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One day
continuing
contract

All other
maturities

Total

Federal funds and repurchase agreement
borrowings, by source
Commercial banks in the U.S.

76,387

17,343

93,730

Other depository institutions, foreign banks
and foreign official institutions, and U. S.
government agencies

20,140

21,515

41,655

Nonbank securities dealers

25,838

27,429

53,267

All other

35,679

17,389

53,068

MEMO

Federal funds and resale agreement loans in
maturities of one day or continuing contract
Commercial banks in the U.S.

59,739

Nonbank securities dealers, other depository
institutions, foreign banks and institutions,
and U.S. government agencies

22,698

NOTE : Averages of daily figures
1. Banks with assets of $4 billion or more as of December 31,1988.