535       538       551
 9 Contract
       construction       6,020     6,404     6,687     6,758
10 Transportation and
       public
       utilities          6,611     6,826     6,993     7,076
11 Trade                 29,095    29,712    30,191    30,439
12 Finance                7,389     7,569     7,618     7,569
13 Service               37,533    39,027    40,384    40,767
14 Government            19,823    20,170    20,570    20,581

      Category              2000(r)               2001

                         Nov.      Dec.     Jan.(r)   Feb.(r)

   HOUSEHOLD SURVEY
       DATA(1)

 1 Civilian labor
       force(2)         141,136   141,489   141,955   141,751
     Employment
 2   Nonagricultural
       industries(3)    132,302   132,562   132,819   132,680
 3   Agriculture          3,176     3,274     3,179     3,135
     Unemployment
 4   Number               5,658     5,653     5,956     5,936
 5   Rate (percent of
       civilian labor
       force)               4.0       4.0       4.2       4.2

     ESTABLISHMENT
      SURVEY DATA

 6 Nonagricultural
       payroll
       employment(4)    132,279   132,367   132,428   132,595

 7 Manufacturing         18,382    18,349    18,257    18,192
 8 Mining                   548       548       550       555
 9 Contract
       construction       6,781     6,791     6,826     6,880
10 Transportation and
       public
       utilities          7,093     7,108     7,106     7,123
11 Trade                 30,465    30,474    30,482    30,536
12 Finance                7,575     7,582     7,594     7,609
13 Service               40,845    40,901    40,984    41,020
14 Government            20,590    20,614    20,629    20,680

      Category                     2001

                        Mar.(r)   Apr.(r)     May

   HOUSEHOLD SURVEY
       DATA(1)

 1 Civilian labor
       force(2)         141,868   141,757   141,272
     Employment
 2   Nonagricultural
       industries(3)    132,618   132,162   131,910
 3   Agriculture          3,161     3,192     3,193
     Unemployment
 4   Number               6,088     6,402     6,169
 5   Rate (percent of
       civilian labor
       force)               4.3       4.5       4.4

     ESTABLISHMENT
      SURVEY DATA

 6 Nonagricultural
       payroll
       employment(4)    132,654   132,472   132,453

 7 Manufacturing         18,116    18,003    17,879
 8 Mining                   557       560       564
 9 Contract
       construction       6,929     6,851     6,882
10 Transportation and
       public
       utilities          7,127     7,119     7,131
11 Trade                 30,523    30,572    30,553
12 Finance                7,618     7,626     7,648
13 Service               41,073    40,995    41,037
14 Government            20,711    20,746    20,759

(1.) Beginning January 1994, reflects redesign of current population
survey and population controls from the 1990 census.

(2.) Persons sixteen years of age and older, including Resident Armed
Forces. Monthly figures are based on sample data collected during the
calendar week that contains the twelfth day; annual data are averages
of monthly figures. By definition, seasonality does not exist in
population figures.

(3.) Includes self-employed, unpaid family, and domestic service
workers.

(4.) Includes all full- and part-time employees who worked during, or
received pay for, the pay period that includes the twelfth day of the
month; excludes proprietors, self-employed persons, household and
unpaid family workers, and members of the armed forces. Data are
adjusted to the March 1992 benchmark, and only seasonally adjusted
data are available at this time.

SOURCE. Based on data from U.S. Department of Labor, Employment
and Earnings.
2.12 OUTPUT, CAPACITY, AND CAPACITY UTILIZATION(1)

Seasonally adjusted

                                          2000

           Series

                                Q2      Q3      Q4     Q1(r)

                                     Output (1992=100)

 1 Total industry              147.1   148.4   148.1   145.5

 2 Manufacturing               153.0   154.4   153.8   150.7

 3   Primary processing(3)     178.6   180.3   178.7   172.6
 4   Advanced processing(4)    139.0   140.3   140.2   138.5

 5   Durable goods             192.9   196.7   196.5   191.6
 6     Lumber and products     120.3   117.0   113.2   109.6
 7     Primary metals          137.0   133.4   127.5   121.0
 8       Iron and steel        136.1   130.5   121.5   114.9
 9       Nonferrous            138.2   137.0   134.7   128.3
10     Industrial machinery
           and equipment       249.4   257.3   261.9   256.3
11     Electrical machinery    535.1   581.1   604.0   593.7
12     Motor vehicles and
           parts               175.9   170.8   159.7   147.5
13     Aerospace and
           miscellaneous
           transportation
           equipment            92.9    93.5    94.8    94.0

14   Nondurable goods          116.7   116.2   115.3   113.6
15     Textile mill products   103.3    99.8    94.7    92.8
16     Paper and products      117.9   114.0   114.9   110.8
17     Chemicals and
           products            125.8   125.4   124.5   121.9
18       Plastics materials    140.9   137.6   131.0   130.9
19     Petroleum products      118.3   117.3   116.0   115.5

20 Mining                      100.0   100.6   100.3   101.8
21 Utilities                   120.7   121.0   123.7   122.9
22   Electric                  124.3   123.9   127.5   125.4

                                      2000             2001

           Series

                                Q2      Q3      Q4      Q1

                                   Capacity (percent of
                                       1992 output)

 1 Total industry              178.1   180.1   182.1   183.7

 2 Manufacturing               186.9   189.2   191.5   193.5

 3   Primary processing(3)     206.9   211.2   216.0   220.0
 4   Advanced processing(4)    174.1   175.2   176.2   177.2

 5   Durable goods             233.3   238.3   243.6   248.1
 6     Lumber and products     147.5   147.9   148.4   148.7
 7     Primary metals          153.3   153.4   153.5   153.5
 8       Iron and steel        153.1   153.4   153.6   153.6
 9       Nonferrous            153.4   153.4   153.4   153.5
10     Industrial machinery
           and equipment       304.5   311.1   317.3   322.5
11     Electrical machinery    591.7   639.1   694.1   741.7
12     Motor vehicles and
           parts               208.2   209.2   210.1   210.9
13     Aerospace and
           miscellaneous
           transportation
           equipment           130.7   130.4   130.2   130.0

14   Nondurable goods          144.1   144.4   144.6   144.7
15     Textile mill products   123.9   123.3   122.8   122.0
16     Paper and products      137.2   137.5   137.9   138.3
17     Chemicals and
           products            163.0   164.1   164.8   165.0
18       Plastics materials    151.6   151.9   152.3   152.7
19     Petroleum products      123.2   123.2   123.1   123.1

20 Mining                      116.5   116.3   115.8   115.3
21 Utilities                   132.3   133.4   134.5   135.7
22   Electric                  130.9   132.3   133.8   135.3

                                        2000              2001

           Series

                                 Q2      Q3      Q4       Q1(r)

                                  Capacity utilization rate
                                        (percent)(2)

 1 Total industry               82.6    82.4    81.3      79.2

 2 Manufacturing                81.9    81.7    80.3      77.9

 3   Primary processing(3)      86.4    85.4    82.7      78.4
 4   Advanced processing(4)     79.8    80.1    79.5      78.2

 5   Durable goods              82.7    82.5    80.7      77.2
 6     Lumber and products      81.6    79.1    76.3      73.7
 7     Primary metals           89.4    87.0    83.1      78.8
 8       Iron and steel         88.9    85.1    79.1      74.8
 9       Nonferrous             90.1    89.3    87.8      83.6
10     Industrial machinery
           and equipment        81.9    82.7    82.5      79.5
11     Electrical machinery     90.4    90.9    87.5      80.1
12     Motor vehicles and
           parts                84.5    81.7    76.0      69.9
13     Aerospace and
           miscellaneous
           transportation
           equipment            71.7    71.7    72.8      72.3

14   Nondurable goods           80.9    80.5    79.7      78.5
15     Textile mill products    83.4    80.9    77.1      76.1
16     Paper and products       85.9    82.9    83.3      80.1
17     Chemicals and
           products             77.2    76.4    75.5      73.9
18       Plastics materials     93.0    90.5    86.0      85.7
19     Petroleum products       96.0    95.3    94.3      93.8

20 Mining                       85.8    86.6    86.6      88.2
21 Utilities                    91.2    90.7    92.0      90.6
22   Electric                   94.9    93.7    95.3      92.7

                                                Previous
                                1973   1975     cycle(5)

           Series
                                High    Low   High   Low

                                Capacity utilization rate
                                       (percent)(2)

 1 Total industry               89.2   72.6   87.3   71.1

 2 Manufacturing                88.5   70.5   86.9   69.0

 3   Primary processing(3)      91.2   68.2   88.1   66.2
 4   Advanced processing(4)     87.2   71.8   86.7   70.4

 5   Durable goods              89.2   68.9   87.7   63.9
 6     Lumber and products      88.7   61.2   87.9   60.8
 7     Primary metals          100.2   65.9   94.2   45.1
 8       Iron and steel        105.8   66.6   95.8   37.0
 9       Nonferrous             90.8   59.8   91.1   60.1
10     Industrial machinery
           and equipment        96.0   74.3   93.2   64.0
11     Electrical machinery     89.2   64.7   89.4   71.6
12     Motor vehicles and
           parts                93.4   51.3   95.0   45.5
13     Aerospace and
           miscellaneous
           transportation
           equipment            78.4   67.6   81.9   66.6

14   Nondurable goods           87.8   71.7   87.5   76.4
15     Textile mill products    91.4   60.0   91.2   72.3
16     Paper and products       97.1   69.2   96.1   80.6
17     Chemicals and
           products             87.6   69.7   84.6   69.9
18       Plastics materials    102.0   50.6   90.9   63.4
19     Petroleum products       96.7   81.1   90.0   66.8

20 Mining                       94.3   88.2   96.0   80.3
21 Utilities                    96.2   82.9   89.1   75.9
22   Electric                   99.0   82.7   88.2   78.9

                                  Latest
                                 cycle(6)       2000

           Series

                               High   Low     May   Dec.

                               Capacity utilization rate
                                      (percent)(2)

 1 Total industry              85.4   78.1   82.7   80.6

 2 Manufacturing               85.7   76.6   81.9   79.3

 3   Primary processing(3)     88.9   77.7   86.4   80.9
 4   Advanced processing(4)    84.2   76.1   79.9   79.0

 5   Durable goods             84.6   73.1   82.7   79.5
 6     Lumber and products     93.6   75.5   81.7   75.0
 7     Primary metals          92.7   73.7   89.2   82.2
 8       Iron and steel        95.2   71.8   88.8   77.2
 9       Nonferrous            89.3   74.2   89.9   88.2
10     Industrial machinery
           and equipment       85.4   72.3   82.0   82.1
11     Electrical machinery    84.0   75.0   90.2   85.5
12     Motor vehicles and
           parts               89.1   55.9   85.3   72.1
13     Aerospace and
           miscellaneous
           transportation
           equipment           87.3   79.2   70.6   73.3

14   Nondurable goods          87.3   80.7   80.9   78.9
15     Textile mill products   90.4   77.7   82.8   77.1
16     Paper and products      93.5   85.0   84.9   81.7
17     Chemicals and
           products            86.2   79.3   77.5   74.5
18       Plastics materials    97.0   74.8   93.9   79.8
19     Petroleum products      88.5   85.1   96.5   93.2

20 Mining                      88.0   87.0   85.4   86.1
21 Utilities                   92.6   83.4   91.9   95.7
22   Electric                  95.0   87.1   95.7   97.7

                                                2001

           Series

                               Jan.   Feb.(r)   Mar.(r)   Apr.   May(p)

 1 Total industry              79.7    79.2      78.8     78.2     77.4

 2 Manufacturing               78.4    77.9      77.4     76.7     76.0

 3   Primary processing(3)     79.2    78.6      77.5     77.0     76.3
 4   Advanced processing(4)    78.6    78.1      77.9     77.1     76.5

 5   Durable goods             77.9    77.0      76.8     75.8     75.2
 6     Lumber and products     72.9    73.3      74.8     74.3     75.2
 7     Primary metals          80.7    79.0      76.7     78.0     76.1
 8       Iron and steel        75.5    75.2      73.8     76.2     74.3
 9       Nonferrous            86.9    83.6      80.2     80.1     78.4
10     Industrial machinery
           and equipment       80.5    79.1      78.9     77.1     75.8
11     Electrical machinery    82.9    80.0      77.3     74.8     73.0
12     Motor vehicles and
           parts               65.8    69.9      74.1     73.5     75.2
13     Aerospace and
           miscellaneous
           transportation
           equipment           72.5    71.9      72.5     72.3     72.2

14   Nondurable goods          78.8    78.8      77.9     77.7     76.9
15     Textile mill products   76.0    76.0      76.2     75.7     75.4
16     Paper and products      81.0    81.6      77.8     81.9     80.4
17     Chemicals and
           products            73.8    74.3      73.4     72.1     71.2
18       Plastics materials    83.9    88.2      85.0     83.3     81.8
19     Petroleum products      93.5    94.6      93.4     94.6     93.3

20 Mining                      87.5    87.9      89.3     89.3     89.0
21 Utilities                   91.7    89.8      90.3     89.1     87.3
22   Electric                  94.0    91.6      92.4     92.0     89.2

(1.) Data in this table appear in the Board's G.17 (419) monthly
statistical release. The data are also available on the Board's web
site, http://www.federalreserve.gov/releases/g17. The latest
historical revision of the industrial production index and the
capacity utilization rates was released in December 2000. The
recent annual revision is described in an article in the March 2001
issue of the Bulletin. For a description of the methods of estimating
industrial production and capacity utilization, see "Industrial
Production and Capacity Utilization: Historical Revision and Recent
Developments," Federal Reserve Bulletin, vol. 83 (February 1997),
pp. 67-92, and the references cited therein. For details about the
construction of individual industrial production series, see
"Industrial Production: 1989 Developments and Historical Revision,"
Federal Reserve Bulletin, vol. 76 (April 1990), pp. 187-204.

(2.) Capacity utilization is calculated as the ratio of the Federal
Reserve's seasonally adjusted index of industrial production to the
corresponding index of capacity.

(3.) Primary processing includes textiles; lumber; paper; industrial
chemicals; synthetic materials; fertilizer materials; petroleum
products; rubber and plastics; stone, clay, and glass; primary metals;
and fabricated metals.

(4.) Advanced processing includes foods, tobacco, apparel, furniture
and fixtures, printing and publishing, chemical products such as drugs
and toiletries, agricultural chemicals, leather and products,
machinery, transportation equipment, instruments, and miscellaneous
manufactures.

(5.) Monthly highs, 1978-80; monthly lows, 1982.

(6.) Monthly highs, 1988-89; monthly lows, 1990-91.
2.13 INDUSTRIAL PRODUCTION Indexes and Gross Value(1)

Monthly data seasonally adjusted

                                                                 2000

                                             1992
                Group             SIC(2)     pro-      2000
                                   code      por-      avg.
                                             tion                 May

                                                                Index
                                                                (1992=
                                                                100)

            MAJOR MARKETS

  1 Total index                               100.0     147.5     147.2

  2 Products                                   60.5     136.2     135.5
  3   Final products                           46.3     138.8     137.5
  4     Consumer goods, total                  29.1     123.0     123.5
  5       Durable consumer
                  goods                         6.1     160.8     163.8
  6         Automotive products                 2.6     153.2     157.9
  7           Autos and trucks                  1.7     166.9     175.7
  8             Autos, consumer                  .9     114.0     119.7
  9             Trucks,
                  consumer                       .7     221.6     233.7
 10           Auto parts and
                  allied goods                   .9     131.7     130.6
 11         Other                               3.5     167.1     168.5
 12           Appliances,
                  televisions,
                  and air
                  conditioners                  1.0     332.6     334.6
 13           Carpeting and                      .8     129.7     130.8
                  furniture
 14           Miscellaneous
                  home good                     1.6     120.4     121.6
 15       Nondurable consumer
                  goods                        23.0     114.2     114.1
 16         Foods and tobacco                  10.3     110.7     110.3
 17         Clothing                            2.4      85.0      86.8
 18         Chemical products                   4.5     137.0     138.5
 19         Paper products                      2.9     111.1     109.0
 20         Energy                              2.9     116.3     116.0
 21           Fuels                              .8     113.0     113.1
 22           Residential
                  utilities                     2.1     117.9     117.1
 23   Equipment                                17.2     166.1     163.1
 24     Business equipment                     13.2     194.2     191.6
 25       Information process-
               ing and related                  5.4     312.2     302.5
 26         Computer and office
                  equipment                     1.1   1,157.6   1,087.8
 27       Industrial                            4.0     144.6     143.4
 28       Transit                               2.5     127.7     129.0
 29         Autos and trucks                    1.2     145.6     153.9
 30       Other                                 1.3     145.7     145.8
 31     Defense and space
                  equipment                     3.3      76.2      75.5
 32     Oil and gas well
                  drilling                       .6     131.8     130.3
 33     Manufactured homes                       .2     116.2     122.9

 34   Intermediate products,
                  total                        14.2     128.7     129.4
 35     Construction supplies                   5.3     143.2     143.1
 36     Business supplies                       8.9     120.1     121.3

 37 Materials                                  39.5     167.8     168.4
 38   Durable goods materials                  20.8     227.6     227.6
 39     Durable consumer parts                  4.0     165.3     169.9
 40     Equipment parts                         7.6     478.3     466.8
 41     Other                                   9.2     134.6     135.9
 42       Basic metal materials                 3.1     128.7     130.8
 43   Nondurable goods
                  materials                     8.9     113.8     115.7
 44     Textile materials                       1.1      97.9     100.9
 45     Paper materials                         1.8     115.8     117.5
 46     Chemical materials                      3.9     117.0     119.8
 47     Other                                   2.1     113.0     112.4
 48   Energy materials                          9.7     103.4     103.3
 49     Primary energy                          6.3      98.1      98.3
 50     Converted fuel
                  materials                     3.3     114.3     113.7

         SPECIAL AGGREGATES

 51 Total excluding autos and
                  trucks                       97.1     147.2     146.7
 52 Total excluding motor
                  vehicles and
                  parts                        95.1     146.3     145.8
 53 Total excluding computer
                  and office
                  equipment                    98.2     140.4     140.4
 54 Consumer goods excluding
                  autos and
                  trucks                       27.4     120.6     120.7
 55 Consumer goods excluding
                  energy                       26.2     123.9     124.4
 56 Business equipment exclud-
                  ing autos and
                  trucks                       12.0     200.1     196.1
 57 Business equipment exclud-
                  ing computer
                  and office
                  equipment                    12.1     158.4     157.3
 58 Materials excluding energy                 29.8     188.5     189.3

       MAJOR INDUSTRIES

 59 Total index                      ...      100.0     147.5     147.2

 60 Manufacturing                    ...       85.4     153.6     153.1
 61   Primary processing             ...       26.5     178.0     178.7
 62   Advanced processing            ...       58.9     139.3     139.1

 63   Durable goods                  ...       45.0     193.4     193.0
 64     Lumber and products             24      2.0     118.3     120.5
 65     Furniture and fixtures          25      1.4     142.9     143.0
 66     Stone, clay, and glass
                  products              32      2.1     134.7     134.2
 67     Primary metals                  33      3.1     133.7     136.7
 68       Iron and steel             331,2      1.7     131.1     135.9
 69         Raw steel                331PT       .1     120.9     127.1
 70       Nonferrous               333-6,9      1.4     136.8     137.9
 71     Fabricated metal
                  products              34      5.0     135.6     136.2
 72     Industrial machinery
                  and equipment         35      8.0     252.8     249.9
 73     Computer and office
                  equipment            357      1.8   1,343.6   1,272.3
 74     Electrical machinery            36      7.3     549.7     533.8
 75     Transportation
                  equipment             37      9.5     131.0     133.6
 76       Motor vehicles and
                  parts                371      4.9     170.5     177.6
 77         Autos and light
                  trucks             371PT      2.6     153.0     161.1
 78       Aerospace and
                  miscellaneous
                  transportation
                  equipment        372-6,9      4.6      93.8      92.3
 79     Instruments                     38      5.4     122.2     121.3
 80     Miscellaneous                   39      1.3     130.8     130.7

 81   Nondurable goods               ...       40.4     116.9     116.7
 82     Foods                           20      9.4     114.7     114.2
 83     Tobacco products                21      1.6      95.3      95.3
 84     Textile mill products           22      1.8     100.1     102.6
 85     Apparel products                23      2.2      91.7      93.0
 86     Paper and products              26      3.6     116.1     116.5
 87     Printing and publishing         27      6.7     109.9     109.9
 88     Chemicals and products          28      9.9     128.3     126.3
 89     Petroleum products              29      1.4     117.1     118.9
 90     Rubber and plastic
                  products              30      3.5     142.3     142.6
 91     Leather and products            31       .3      69.8      70.5

 92 Mining                                      6.9     100.0      99.6
 93   Metal                             10       .5      97.4      95.7
 94   Coal                              12      1.0     108.9     112.2
 95   Oil and gas extraction            13      4.8      95.0      94.3
 96   Stone and earth minerals          14       .6     126.4     123.9

 97 Utilities                        ...        7.7     120.4     121.6
 98   Electric                     491,3PT      6.2     123.9     125.2
 99   Gas                          492,3PT      1.6     109.3     108.7

      SPECIAL AGGREGATES

100 Manufacturing excluding
                  motor vehic-
                  les and parts      ...       80.5     152.6     151.7
101 Manufacturing excluding
                  computer and
                  office
                  equipment          ...       83.6     145.4     145.2
102 Computers, communications
                  equipment,
                  and semicon-
                  ductors            ...        5.9   1,195.2   1,140.2
103 Manufacturing excluding
                  computers and
                  semiconduc-        ...       81.1     128.3     128.4
                  tors
104 Manufacturing excluding
                  computers,
                  communica-
                  tions equip-
                  ment, and
                  semiconduc-
                  tors               ...       79.5     125.1     125.4

                                         Gross value (billions of
                                        1992 dollars, annual rates)

         MAJOR MARKETS

105 Products, total                  ...    2,001.9   2,860.5   2,872.7

106 Final                            ...    1,552.1   2,203.4   2,205.6
107   Consumer goods                 ...    1,049.6   1,340.0   1,349.8
108   Equipment                      ...      502.5     865.7     862.2

109 Intermediate                     ...      449.9     656.7     666.0

                                                   2000

                Group

                                   June      July      Aug.      Sept.

                                              Index (1992=100)

            MAJOR MARKETS

  1 Total index                     147.9     147.6     148.6     149.0

  2 Products                        136.0     135.8     136.6     136.7
  3   Final products                138.3     138.1     139.2     139.3
  4     Consumer goods, total       124.2     122.9     123.8     123.8
  5       Durable consumer
                  goods             164.4     158.7     160.0     162.8
  6         Automotive products     157.8     149.4     153.8     156.7
  7           Autos and trucks      174.8     160.5     169.8     172.7
  8             Autos, consumer     118.1     113.6     120.3     120.5
  9             Trucks,
                  consumer          233.2     209.8     221.8     227.1
 10           Auto parts and
                  allied goods      131.6     131.6     129.1     132.1
 11         Other                   169.8     166.7     165.2     167.7
 12           Appliances,
                  televisions,
                  and air
                  conditioners      348.2     322.3     325.0     340.5
 13           Carpeting and
                  furniture         130.1     131.5     128.6     131.9
 14           Miscellaneous
                  home good         120.5     121.3     119.7     118.1
 15       Nondurable consumer
                  goods             114.8     114.5     115.2     114.7
 16         Foods and tobacco       110.8     111.0     111.4     110.5
 17         Clothing                 85.1      85.6      84.2      83.1
 18         Chemical products       139.3     137.4     139.4     138.4
 19         Paper products          111.6     112.4     112.4     112.4
 20         Energy                  117.0     114.9     117.1     118.4
 21           Fuels                 113.4     112.6     113.1     115.8
 22           Residential
                  utilities         118.5     115.6     119.0     119.1
 23   Equipment                     164.3     166.3     167.9     168.3
 24     Business equipment          192.8     195.0     197.8     199.5
 25       Information process-
               ing and related      307.0     313.9     322.1     327.2
 26         Computer and office
                  equipment       1,130.8   1,182.8   1,229.0   1,264.1
 27       Industrial                143.8     144.4     147.7     146.5
 28       Transit                   130.1     127.6     126.8     127.7
 29         Autos and trucks        152.9     141.5     142.8     144.2
 30       Other                     142.8     148.1     144.8     149.3
 31     Defense and space
                  equipment          76.3      77.9      76.1      73.7
 32     Oil and gas well
                  drilling          130.8     136.2     137.1     132.8
 33     Manufactured homes          121.9     116.8     115.5     109.3

 34   Intermediate products,
                  total             129.0     128.7     128.8     128.6
 35     Construction supplies       143.4     143.8     142.7     143.1
 36     Business supplies           120.5     119.8     120.6     120.0

 37 Materials                       169.4     169.0     170.5     171.3
 38   Durable goods materials       230.3     230.5     233.8     235.7
 39     Durable consumer parts      165.7     158.3     168.3     169.0
 40     Equipment parts             486.2     499.9     505.7     512.1
 41     Other                       135.9     135.3     134.7     135.5
 42       Basic metal materials     130.7     128.5     127.5     129.2
 43   Nondurable goods
                  materials         115.2     113.9     112.8     112.7
 44     Textile materials           101.7      97.9      99.3      95.9
 45     Paper materials             118.1     114.9     112.8     113.8
 46     Chemical materials          118.4     117.0     116.8     116.3
 47     Other                       112.3     113.7     110.2     112.0
 48   Energy materials              103.1     102.9     104.2     104.3
 49     Primary energy               98.4      98.7      98.9      98.5
 50     Converted fuel
                  materials         112.4     110.8     115.1     116.6

         SPECIAL AGGREGATES

 51 Total excluding autos and
                  trucks            147.5     147.5     148.4     148.7
 52 Total excluding motor
                  vehicles and
                  parts             146.5     146.9     147.4     147.7
 53 Total excluding computer
                  and office
                  equipment         141.0     140.5     141.4     141.6
 54 Consumer goods excluding
                  autos and
                  trucks            121.5     120.9     121.3     121.2
 55 Consumer goods excluding
                  energy            125.0     123.9     124.5     124.4
 56 Business equipment exclud-
                  ing autos and
                  trucks            197.6     201.5     204.5     206.3
 57 Business equipment exclud-
                  ing computer
                  and office
                  equipment         157.6     158.6     160.3     161.2
 58 Materials excluding energy      190.7     190.3     191.8     193.0

       MAJOR INDUSTRIES

 59 Total index                     147.9     147.6     148.6     149.0

 60 Manufacturing                   153.8     153.7     154.6     155.1
 61   Primary processing            180.1     179.4     180.3     181.2
 62   Advanced processing           139.4     139.5     140.5     140.8

 63   Durable goods                 194.6     194.7     196.9     198.4
 64     Lumber and products         118.7     118.6     115.5     116.8
 65     Furniture and fixtures      141.9     142.6     143.8     146.6
 66     Stone, clay, and glass
                  products          134.6     136.3     136.1     136.5
 67     Primary metals              136.4     133.9     132.4     133.9
 68       Iron and steel            135.5     129.9     129.7     131.9
 69         Raw steel               128.2     126.4     123.9     117.7
 70       Nonferrous                137.6     138.8     135.7     136.5
 71     Fabricated metal
                  products          135.7     136.1     136.3     136.0
 72     Industrial machinery
                  and equipment     250.9     253.9     257.9     260.0
 73     Computer and office
                  equipment       1,316.2   1,370.4   1,421.6   1,464.2
 74     Electrical machinery        555.0     571.2     580.0     592.2
 75     Transportation
                  equipment         133.5     128.0     132.4     132.4
 76       Motor vehicles and
                  parts             176.1     163.1     173.9     175.5
 77         Autos and light
                  trucks            160.1     147.8     156.4     158.8
 78       Aerospace and
                  miscellaneous
                  transportation
                  equipment          93.6      94.9      93.5      92.1
 79     Instruments                 122.2     122.6     123.3     123.7
 80     Miscellaneous               130.5     132.1     130.8     130.9

 81   Nondurable goods              116.7     116.3     116.3     116.0
 82     Foods                       114.9     115.0     115.1     114.6
 83     Tobacco products             93.8      95.8      96.6      94.5
 84     Textile mill products       103.1     101.4      99.4      98.4
 85     Apparel products             91.2      92.0      90.7      89.5
 86     Paper and products          118.8     114.9     113.3     113.7
 87     Printing and publishing     109.1     110.0     110.4     110.9
 88     Chemicals and products      125.9     124.8     125.9     125.4
 89     Petroleum products          118.8     117.0     117.6     117.4
 90     Rubber and plastic
                  products          143.5     144.4     142.1     141.9
 91     Leather and products         69.3      70.0      68.8      69.8

 92 Mining                          100.4     100.5     101.0     100.4
 93   Metal                          97.5      92.9      95.8      99.3
 94   Coal                          113.6     110.3     109.3     107.0
 95   Oil and gas extraction         94.8      95.7      96.3      95.7
 96   Stone and earth minerals      127.7     124.4     125.0     123.7

 97 Utilities                       121.7     119.1     122.1     121.7
 98   Electric                      124.8     121.1     126.1     124.7
 99   Gas                           110.5     111.0     108.4     110.5

      SPECIAL AGGREGATES

100 Manufacturing excluding
                  motor vehic-
                  les and parts     152.6     153.2     153.5     153.9
101 Manufacturing excluding
                  computer and
                  office
                  equipment         145.8     145.4     146.2     146.5
102 Computers, communications
                  equipment,
                  and semicon-
                  ductors         1,193.1   1,248.0   1,281.6   1,310.3
103 Manufacturing excluding
                  computers and
                  semiconduc-
                  tors              128.4     127.7     128.2     128.4
104 Manufacturing excluding
                  computers,
                  communicat-
                  ions equip-
                  ment, and
                  semiconduc-
                  tors              125.3     124.5     124.9     125.0

                                       Gross value (billions of
                                      1992 dollars, annual rates)

         MAJOR MARKETS

105 Products, total               2,883.5   2,865.7   2,882.9   2,889.1

106 Final                         2,218.6   2,202.8   2,220.5   2,228.1
107   Consumer goods              1,357.8   1,338.7   1,348.7   1,353.7
108   Equipment                     867.3     872.8     880.8     883.3

109 Intermediate                    663.9     661.8     661.5     660.2

                                              2000                2001

                Group

                                    Oct.      Nov.      Dec.      Jan.

                                              Index (1992=100)

            MAJOR MARKETS

  1 Total index                     148.7     148.2     147.3     146.0

  2 Products                        136.3     136.3     136.0     135.0
  3   Final products                138.8     138.8     139.0     137.8
  4     Consumer goods, total       122.7     122.4     123.1     121.8
  5       Durable consumer
                  goods             157.3     154.3     153.4     148.9
  6         Automotive products     148.0     143.6     140.7     133.8
  7           Autos and trucks      159.1     153.0     144.1     136.2
  8             Autos, consumer     107.8     103.0      94.3      99.4
  9             Trucks,
                  consumer          212.0     204.3     194.7     175.5
 10           Auto parts and
                  allied goods      130.2     128.2     133.8     128.4
 11         Other                   165.4     163.7     164.7     162.7
 12           Appliances,
                  televisions,
                  and air
                  conditioners      332.5     332.7     341.7     332.0
 13           Carpeting and
                  furniture         129.8     125.4     127.4     123.9
 14           Miscellaneous
                  home good         117.5     117.1     115.5     116.5
 15       Nondurable consumer
                  goods             114.5     114.6     115.7     114.9
 16         Foods and tobacco       110.4     110.7     110.1     110.3
 17         Clothing                 82.7      83.2      82.4      82.6
 18         Chemical products       139.0     138.5     139.0     139.1
 19         Paper products          113.8     112.5     112.2     113.7
 20         Energy                  115.5     117.3     126.1     119.0
 21           Fuels                 113.0     115.5     112.3     112.0
 22           Residential
                  utilities         116.2     117.6     134.5     122.8
 23   Equipment                     169.1     169.9     168.9     168.0
 24     Business equipment          200.0     200.6     199.2     197.4
 25       Information process-
               ing and related      332.3     336.7     335.9     337.4
 26         Computer and office
                  equipment       1,286.4   1,305.0   1,318.3   1,310.6
 27       Industrial                146.9     147.4     145.8     145.7
 28       Transit                   121.6     121.8     117.4     111.7
 29         Autos and trucks        131.4     130.4     122.0     115.6
 30       Other                     154.2     148.6     153.5     149.3
 31     Defense and space
                  equipment          75.3      77.0      77.5      78.5
 32     Oil and gas well
                  drilling          136.5     138.9     139.1     146.7
 33     Manufactured homes           98.8      90.9      83.5      73.5

 34   Intermediate products,
                  total             128.7     128.5     126.8     126.7
 35     Construction supplies       142.3     141.6     140.6     140.7
 36     Business supplies           120.7     120.7     118.5     118.4

 37 Materials                       171.1     169.9     167.8     165.9
 38   Durable goods materials       235.0     232.9     230.3     226.6
 39     Durable consumer parts      168.5     161.8     157.6     146.1
 40     Equipment parts             515.9     521.4     522.3     517.5
 41     Other                       133.7     131.8     129.6     130.1
 42       Basic metal materials     125.9     124.4     123.6     121.2
 43   Nondurable goods
                  materials         113.4     110.7     108.6     107.5
 44     Textile materials            94.0      89.5      90.3      91.0
 45     Paper materials             117.2     113.4     109.4     110.3
 46     Chemical materials          115.9     113.7     109.8     108.5
 47     Other                       114.0     111.9     113.9     111.0
 48   Energy materials              103.9     105.4     104.5     104.4
 49     Primary energy               97.8      99.3      98.6     100.3
 50     Converted fuel
                  materials         117.2     118.7     117.3     111.8

         SPECIAL AGGREGATES

 51 Total excluding autos and
                  trucks            148.8     148.4     147.8     146.6
 52 Total excluding motor
                  vehicles and
                  parts             147.8     147.7     147.2     146.5
 53 Total excluding computer
                  and office
                  equipment         141.2     140.8     139.9     138.6
 54 Consumer goods excluding
                  autos and
                  trucks            120.7     120.6     121.9     120.8
 55 Consumer goods excluding
                  energy            123.6     122.9     122.5     122.0
 56 Business equipment exclud-
                  ing autos and
                  trucks            208.5     209.4     208.9     207.7
 57 Business equipment exclud-
                  ing computer
                  and office
                  equipment         161.2     161.5     159.9     158.4
 58 Materials excluding energy      192.8     190.4     187.8     185.1

       MAJOR INDUSTRIES

 59 Total index                     148.7     148.2     147.3     146.0

 60 Manufacturing                   154.9     154.1     152.6     151.3
 61   Primary processing            181.1     178.8     176.1     173.5
 62   Advanced processing           140.5     140.5     139.6     139.0

 63   Durable goods                 197.6     196.7     195.1     192.3
 64     Lumber and products         114.8     113.2     111.5     108.3
 65     Furniture and fixtures      147.2     145.0     145.3     144.1
 66     Stone, clay, and glass
                  products          137.3     134.6     132.4     135.2
 67     Primary metals              129.0     127.3     126.3     124.0
 68       Iron and steel            123.7     122.0     118.7     116.0
 69         Raw steel               115.6     106.3     104.6     108.3
 70       Nonferrous                135.3     133.6     135.2     133.4
 71     Fabricated metal
                  products          136.0     134.7     132.9     133.5
 72     Industrial machinery
                  and equipment     261.5     261.9     262.3     258.4
 73     Computer and office
                  equipment       1,487.4   1,502.8   1,508.3   1,497.4
 74     Electrical machinery        597.4     604.4     610.2     604.3
 75     Transportation
                  equipment         129.2     126.8     122.8     116.0
 76       Motor vehicles and
                  parts             167.2     160.1     151.8     138.6
 77         Autos and light
                  trucks            145.8     140.1     131.5     125.9
 78       Aerospace and
                  miscellaneous
                  transportation
                  equipment          93.6      95.4      95.3      94.3
 79     Instruments                 123.5     124.6     123.1     125.0
 80     Miscellaneous               131.1     130.2     129.4     130.4

 81   Nondurable goods              116.3     115.5     114.1     114.0
 82     Foods                       114.8     115.0     114.2     114.1
 83     Tobacco products             93.7      93.1      94.2      95.2
 84     Textile mill products        96.7      92.8      94.5      93.0
 85     Apparel products             89.2      89.2      88.2      88.9
 86     Paper and products          117.1     114.7     112.7     111.8
 87     Printing and publishing     111.6     111.2     109.2     109.6
 88     Chemicals and products      125.8     124.8     122.9     121.8
 89     Petroleum products          116.5     116.9     114.7     115.1
 90     Rubber and plastic
                  products          141.3     139.1     137.3     138.5
 91     Leather and products         68.6      68.9      66.9      67.1

 92 Mining                          100.1     101.1      99.6     101.0
 93   Metal                          96.3      93.7      99.5      94.6
 94   Coal                          110.2     108.6     106.1     115.2
 95   Oil and gas extraction         95.1      96.6      95.2      96.1
 96   Stone and earth minerals      124.6     123.2     119.3     121.7

 97 Utilities                       120.0     121.9     129.1     124.0
 98   Electric                      124.2     127.3     131.2     126.7
 99   Gas                           105.8     104.5     120.2     113.7

      SPECIAL AGGREGATES

100 Manufacturing excluding
                  motor vehic-
                  les and parts     154.3     153.8     152.7     152.2
101 Manufacturing excluding
                  computer and
                  office
                  equipment         146.2     145.4     143.9     142.7
102 Computers, communications
                  equipment,
                  and semicon-
                  ductors         1,334.8   1,358.1   1,368.9   1,351.7
103 Manufacturing excluding
                  computers and
                  semiconduc-       128.0     127.1     125.6     124.7
                  tors
104 Manufacturing excluding
                  computers,
                  communica-
                  tions equip-
                  ment, and
                  semiconduc-
                  tors              124.6     123.6     122.1     121.1

                                       Gross value (billions of
                                     1992 dollars, annual rates)

         MAJOR MARKETS

105 Products, total               2,867.4   2,863.2   2,850.2   2,818.1

106 Final                         2,205.4   2,203.7   2,198.2   2,167.1
107   Consumer goods              1,334.7   1,331.2   1,332.8   1,312.2
108   Equipment                     880.9     883.3     874.9     864.8

109 Intermediate                    661.0     658.6     651.2     649.9

                                                  2001

                Group

                                  Feb.[r]   Mar.[r]    Apr.     May(p)

                                              Index (1992=100)

            MAJOR MARKETS

  1 Total index                     145.4     145.1     144.2     143.1

  2 Products                        134.6     134.7     133.7     132.7
  3   Final products                137.7     138.0     136.9     135.9
  4     Consumer goods, total       122.3     122.5     121.7     120.8
  5       Durable consumer
                  goods             150.8     153.7     152.9     154.6
  6         Automotive products     138.2     145.2     144.5     148.7
  7           Autos and trucks      143.5     154.9     154.9     162.4
  8             Autos, consumer     100.3     104.0     102.7     105.2
  9             Trucks,
                  consumer          188.6     207.1     208.2     220.3
 10           Auto parts and
                  allied goods      128.7     129.4     127.9     127.4
 11         Other                   162.2     161.0     160.1     159.2
 12           Appliances,
                  televisions,
                  and air
                  conditioners      322.5     319.2     321.0     320.5
 13           Carpeting and
                  furniture         128.2     127.1     124.7     122.1
 14           Miscellaneous
                  home good         115.4     115.0     114.3     114.6
 15       Nondurable consumer
                  goods             115.3     114.9     114.1     112.7
 16         Foods and tobacco       110.7     110.0     109.4     108.6
 17         Clothing                 82.8      82.4      81.3      80.6
 18         Chemical products       141.5     141.5     139.2     136.6
 19         Paper products          111.1     110.4     111.5     109.9
 20         Energy                  119.2     119.6     118.8     116.8
 21           Fuels                 114.7     113.7     116.1     114.2
 22           Residential
                  utilities         121.3     122.6     119.7     117.6
 23   Equipment                     166.2     167.1     165.1     164.1
 24     Business equipment          195.3     195.9     193.1     191.7
 25       Information process-
               ing and related      330.6     328.2     326.5     323.1
 26         Computer and office
                  equipment       1,307.0   1,304.3   1,299.1   1,291.5
 27       Industrial                141.4     142.0     138.9     136.6
 28       Transit                   114.4     117.8     116.6     117.8
 29         Autos and trucks        120.9     129.0     126.6     130.0
 30       Other                     153.9     153.6     148.4     148.2
 31     Defense and space
                  equipment          76.7      78.0      78.1      78.0
 32     Oil and gas well
                  drilling          147.9     150.7     151.2     152.6
 33     Manufactured homes           81.9      83.2      81.0      82.0

 34   Intermediate products,
                  total             125.5     124.6     124.1     123.3
 35     Construction supplies       139.9     140.7     139.2     138.8
 36     Business supplies           117.0     115.1     115.1     114.1

 37 Materials                       165.0     163.9     163.2     161.8
 38   Durable goods materials       225.2     223.7     221.8     220.1
 39     Durable consumer parts      149.9     152.1     151.6     151.6
 40     Equipment parts             514.9     509.5     501.0     497.2
 41     Other                       127.2     125.8     125.3     123.9
 42       Basic metal materials     118.3     114.8     116.2     113.2
 43   Nondurable goods
                  materials         107.2     104.6     105.8     104.6
 44     Textile materials            87.7      87.5      87.6      86.2
 45     Paper materials             112.4     106.0     111.0     109.7
 46     Chemical materials          108.2     105.9     104.9     103.8
 47     Other                       110.2     109.0     112.8     111.5
 48   Energy materials              103.9     105.0     104.3     103.4
 49     Primary energy               99.3     100.3     100.2      99.5
 50     Converted fuel
                  materials         113.1     114.0     111.8     110.2

         SPECIAL AGGREGATES

 51 Total excluding autos and
                  trucks            145.9     145.2     144.4     143.0
 52 Total excluding motor
                  vehicles and
                  parts             145.4     144.6     143.7     142.4
 53 Total excluding computer
                  and office
                  equipment         138.1     137.8     137.0     135.9
 54 Consumer goods excluding
                  autos and
                  trucks            121.1     120.7     119.9     118.5
 55 Consumer goods excluding
                  energy            122.6     122.7     122.0     121.2
 56 Business equipment exclud-
                  ing autos and
                  trucks            204.6     204.2     201.4     199.2
 57 Business equipment exclud-
                  ing computer
                  and office
                  equipment         156.5     157.1     154.7     153.5
 58 Materials excluding energy      184.1     182.1     181.4     179.9

       MAJOR INDUSTRIES

 59 Total index                     145.4     145.1     144.2     143.1

 60 Manufacturing                   150.7     150.1     149.1     148.1
 61   Primary processing            173.1     171.3     170.9     169.7
 62   Advanced processing           138.4     138.3     137.1     136.1

 63   Durable goods                 191.1     191.4     189.7     188.8
 64     Lumber and products         109.1     111.3     110.6     112.1
 65     Furniture and fixtures      143.8     143.3     141.1     139.2
 66     Stone, clay, and glass
                  products          134.3     134.0     132.5     132.9
 67     Primary metals              121.3     117.8     119.7     116.8
 68       Iron and steel            115.5     113.3     116.9     113.8
 69         Raw steel               109.1     109.2     101.3     100.3
 70       Nonferrous                128.2     123.2     123.1     120.5
 71     Fabricated metal
                  products          130.3     129.8     129.0     128.6
 72     Industrial machinery
                  and equipment     255.0     255.6     250.6     247.5
 73     Computer and office
                  equipment       1,484.2   1,477.5   1,471.6   1,462.8
 74     Electrical machinery        593.7     583.2     572.2     564.9
 75     Transportation
                  equipment         119.8     124.5     123.9     125.6
 76       Motor vehicles and
                  parts             147.4     156.5     155.4     159.1
 77         Autos and light
                  trucks            131.9     141.8     141.6     148.1
 78       Aerospace and
                  miscellaneous
                  transportation
                  equipment          93.5      94.3      94.0      93.9
 79     Instruments                 123.3     122.8     123.6     122.9
 80     Miscellaneous               127.6     127.5     127.5     125.8

 81   Nondurable goods              114.0     112.6     112.3     111.2
 82     Foods                       115.0     114.6     113.9     113.4
 83     Tobacco products             93.7      91.7      92.0      89.8
 84     Textile mill products        92.7      92.7      91.8      91.1
 85     Apparel products             88.7      88.4      88.2      87.4
 86     Paper and products          112.8     107.7     113.4     111.5
 87     Printing and publishing     107.7     106.0     106.0     104.8
 88     Chemicals and products      122.6     121.2     119.0     117.4
 89     Petroleum products          116.5     115.0     116.6     115.1
 90     Rubber and plastic
                  products          137.3     136.5     134.5     134.7
 91     Leather and products         69.3      67.8      65.6      65.9

 92 Mining                          101.4     102.9     102.7     102.3
 93   Metal                          91.7      89.8      90.7      87.4
 94   Coal                          110.7     116.6     116.8     116.5
 95   Oil and gas extraction         96.7      97.6      97.4      97.1
 96   Stone and earth minerals      126.4     130.5     129.9     129.3

 97 Utilities                       121.8     123.0     121.7     119.6
 98   Electric                      123.9     125.5     125.3     122.0
 99   Gas                           112.9     113.2     109.0     109.9

      SPECIAL AGGREGATES

100 Manufacturing excluding
                  motor vehic-
                  les and parts     151.1     149.8     148.9     147.5
101 Manufacturing excluding
                  computer and
                  office
                  equipment         142.2