IndicatorLatestMaximumMinimumUnit 
Moody's Seasoned Aaa Corporate Bond Yield3.410015.49002.4600 %[+]
Asset-backed Commercial Paper Outstanding236.50001225.7000207.9000 Bil. of $[+]
Asset-backed Commercial Paper Outstanding243.90001213.7000211.4000 Bil. of $[+]
Asset-backed security holdings (Face value): Maturing in over 10 years0.00000.00000.0000 Mil. of $[+]
Asset-backed security holdings (Face value): Within 15 days0.00000.00000.0000 Mil. of $[+]
Asset-backed security holdings (Face value): Within 16 to 90 days0.00000.00000.0000 Mil. of $[+]
Asset-backed security holdings (Face value): Maturing in over 1 year to 5 years0.00000.00000.0000 Mil. of $[+]
Asset-backed security holdings (Face value): Maturing in over 5 years to 10 years0.00000.00000.0000 Mil. of $[+]
Asset-backed security holdings (Face value): Maturing in 91 days to 1 year0.00000.00000.0000 Mil. of $[+]
Asset-backed security holdings (Face value): All Maturities0.00000.00000.0000 Mil. of $[+]
Agency- and GSE-backed Securities - Assets - Balance Sheet of Households and Nonprofit Organizations346.5300814.96000.0000 Bil. of $[+]
Agency- and GSE-Backed Securities - Assets - Balance Sheet of Nonfarm Nonfinancial Corporate Business18.040028.48000.0000 Bil. of $[+]
Moody's Seasoned Baa Corporate Bond Yield4.310017.18002.9400 %[+]
Foreign Assets in the U.S.: Net, Capital Inflow {+}225.0800731.7200-176.4680 Bil. of $[+]
Foreign Assets in the U.S.: Net, Capital Inflow {+}958.95602107.65500.7420 Bil. of $[+]
Foreign Assets in the U.S.: Net, Capital Inflow {+}226.2000735.0620-175.5770 Bil. of $[+]
Foreign Official Assets in the U.S.: Net29.4220208.7680-46.6400 Bil. of $[+]
Foreign Official Assets in the U.S.: Net286.0840550.7700-19.9030 Bil. of $[+]
Foreign Official Assets in U.S.: Treasury Securities18.2220220.8910-32.8230 Bil. of $[+]
Foreign Official Assets in U.S.: Treasury Securities238.0160569.8930-22.4350 Bil. of $[+]
Foreign Official Assets in U.S.: Treasury Securities18.2220220.8910-32.8230 Bil. of $[+]
Foreign Official Assets in the U.S.: Net29.4220208.7680-46.6400 Bil. of $[+]
Other Foreign Official Assets25.228048.9910-24.5090 Bil. of $[+]
Other Foreign Official Assets7.2640103.9000-3.4870 Bil. of $[+]
Other Foreign Official Assets25.228048.9910-24.5090 Bil. of $[+]
Other Foreign Assets in the U.S., Net195.6590643.3370-233.8420 Bil. of $[+]
Other Foreign Assets in the U.S., Net672.87201626.6120-165.2230 Bil. of $[+]
Other Foreign Assets in the U.S., Net: Direct Investment-117.0860140.7590-117.0860 Bil. of $[+]
Other Foreign Assets in the U.S., Net: Direct Investment236.2600328.33400.2310 Bil. of $[+]
Other Foreign Assets in the U.S., Net: Direct Investment-115.9670143.9880-115.9670 Bil. of $[+]
Other Foreign Assets in the U.S., Net196.7780646.6790-232.9510 Bil. of $[+]
Other Foreign Assets in the U.S., Net: U.S. Treasury Securities102.8490102.8490-29.3210 Bil. of $[+]
Other Foreign Assets in the U.S., Net: U.S. Treasury Securities193.2420298.3410-69.9830 Bil. of $[+]
Other Foreign Assets in the U.S., Net: U.S. Treasury Securities102.8490102.8490-29.3210 Bil. of $[+]
Other Foreign Assets in U.S., Net: U.S. Currency25.169029.8620-8.5770 Bil. of $[+]
Other Foreign Assets in U.S., Net: U.S. Currency37.713057.1410-10.6750 Bil. of $[+]
Other Foreign Assets in U.S., Net: U.S. Currency25.169029.8620-8.5770 Bil. of $[+]
U.S. Assets Abroad, Net: Outflow (-)-140.1700192.0620-557.2480 Bil. of $[+]
U.S. Assets Abroad, Net: Outflow (-)-586.0510156.0770-1475.7190 Bil. of $[+]
U.S. Foreign Currency Holdings & Other Short-Term Assets, Net-0.1780243.8580-265.5230 Bil. of $[+]
U.S. Foreign Currency Holdings & Other Short-Term Assets, Net8.8960543.2780-529.7660 Bil. of $[+]
U.S. Foreign Currency Holdings & Other Short-Term Assets, Net-0.1780243.8580-265.5230 Bil. of $[+]
U.S. Reserve Assets Abroad: Gold0.00001.3620-0.6950 Bil. of $[+]
U.S. Reserve Assets Abroad: Gold0.00001.7030-0.9670 Bil. of $[+]
U.S. Reserve Assets Abroad: Gold0.00001.3620-0.6950 Bil. of $[+]
U.S. Assets Abroad, Net: Outflow (-)-148.3810182.8800-562.8350 Bil. of $[+]
U.S. Official Reserve Assets Abroad, Net0.95607.4890-49.0210 Bil. of $[+]
U.S. Official Reserve Assets Abroad, Net3.097014.0960-52.2560 Bil. of $[+]
U.S. Official Reserve Assets Abroad, Net0.95607.4890-49.0210 Bil. of $[+]
U.S. Private Assets Abroad, Net-140.2680418.5380-556.6770 Bil. of $[+]
U.S. Private Assets Abroad, Net-592.1130690.5400-1453.3240 Bil. of $[+]
U.S. Private Assets Abroad, Net-148.4800448.8400-562.2650 Bil. of $[+]
U.S. Private Assets: Foreign Securities-110.6010115.5970-170.2230 Bil. of $[+]
U.S. Private Assets: Foreign Securities-445.2040197.8970-445.2040 Bil. of $[+]
U.S. Private Assets: Foreign Securities-110.6010115.5970-170.2230 Bil. of $[+]
U.S. Reserve Assets Abroad: Special Drawing Rights-0.00802.9760-47.7200 Bil. of $[+]
U.S. Reserve Assets Abroad: Special Drawing Rights-0.02204.5110-48.2300 Bil. of $[+]
U.S. Reserve Assets Abroad: Special Drawing Rights-0.00802.9760-47.7200 Bil. of $[+]
Corporate Bonds - Liabilities - Balance Sheet of Nonfarm Nonfinancial Corporate Business5097.42005452.890034.8700 Bil. of $[+]
Checkable Deposits and Currency - Assets - Balance Sheet of Households and Nonprofit Organizations1211.46001318.830040.0000 Bil. of $[+]
Checkable Deposits and Currency - Assets - Balance Sheet of Nonfarm Noncorporate Business637.6900637.690010.3200 Bil. of $[+]
Checkable Deposits and Currency - Assets - Balance Sheet of Nonfarm Nonfinancial Corporate Business354.3100372.160022.9000 Bil. of $[+]
Consumer Durable Goods - Assets - Balance Sheet of Households and Nonprofit Organizations5373.23005373.230085.0800 Bil. of $[+]
Corporate Equities - Assets - Balance Sheet of Households and Nonprofit Organizations13640.770013640.7700105.6000 Bil. of $[+]
Corporate and Foreign Bonds - Assets - Balance Sheet of Households and Nonprofit Organizations604.75002428.10004.5500 Bil. of $[+]
Commercial Paper of Nonfinancial Companies257.5000312.000095.3000 Bil. of $[+]
Commercial Paper Outstanding959.30002222.8000902.9000 Bil. of $[+]
Commercial Paper Outstanding937.70002182.3000913.7000 Bil. of $[+]
Commercial Paper - Assets - Balance Sheet of Nonfarm Nonfinancial Corporate Business61.5500122.67000.0900 Bil. of $[+]
1-Month AA Financial Commercial Paper Rate0.61006.53000.0600 %[+]
2-Month AA Financial Commercial Paper Rate0.73006.56000.0800 %[+]
3-Month AA Financial Commercial Paper Rate0.87006.59000.1100 %[+]
Commercial paper held by Commercial Paper Funding Facility LLC, Within 15 days0.0000248227.00000.0000 Mil. of $[+]
Commercial paper held by Commercial Paper Funding Facility LLC, Maturing in 16 days to 90 days0.0000334511.00000.0000 Mil. of $[+]
Commercial paper held by Commercial Paper Funding Facility LLC, Maturing in 91 days to 1 year0.00000.00000.0000 Mil. of $[+]
Commercial paper holdings, face value: All Maturities0.0000350252.00000.0000 Mil. of $[+]
Commercial Paper - Liabilities - Balance Sheet of Nonfarm Nonfinancial Corporate Business177.9200307.04000.1600 Bil. of $[+]
1-Month AA Nonfinancial Commercial Paper Rate0.56006.53000.0500 %[+]
2-Month AA Nonfinancial Commercial Paper Rate0.65006.55000.0600 %[+]
3-Month AA Nonfinancial Commercial Paper Rate0.74006.57000.0800 %[+]
Moody's Seasoned Aaa Corporate Bond Yield3.500013.76003.1800 %[+]
Deposits - Assets - Balance Sheet of Households and Nonprofit Organizations11125.960011125.9600119.3600 Bil. of $[+]
Moody's Seasoned Baa Corporate Bond Yield4.360012.04004.1500 %[+]
1-Month AA Financial Commercial Paper Rate0.72006.58000.0100 %[+]
2-Month AA Financial Commercial Paper Rate0.80006.62000.0200 %[+]
3-Month AA Financial Commercial Paper Rate0.87006.68000.0600 %[+]
2-Month AA Nonfinancial Commercial Paper Rate0.75006.61000.0300 %[+]
1-Month AA Nonfinancial Commercial Paper Rate0.66006.59000.0200 %[+]
3-Month AA Nonfinancial Commercial Paper Rate0.82006.65000.0500 %[+]
10-Year Treasury Inflation-Indexed Security, Constant Maturity0.36003.1500-0.8700 %[+]
20-Year Treasury Inflation-Indexed Security, Constant Maturity0.68003.3500-0.1700 %[+]
30-Year Treasury Inflation-Indexed Security, Constant Maturity0.87002.26000.2400 %[+]
5-Year Treasury Inflation-Indexed Security, Constant Maturity0.00004.2400-1.6700 %[+]
7-Year Treasury Inflation-Indexed Security, Constant Maturity0.24004.2700-1.3300 %[+]
Domestic Financial Commercial Paper Outstanding240.3000657.4000208.9000 Bil. of $[+]
Domestic Financial Commercial Paper Outstanding222.7000636.3000214.9000 Bil. of $[+]
Domestic Nonfinancial Commercial Paper Outstanding219.1000261.000065.2000 Bil. of $[+]
Domestic Nonfinancial Commercial Paper Outstanding206.9000271.700060.5000 Bil. of $[+]
20-Year 2-3/8% Treasury Inflation-Indexed Bond, Due 1/15/20250.37003.4900-0.6300 %[+]
20-Year 2% Treasury Inflation-Indexed Bond, Due 1/15/20260.43502.1410-0.5150 %[+]
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Assets, Bonds And Securities - United States

This page contains actual values, historical data, statistics for - Assets, Bonds And Securities - United States - as reported in the FRED database of the United States Federal Reserve Bank of St. Louis. 2017-11-21