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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.