Title
|
Series ID
|
Vintage Date
|
Units
|
Freq
|
Seas Adj
|
Updated
|
Assets: Liquidity and Credit Facilities: Loans: Maturing in over 5 Years to 10 Years: Wednesday Level
|
OTHL5T10
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loans: Maturing in 91 Days to 1 Year: Wednesday Level
|
OTHL91T1Y
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: U.S. Treasury Securities: Notes and Bonds, Inflation-Indexed: Week Average
|
WSHONBIIA
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Mortgage-Backed Securities: Wednesday Level
|
WSHOMCB
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loans: Maturing in over 1 Year to 5 Years: Wednesday Level
|
OTHL1T5
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: U.S. Treasury Securities: Inflation Compensation: Week Average
|
WSHOICA
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loans: Maturing Within 15 Days: Wednesday Level
|
OTHL15
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loans: Maturing in 16 Days to 90 Days: Wednesday Level
|
OTHL1690
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Mortgage-Backed Securities: Maturing in over 5 Years to 10 Years: Wednesday Level
|
MBS5T10
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Central Bank Liquidity Swaps: Central Bank Liquidity Swaps: Maturing in 16 Days to 90 Days: Wednesday Level
|
SWP1690
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Mortgage-Backed Securities: Maturing in 91 Days to 1 Year: Wednesday Level
|
MBS911Y
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Central Bank Liquidity Swaps: Central Bank Liquidity Swaps: Maturing Within 15 Days: Wednesday Level
|
SWP15
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Other Factors Supplying Reserve Balances: Gold Stock: Week Average
|
WOFSRBGSA
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Mortgage-Backed Securities: Maturing in over 1 Year to 5 Years: Wednesday Level
|
MBS1T5
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: U.S. Treasury Securities: Bills: Week Average
|
WSHOBA
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Liabilities and Capital: Liabilities: Reverse Repurchase Agreements: Maturing in 16 Days to 90 Days: Wednesday Level
|
RREP1690
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Federal Agency Debt Securities: Week Average
|
WFEDSEC
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Mortgage-Backed Securities: Maturing Within 15 Days: Wednesday Level
|
MBS15
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Mortgage-Backed Securities: Maturing in 16 Days to 90 Days: Wednesday Level
|
MBS1690
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Other Factors Supplying Reserve Balances: Float: Week Average
|
WOFSRBFA
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Mortgage-Backed Securities: Maturing in over 10 Years: Wednesday Level
|
MBS10Y
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Liabilities and Capital: Liabilities: Reverse Repurchase Agreements: Maturing Within 15 Days: Wednesday Level
|
RREP15
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Unamortized Premiums on Securities Held Outright: Week Average
|
RESPPALSPXAWNWW
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Liabilities and Capital: Other Factors Draining Reserve Balances: Treasury Cash Holdings: Week Average
|
WOFDRBTHA
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Liabilities and Capital: Other Factors Draining Reserve Balances: Deposits with F.R. Banks, Other Than Reserve Balances: Week Average
|
WOFDRBORBA
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Net Portfolio Holdings of MS Facilities 2020 LLC (Main Street Lending Program): Week Average
|
H41RESPPAAEXAWNWW
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loans: Other Credit Extensions: Week Average
|
WOCE
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Securities Held Outright: Week Average
|
WSECOUT
|
Current
|
Bil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Liabilities and Capital: Liabilities: Deposits with F.R. Banks, Other Than Reserve Balances: Foreign Official: Week Average
|
WDFOA
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Liabilities and Capital: Other Factors Draining Reserve Balances: Currency in Circulation: Week Average
|
WCURCIR
|
Current
|
Bil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loan Participations Held by MS Facilities 2020 LLC (Main Street Lending Program), Maturing over 1 Year to 5 Years: Wednesday Level
|
H41RESPPAAELY01T05NWW
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loan Participations Held by MS Facilities 2020 LLC (Main Street Lending Program), Maturing Within 91 Days to 1 Year: Wednesday Level
|
H41RESPPAAELY01NWW
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Unamortized Discounts on Securities Held Outright: Week Average
|
RESPPALSDXAWNWW
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Mortgage-Backed Securities: Week Average
|
WMBSEC
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loan Participations Held by MS Facilities 2020 LLC (Main Street Lending Program), Maturing Within 16 Days to 90 Days: Wednesday Level
|
H41RESPPAAELD16T90NWW
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Federal Agency Debt Securities: All: Wednesday Level
|
FEDDT
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loan Participations Held by MS Facilities 2020 LLC (Main Street Lending Program), Book Value: Wednesday Level
|
H41RESPPAAELNWW
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Other: Repurchase Agreements - Others: Week Average
|
H41RESPPALGTROXAWNWW
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loan Participations Held by MS Facilities 2020 LLC (Main Street Lending Program), Maturing Within 15 Days: Wednesday Level
|
H41RESPPAAELD15NWW
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Federal Agency Debt Securities: Maturing in 91 Days to 1 Year: Wednesday Level
|
FEDD911Y
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Federal Agency Debt Securities: Maturing in over 1 Year to 5 Years: Wednesday Level
|
FEDD1T5
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Federal Agency Debt Securities: Maturing in over 5 Years to 10 Years: Wednesday Level
|
FEDD5T10
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loans Held by TALF II LLC (Book Value), Maturing over 1 Year to 5 Years: Wednesday Level
|
H41RESPPAATAL2LY01T05NWW
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Central Bank Liquidity Swaps: Central Bank Liquidity Swaps: Week Average
|
WCBLSA
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loans: Secondary Credit: Week Average
|
WSC
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Other: Repurchase Agreements - Foreign Official: Week Average
|
H41RESPPALGTRFXAWNWW
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Securities Held Outright: Federal Agency Debt Securities: Maturing Within 15 Days: Wednesday Level
|
FEDD15
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loans Held by TALF II LLC (Book Value),: Wednesday Level
|
H41RESPPAATAL2LNWW
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Assets: Liquidity and Credit Facilities: Loans: Seasonal Credit: Week Average
|
WSB
|
Current
|
Bil. of U.S. $
|
W
|
NSA
|
2025-01-30
|
Liabilities and Capital: Liabilities: Reverse Repurchase Agreements: Wednesday Level
|
WLRRAL
|
Current
|
Mil. of U.S. $
|
W
|
NSA
|
2025-01-30
|