30851_1975-1979
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A 64 INTL. CAPITAL TRANSACTIONS OF THE U.S. JANUARY 1975
6. U.S. LIQUID AND OTHER LIABILITIES TO OFFICIAL INSTITUTIONS OF FOREIGN COUNTRIES, BY AREA
(Amounts outstanding; in millions of dollars)
End of period
196 7 1968 3
1969 3
1970 3
1971 5
197 2
1973Nov.., Dec.. .
1974Jan.. . Feb.. . Mar.., Apr.. . May.. June.. July. . Aug... Sept.. O c t . . Nov.f
Total foreign
countries
18,194 J 17,407 117,340
4 15,975 4 15,998 /23,786 123,775 /51,209 \50,651
61.526
67,400 66,810
63,871 64,100 65.527 67,154 68,160 69,994 71,091 70,970 72,601 73,643 74,774
Western Europe 1
10,321 8,070 8,062
4 7,074 4 7,074
13,620 13,615 30,010 30,134
34,197
46,002 45,717
43,270 42,391 42,772 42,638 42,961 43,200 43,002 42,292 42,675 43,025 43,158
Canada
1,310 1,867 1,866 1,624 1,624 2,951 2,951 3,980 3,980
4,279
3,820 3,853
3,945 4,262 4,195 4,309 4,302 4,201 4,125 3,953 3,819 3.809 3,710
Latin American republics
1,582 1,865 1,865 1,888 1,911 1,681 1,681 1,414 1,429
1,733
2,233 2,544
2,446 2,744 2,887 3,532 3,384 4,006 3,951 4,127 4,421 3,986 3,619
Asia
4,428 5,043 4,997 4,552 4,552 4,713 4,708
14,519 13,823
17,577
11,474 10,884
10,479 10,878 11,631 12,360 12,988 13,992 15,209 15,526 16,182 17,187 18,426
Africa
250 259 248 546 546 407 407 415 415
777
785 788
838 1,000 1,249 1,402 1,620 1,854 2,055 2,272 2,850 2,947 3,204
1 Includes Bank for International Settlements and European Fund. 2 Includes countries in Oceania and Eastern Europe, and Western Euro-
pean dependencies in Latin America. 3 See note 9 to Table 5. 4 Includes $101 million increase in dollar value of foreign currency
liabilities resulting from revaluation of the German mark in Oct. 1969. 5 Data on second line differ from those on the first line because certain
accounts previously classified as "Official institutions" are included in "Banks"; a number of reporting banks are included in the series for the first time; and U.S. Treasury liabilities payable in foreign currencies
to official institutions of foreign countries have been increased in value by $110 million to reflect market exchange rates as of Dec. 31, 1971.
NOTE.Data represent short- and long-term liabilities to the official institutions of foreign countries, as reported by banks in the United States; foreign official holdings of marketable and nonmarketable U.S. Treasury securities with an original maturity of more than 1 year, except for non-marketable notes issued to foreign official nonreserve agencies; and in-vestments by foreign official reserve agencies in debt securities of U.S. Federally-sponsored agencies and U.S. corporations.
SHORT-TERM LIABILITIES TO FOREIGNERS REPORTED BY BANKS IN THE UNITED STATES, BY TYPE
(Amounts outstanding; in millions of dollars)
To all foreigners
67,067 69,239 72,790 74,787 78,365 80,687 83,610 86,642 87,388 88,345 90,606
Payable in dollars
39,770 41,351 41,393 55,018 55,036 60,201
67,724 68,425
66,427 68,470 72,024 74,080 77,712 79,895 82,944 85,897 86,693 87,625 89,862
Deposits
Demand Time 2
20,460 15,785 15,795 10,399 6,459 8,290
6,959 5,924 5,961 5,209 4,217 5,603
9,852 11,310
6,709 6,863
10,826 11,477 11,656 11,981 11,675 12,860 12.227 11,848 12,771 11.228 12,864
6,809 6,855 6,986 7,324 7,629 8,274 8,661 9,091 9,220 9,777 9,532
U.S. Treasury bills and
certifi-cates 3
5,015 14,123 14,123 33,025 33,025 31,850
31,977 31,886
29,543 30,274 31,444 32,676 33,983 34,038 34.178 33.179 33,467 34,187 35,020
Other short-term liab.4
7,336 5,519 5,514 6,385
11,335 14,458
19,185 18,366
19,249 19,864 21,938 22,099 24,425 24,723 27,877 31,778 31,235 32,432 32,446
IMF gold
invest-ments
To nonmonetary international and regional organizations6
Payable in
foreign cur-
rencies
IMF gold
invest-ments Total
Deposits U.S.
Treasury bills and
certifi-cates
Other short-term liab.4
Payable in
foreign cur-
rencies
IMF gold
invest-ments Total
Demand Time2
U.S. Treasury bills and
certifi-cates
Other short-term liab.4
429 800 613 62 83 244 223 368 400 820 69 159 211 381 368 400 820 69 159 211 381 386 400 1,372 73 192 210 896 392 400 1,367 73 192 210 892 496 1,413 96 202 326 800
622 1,962 73 94 373 1,423 597 1,955 101 83 296 1,474
640 1,853 95 89 286 1,383 770 1,693 77 63 232 1,321 766 1,151 96 63 227 765 706 1,109 60 57 209 783 653 1,333 95 53 46 1,139 792 1,593 106 64 91 1,332 666 1,685 121 66 51 1,448 746 1,861 81 68 146 1,567 696 1,840 128 69 75 1,569 720 1,937 125 89 93 1,630 744 1,962 128 89 94 1,651
For notes see the following page.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
January 1975
-
A 64 INTL. CAPITAL TRANSACTIONS OF THE U.S. FEBRUARY 1975
6. U.S. LIQUID AND OTHER LIABILITIES TO OFFICIAL INSTITUTIONS OF FOREIGN COUNTRIES, BY AREA
(Amounts outstanding; in millions of dollars)
End of period
196 7 1968 3
1969 3
1970 3
1971 5
197 2
1973Dec...
1974Jan.. . Feb.. . Mar.. Apr.. . May.. June.. July. . Aug... Sept.. Oct.. . Nov.** Dec. P.
Total f oreign
countries
18,194 /17,407 \17,340
4 15,975 4 15,998 /23,786 \23,775 /51,209 150,651
61.526
66,810
63,871 64,100 65.527 67,154 68,160 69,994 71,091 70,970 72,601 73,658 74,888 76,210
Western Europe 1
10,321 8,070 8,062
4 7,074 4 7,074
13,620 13,615 30,010 30,134
34,197
45,717
43,270 42,391 42,772 42,638 42,961 43,200 43,002 42,292 42,675 43,041 43,223 44,161
Canada
1,310 1,867 1,866 1,624 1,624 2,951 2,951 3,980 3,980
4,279
3,853
3,945 4,262 4,195 4,309 4,302 4,201 4,125 3,953 3,819 3,809 3,710 3,665
Latin American republics
1,582 1,865 1,865 1,888 1,911 1,681 1,681 1,414 1,429
1,733
2,544
2,446 2,744 2,887 3,532 3,384 4,006 3,951 4,127 4,421 3,986 3,619 4,246
Asia
4,428 5,043 4,997 4,552 4,552 4,713 4,708
14,519 13,823
17,577
10,884
10,479 10,878 11,631 12,360 12,988 13,992 15,209 15,526 16,182 17,186 18,475 18,346
Africa
250 259 248 546 546 407 407 415 415
777
788
838 1,000 1,249 1,402 1,620 1,854 2,055 2,272 2,850 2,947 3,204 3,161
1 Includes Bank for International Settlements and European Fund. 2 Includes countries in Oceania and Eastern Europe, and Western Euro-
pean dependencies in Latin America. 3 See note 9 to Table 5. 4 Includes $101 million increase in dollar value of foreign currency
liabilities resulting from revaluation of the German mark in Oct. 1969. 5 Data on second line differ from those on the first line because certain
accounts previously classified as official institutions are included with banks; a number of reporting banks are included in the series for the first time; and U.S. Treasury liabilities payable in foreign currencies
to official institutions of foreign countries have been increased in value by $110 million to reflect market exchange rates as of Dec. 31, 1971.
NOTE.Data represent short- and long-term liabilities to the official institutions of foreign countries, as reported by banks in the United States; foreign official holdings of marketable and nonmarketable U.S. Treasury securities with an original maturity of more than 1 year, except for non-marketable notes issued to foreign official nonreserve agencies; and in-vestments by foreign official reserve agencies in debt securities of U.S. Federally-sponsored agencies and U.S. corporations.
SHORT-TERM LIABILITIES TO FOREIGNERS REPORTED BY BANKS IN THE UNITED STATES, BY TYPE
(Amounts outstanding; in millions of dollars)
End of period Total i
40,199 f41,719 41,761 55,404 55,428 60,697
69,022
67,067 69,239 72,790 74,787 78,365 80,687 83,610 86,642 87,388 88,361 90,672 92,713
To all foreigners
Total
39,771 41,351 41,393 55,019 55,036 60,201
68,425
66,427 68,470 72,024 74,080 77,712 79,895 82,944 85,897 86,693 87,643 89,928 91,947
Payable in dollars
Deposits
Demand Time 2
20,460 15,785 15,795 10,399 6,459 8,290
11,310
10,826 11,477 11,656 11,981 11,675 12,860 12.227 11,848 12,771 11.228 12,860 14,062
6,959 5,924 5,961 5,209 4,217 5,603
6,863
6,809 6,855 6,986 7,324 7,629 8,276 8,661 9,091 9,220 9,789 9,532
10,115
U.S. Treasury bills and
certifi-cates 3
5,015 14,123 14,123 33,025 33,025 31,850
31,886
29,543 30,274 31,444 32,676 33,983 34,038 34.178 33.179 33,467 34,187 35,020 35,190
Other short-term liab.4
7,336 5,519 5,514 6,385
11,335 14,458
18,366
19,249 19,864 21,938 22,099 24,425 24,721 27,877 31,778 31,235 32,438 32,515 32,580
Payable in
foreign cur-
rencies
429 368 368 386 392 496
597
640 770 766 706 653 792 666 746 696 719 744 966
IMF gold
invest-ment5
800 400 400 400 400
To nonmonetary international and regional organizations6
Total
613 821 821
1,372 1,367 1,413
1.955
1,853 1,693 1,151 1,109 1,333 1,593 1,685 1,861 1,840 1,937 1.956 1,900
Deposits
Demand
63 69 69 73 73 86
101
95 77 96 60 95
106 121 81
128 125 128 139
Time2
83 159 159 192 192 202
83
89 63 63 57 53 66 66 68 69 89 89
101
U.S. Treasury bills and
certifi-cates
244 211 211 210 210 326
296
286 232 227 209 46 91 51
146 75 93 94 25
For notes see the following page.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
February 1975
-
6. U.S. LIQUID AND OTHER LIABILITIES TO OFFICIAL INSTITUTIONS OF FOREIGN COUNTRIES, BY AREA
A 64 INTL. CAPITAL TRANSACTIONS OF THE U.S. MARCH 1975
(Amounts outstanding; in millions of dollars)
End of periodTotal
foreigncountries
Western Europe 1 Canada
LatinAmericanrepublics
Asia Africa Other countries 2
1971 50,651 30,134 3,980 1,429 13,823 415 8701972. 61,526 34,197 4,279 1,733 17,577 777 2,9631973. 66,810 45,717 3,853 2,544 10,884 788 3,024
1974- 63,871 43,270 3,945 2,446 10,479 838 2,89364,100 42,391 4,262 2,744 10,878 1,000 2,82565,527 42,772 4,195 2,887 11,631 1,249 2,79367,154 42,638 4,309 3,532 12,360 1,402 2,91368,160 42,961 4,302 3,384 12,988 1,620 2,90569,994 43,200 4,201 4,006 13,992 1,854 2,74171,091 43,002 4,125 3,951 15,209 2,055 2,74970,970 42,292 3,953 4,127 15,526 2,272 2,80072,601 42,675 3,819 4,421 16,182 2,850 2,65473,658 43,041 3,809 3,986 17,186 2,947 2,68974,888 43,223 3,710 3,619 18,475 3,204 2,657
J76.210 44,161 3,665 4,246 18,346 3,161 2,631176,315 44,169 3,665 4,246 18,448 3,161 2,626
1975- 75,710 43,234 3,626 3,609 19,446 3,233 2,563
1 Includes Bank for International Settlements and European Fund.2 Includes countries in Oceania and Eastern Europe, and Western Euro
pean dependencies in Latin America.3 Because of revisions, data on the two lines or columns shown for
this date differ. Figures on first line or column are comparable with those shown for the preceding date; figures on second line or column are comparable with those shown for the following date. Revisions for months prior to Dec. will appear in the Apr. B u l l e t i n .
N o t e .Data represent short- and long-term liabilities to the official institutions of foreign countries, as reported by banks in the United States; foreign official holdings of marketable and nonmarketable U.S. Treasury securities with an original maturity of more than 1 year, except for nonmarketable notes issued to foreign official nonreserve agencies; and investments by foreign official reserve agencies in debt securities of U.S. Federally-sponsored agencies and U.S. corporations.
7. SHORT-TERM LIABILITIES TO FOREIGNERS REPORTED BY BANKS IN THE UNITED STATES, BY TYPE
(Amounts outstanding; in millions of dollars)
End of period
197 1 197 2 197 3
1974Jan ... Feb... Mar.. Apr.., May. June. July.. Aug.. Sept.. Oct... Nov..Dec.?
1975Jan.?.
To all foreigners
IMFgold
investments
To nonmonetary international and regional organizations 6
Total i
Payable in dollarsPayable
inforeign
currencies
Total
DepositsU.S.
Treasury bills and
certificates
Other shortterm liab. 7Total
Deposits U.S.Treasury bills and
certificates 3
Other shortterm liab. 4
Demand Time 2Demand Time 2
55,428 55,036 6,459 4,217 33,025 11,335 392 400 1,367 73 192 210 89260,697 60,201 8,290 5,603 31,850 14,458 496 1,413 86 202 326 80069,022 68,425 11,310 6,863 31,886 18,366 597 1,955 101 83 296 1,474
67,067 66,427 10,826 6,809 29,543 19,249 640 1,853 95 89 286 1,38369,239 68,470 11,477 6,855 30,274 19,864 770 1,693 77 63 232 1,32172,790 72,024 11,656 6,986 31,444 21,938 766 1,151 96 63 227 76574,787 74,080 11,981 7,324 32,676 22,099 706 1,109 60 57 209 78378,365 77,712 11,675 7,629 33,983 24,425 653 1,333 95 53 46 1,13980,687 79,895 12,860 8,276 34,038 24,721 792 1,593 106 66 91 1,33083,610 82,944 12,227 8,661 34,178 27,877 666 1,685 121 66 51 1,44886,642 85,897 11,848 9,091 33,179 31,778 746 1,861 81 68 146 1,56787,388 86,693 12,771 9,220 33,467 31,235 696 1,840 128 69 75 1,56988,361 87,643 11,228 9,789 34,187 32,438 719 1,937 125 89 93 1,63090,672 89,928 12,860 9,532 35,020 32,515 744 1,956 128 89 94 1,645
/92,713 91,947 14,062 10,115 35,190 32,580 766 1,900 139 101 25 1,633193,448 92,681 14,053 10,111 35,190 33,327 766 1,981 139 105 25 1,711
91,195 90,475 12,336 10,199 36,921 31,019 721 1,885 123 104 25 1,633
For notes see the following page.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
March 1975
-
6. U.S. LIQUID AND OTHER LIABILITIES TO OFFICIAL INSTITUTIONS OF FOREIGN COUNTRIES, BY AREA
A 62 INTL. CAPITAL TRANSACTIONS OF THE U.S. APRIL 1975
(Amounts outstanding; in millions o f dollars)
End of period
Totalforeign
countries
WesternEurope1
Canada
LatinAmericanrepublics Asia Africa
Other countries 2
50,651 30,134 3,980 1,429 13,823 415 87061,526 34,197 4,279 1,733 17,577 777 2,963
1973........................................................................................ 66,810 45,717 3,853 2,544 10,884 788 3,024
1974Feb............................................................................... 64,100 42,391 4,262 2,744 10,878 1,000 2,825Mar.............................................................................. 65,527 42,772 4,195 2,887 11,631 1,249 2,793Apr............................................................................... 67,154 42,638 4,309 3,532 12,360 1,402 2,913
68,150 42,951 4,302 3,384 12,988 1,620 2,905June............................................................................. 69,994 43,200 4,201 4,006 13,992 1,854 2,741July.............................................................................. 71,091 43,002 4,125 3,951 15,209 2,055 2,749Aug.............................................................................. 70,970 42,292 3,953 4,127 15,526 2,272 2,800Sept.r........................................................................... 72,606 42,680 3,819 4,421 16,182 2,850 2,654Oct.r ............................................................................ 73,718 43.041 3,809 4,046 17,186 2,947 2,689Nov.r........................................................................... 75,061 43,223 3,710 3,742 18,525 3,204 2,657Dec.r ........................................................................... 76,570 44,169 3,665 4,419 18,529 3,161 2,627
1975Jan.?............................................................................ 75,768 43,234 3,626 3,659 19,455 3,232 2,562Feb............................................................................... 78,316 44,540 3,621 4,224 20,125 3,356 2,450
1 Includes Bank for International Settlements and European Fund.2 Includes countries in Oceania and Eastern Europe, and Western Euro
pean dependencies in Latin America.
Note.Data represent short- and long-term liabilities to the official institutions of foreign countries, as reported by banks in the United States;
foreign official holdings of marketable and nonmarketable U.S. Treasury securities with an original maturity of more than 1 year, except for nonmarketable notes issued to foreign official nonreserve agencies; and investments by foreign official reserve agencies in debt securities of U.S. Federally-sponsored agencies and U.S. corporations.
7. SHORT-TERM LIABILITIES TO FOREIGNERS REPORTED BY BANKS IN THE UNITED STATES, BY TYPE(Amounts outstanding; in millions of dollars)
End of period
To all foreigners To nonmonetary international and regional organizations 6IMF
Payable in dollars gold DepositsPayable invest U.S.
in ment5 Treasury OtherTotal1 Deposits U.S. Other foreign Total bills and short
Treasury short cur certifi termTotal bills and term rencies Demand Time2 cates liab. 7
Demand Time2 certifi liab. 4cates3
55,428 55,036 6,459 4,217 33,025 11,335 392 400 1,367 73 192 210 89260,697 60,201 8,290 5,603 31,850 14,458 496 1,413 86 202 326 80069,022 68,425 11,310 6,863 31,886 18,366 597 1,955 101 83 296 1,474
69,248 68,478 11,472 6,829 30,274 19,903 770 0 1,693 77 63 232 1,32172,852 72,086 11,651 6,956 31,444 22,034 766 0 1,206 96 63 227 82075,244 74,537 11,977 7,303 32,676 22,581 706 0 1,164 60 57 209 83878,721 78,068 11,672 7,609 33,983 24,805 653 0 1,388 95 53 46 1,19480,982 80,190 12,856 8,253 34,038 25,043 792 0 1,653 106 66 91 1,39083,945 83,279 12,222 8,643 34,178 28,235 666 0 1,745 121 66 51 1,50886,815 86,069 11,841 9,073 33,179 31,976 746 0 1,921 81 68 146 1,62787,652 86,957 12,769 9,222 33,467 31,499 696 0 1,900 128 69 75 1,62988,552 87,833 11,228 9,789 34,187 32,628 719 0 1,997 125 89 93 1,69091,439 90,695 12,860 9,532 35,020 33,283 744 0 2,036 128 89 94 1,72593,571 92,805 14,054 10,081 35,190 33,480 766 0 1,981 139 105 25 1,711
91,213 90,492 12,299 10,153 36,899 31,142 721 1,885 123 104 25 1,63392,016 91,283 12,145 10,324 39,258 29,555 733 0 1,880 118 95 89 1,577
197 1 197 2 197 3
1974Feb.' Mar.r Apr. r Mayr Juner July r . Aug. r Sept. Oct.r. Nov.r Dec.r
1975Jan.?. Feb.*.
For notes see opposite page.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
April 1975
-
A 62 INTL. CAPITAL TRANSACTIONS OF THE U.S. MAY 1975
6. U.S. LIQUID AND OTHER LIABILITIES TO OFFICIAL INSTITUTIONS OF FOREIGN COUNTRIES, BY AREA
(Amounts outstanding; in millions of dollars)
End of period
197 1 197 2 197 3
1974M ar... Apr.. . May.. June. . July. . Aug... Sept... O ct... N o v ... D ec.. .
1975Jan.. . Feb.P . Mar.p
Totalforeign
countries
50,65161.526 66,810
65.527 67,154 68,150 69,994 71,091 70,970 72,606 73,718 75,061 76,570
75,79378,55279,068
WesternEurope1
30,13434,19745,717
42,77242,63842,95143,20043,00242,29242,68043,04143,22344,169
43,23444,70745,786
Canada
3,9804,2793,853
4,1954,3094,3024,2014,1253,9533,8193,8093,7103,665
3,6263,6163,546
LatinAmericanrepublics
1,4291,7332,544
2,8873,5323,3844,0063,9514,1274,4214,0463,7424,419
3,6594,2244,390
Asia
13,82317,57710,884
11,63112,36012,98813,99215,20915,52616,18217,18618,52518,529
19,48020,19819,325
Africa
415777788
1,249 1,402 1,620 1 ,854 2,055 2,272 2,850 2,947 3,204 3,161
3,2323,3563,433
Othercountries2
8702,9633,024
2,7932,9132,9052,7412,7492,8002,6542,6892,6572,627
2,5622,4512,588
1 Includes Bank for International Settlements and European Fund.2 Includes countries in Oceania and Eastern Europe, and Western Euro
pean dependencies in Latin America.
Note.D ata represent short- and long-term liabilities to the official institutions of foreign countries, as reported by banks in the United States;
foreign official holdings of marketable and nonmarketable U.S. Treasury securities with an original maturity of more than 1 year, except for nonmarketable notes issued to foreign official nonreserve agencies; and investments by foreign official reserve agencies in debt securities of U.S. Federally-sponsored agencies and U.S. corporations.
SHORT-TERM LIABILITIES TO FOREIGNERS REPORTED BY BANKS IN THE UNITED STATES, BY TYPE
(Amounts outstanding; in millions of dollars)
End of period
To all foreigners
Total i
Payable in dollarsPayable
inforeign
currenciesTotal
Deposits U.S.Treasury bills and
certificates 3
Othershorttermliab.4Demand Time2
1971................................ 55,428 55,036 6,459 4,217 33,025 11,335 3921972................................ 60,697 60,201 8,290 5,603 31,850 14,458 4961973................................ 69,022 68,425 11,310 6,863 31,886 18,366 597
1974 M ar..................... 72,852 72,086 11,651 6,956 31,444 22,034 766Apr..................... 75,244 74,537 11,977 7,303 32,676 22,581 706M ay ................... 78,721 78,068 11,672 7,609 33,983 24,805 653June.................... 80,982 80,190 12,856 8,253 34,038 25,043 792July..................... 83,945 83,279 12,222 8,643 34,178 28,235 666Aug..................... 86,815 86,069 11,841 9,073 33,179 31,976 746Sept..................... 87,652 86,957 12,769 9,222 33,467 31,499 696Oct...................... 88,552 87,833 11,228 9,789 34,187 32,628 719Nov..................... 91,439 90,695 12,860 9,532 35,020 33,283 744Dec. r .................. 94,755 93,989 14,054 10,081 35,662 34,192 766
1975Jan...................... 93,244 92,523 12,298 10,157 38,108 31,960 721Feb.P.................. 94,247 93,514 12,144 10,322 40,428 30,620 733M ar.p ................. 93,406 92,724 12,321 10,162 40,094 30,148 682
IM Fgold
investm ent5
To nonmonetary international and regional organizations 6
Total
Deposits
Demand
U.S.Treasury bills and certificates
Other shortterm liab. 7
400 1,3671,4131.955
1,2061.164 1,388 1,653 1,745 1,921 1,900 1,997 2,0363.165
3,9113.955 3,465
7386
101
966095
10612181
128125128139
123118189
192202
83
635753666668698989
105
10495
107
210326296
227209469151
146759394
497
1,2341,260
777
892800
1,474
820838
1,1941.390 1,508 1,627 1,629 1,690 1,725 2,424
2,4502,4822.391
For notes see opposite page.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
May 1975
-
A 62 INTL. CAPITAL TRANSACTIONS OF THE U.S. JUNE 1975
6. U .S . LIQUID AND OTHER LIABILITIES TO OFFICIAL IN STITU TIO N S OF FOREIG N C O U N TR IES, BY AREA
(Amounts outstanding; in millions of dollars)
End of period
Totalforeign
countries
Western Europe1
Canada
LatinAmericanrepublics Asia Africa
Othercountries2
197 1 197 2 197 3
1974Apr.. . May.. June .. July. . Aug... Sept... Oct... N ov... Dec...
1975Jan.. . Feb... Mar.p Apr..
50,65161,52666,810
67,15468,15069,99471,09170,97072,60673,71875,06176,570
75,79378,55279,06879,015
30,13434,19745,717
42,63842,95143,20043,00242,29242,68043,04143,22344,169
43,23444,70745,78644,983
3,9804,2793,853
4,3094,3024,2014,1253,9533,8193,8093,7103,665
3,6263,6163,5463,251
1,4291,7332,544
3,5323,3844,0063,9514,1274,4214,0463,7424,419
3,6594,2244,3904,506
13,82317,57710,884
12,36012,98813,99215,20915,52616,18217,18618,52518,529
19,48020,19819,32520,072
415777788
1,402 1,620 1,854 2,055 2,272 2,850 2,947 3,204 3,161
3,2323,3563,4333,493
8702,9633,024
2,9132,9052,7412,7492,8002,6542,6892,6572,627
2,5622,4512,5882,710
1 Includes Bank for International Settlements and European Fund.2 Includes countries in Oceania and Eastern Europe, and Western Euro
pean dependencies in Latin America.
N ote . Data represent short- and long-term liabilities to the official institutions of foreign countries, as reported by banks in the United States;
foreign official holdings of marketable and nonmarketable U.S. Treasury securities with an original maturity of more than 1 year, except for nonmarketable notes issued to foreign official nonreserve agencies; and investments by foreign official reserve agencies in debt securities of U.S. Federally-sponsored agencies and U.S. corporations.
SHORT-TERM LIABILITIES TO FO R EIG N ER S REPO RTED BY BANKS IN TH E UNITED STATES, BY TYPE(Amounts outstanding; in millions of dollars)
To all foreigners To nonmonetary international and regional organizations 6IMF
Payable in dollars gold DepositsPayable invest U.S.
in ment5 Treasury OtherTotal i Deposits U.S. Other foreign Total bills and short
Treasury short cur certifi termTotal bills and term rencies Demand Time2 cates liab. 7
Demand Time2 certifi liab.4cates 3
55,428 55,036 6,459 4,217 33,025 11,335 392 400 1,367 73 192 210 89260,697 60,201 8,290 5,603 31,850 14,458 496 1,413 86 202 326 80069,022 68,425 11,310 6,863 31,886 18,366 597 1,955 101 83 296 1,474
75,244 74,537 11,977 7,303 32,676 22,581 706 1,164 60 57 209 83878,721 78,068 11,672 7,609 33,983 24,805 653 1,388 95 53 46 1,19480,982 80,190 12,856 8,253 34,038 25,043 792 1,653 106 66 91 1,39083,945 83,279 12,222 8,643 34,178 28,235 666 1,745 121 66 51 1,50886,815 86,069 11,841 9,073 33,179 31,976 746 1,921 81 68 146 1,62787,652 86,957 12,769 9,222 33,467 31,499 696 1,900 128 69 75 1,62988,552 87,833 11,228 9,789 34,187 32,628 719 1,997 125 89 93 1,69091,439 90,695 12,860 9,532 35,020 33,283 744 2,036 128 89 94 1,72594,755 93,989 14,054 10,081 35,662 34,192 766 3,165 139 105 497 2,424
93,244 92,523 12,298 10,157 38,108 31,960 721 3,911 123 104 1,234 2,45094,247 93,514 12,144 10,322 40,428 30,620 733 3,955 118 95 1,260 2,48293,406 92,724 12,321 10,162 40,094 30,148 682 3,465 189 107 777 2,39194,597 93,856 11,699 10,383 40,424 31 ,350 742 3,580 99 116 781 2,583
End of period
197 1 197 2 197 3
1974Apr... M ay.. June.. July.. Aug.. Sept.. O ct... Nov.. Dec...
1975Jan... Feb... Mar.*> Apr.2.
For notes see opposite page.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
June 1975
-
A 62 INTL. CAPITAL TRA N SACTION S OF THE U .S . JULY 1975
6. U.S. LIQUID AND OTHER LIABILITIES TO OFFICIAL INSTITUTIONS OF FOREIGN COUNTRIES, BY AREA
(Amounts outstanding; in millions of dollars)
End o f period
197 1 197 2 .197 3 .
1974 Mayr Juner , J u ly . A ug.' Sept.' O ct.' . N ov.' D ec.'
1975Jan .. . F eb .. M ar.. Apr.P May?
Totalforeign
countries
50,65161,52666,810
68,193 70,030 71,117 71,029 72,716 73,823 75,18576.624
75,91878.625 79,176 79,005 79,682
Western Europe1
30,13434,19745,717
42,95143,20043,00242,29242,64943,00743,17944,151
43,28944,70645,82344,98345,186
Canada
3,9804,2793,853
4,3024,2014,1253,9533,8193,8053,7053,662
3,6213,6163,5463,2513,101
LatinAmericanrepublics
1,4291,7332,544
3,4094,0223,9514,1574,4454,0463,7684,419
3,6594,2234,3904,5064,605
Asia
13,82317,57710,884
13,00614,01215,23515.554 16,299 17,329 18,673 18,604
19.555 20,274 19,396 20,062 20,425
Africa
415777788
1,620 1,854 2,055 2,272 2,850 2,947 3,204 3,161
3,2323,3563,4333,4933,448
Othercountries2
8702,9633,024
2,9052,7412,7492,8012,6542,6892,6562,627
2,5622,4502,5882,7102,917
1 Includes Bank for International Settlements and European Fund.2 Includes countries in Oceania and Eastern Europe, and Western Euro
pean dependencies in Latin America.
N ote.D ata represent short- and long-term liabilities to the official nstitutions of foreign countries, as reported by banks in the United States;
foreign official holdings of marketable and nonmarketable U.S. Treasury securities with an original maturity of more than 1 year, except for nonmarketable notes issued to foreign official nonreserve agencies; and investments by foreign official reserve agencies in debt securities of U.S. Federally-sponsored agencies and U.S. corporations.
7 . SHORT TERM LIABILITIES TO FOREIGNERS REPORTED BY BANKS IN THE UNITED STATES, BY TYPE
(Amounts outstanding; in millions of dollars)
To all foreigners To nonmonetary international and regional organizations 6IM F
Payable in dollars gold DepositsPayable invest U.S.
in m ent5 Treasury OtherTotal i Deposits U.S. Other foreign Total bills and short
Treasury short cur certifi termTotal bills and term rencies Demand Time2 cates liab. 7
Demand Tim e2 certifi liab.4cates 3
55,428 55,036 6,459 4,217 33,025 11,335 392 400 1,367 73 192 210 89260,696 60,200 8,290 5,603 31,850 14,457 496 1,412 86 202 326 79969,074 68,477 11,310 6,882 31,886 18,399 597 1,955 101 83 296 1,474
78,752 78,098 11,672 7,609 33,983 24,835 653 1,388 95 53 46 1,19481,014 80,222 12,856 8,253 34,038 25,074 792 1,653 106 66 91 1,39083,951 83,285 12,222 8,643 34,178 28,241 666 1,745 121 66 51 1,50886,863 86,117 11,841 9,091 33,179 32,006 746 1,921 81 68 146 1,62787,710 87,015 12,769 9,240 33,467 31,539 696 1,900 128 69 75 1,62988,628 87,909 11,228 9,807 34,187 32,686 719 1,997 125 89 93 1,69091,816 91,072 12,860 9,550 35,212 33,450 744 2,333 128 89 285 1,83094,815 94,049 14,054 10,089 35,662 34,244 766 3,165 139 105 497 2,424
93,350 92,630 12,295 10,157 38,108 32,069 721 3,911 123 104 1,234 2,45094,245 93,511 12,139 10,322 40,428 30,622 733 3,955 118 95 1,260 2,48293,404 92,722 12,324 10,143 40,094 30,161 682 3,473 189 116 777 2,39194,604 93,862 11,699 10,390 40,424 31,349 742 3,592 99 126 781 2,58593,209 92,544 11,924 10,368 40,628 29,624 665 3,839 114 133 1,994 1,598
End o f period
1971..............1972r............1973*-............
1974 M ayr. June', July r . Aug.r Sept.' O ct.r . N ov.r D ec.',
1975Jan .'. F eb .'. M ar.. A p r.. May*
For notes see opposite page.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
July 1975
-
A 62 INTL. CAPITAL TRANSACTIONS OF THE U.S. o SEPTEMBER 1975
6. U .S. LIABILITIES TO OFFICIAL INSTITUTIONSOF FOREIGN COUNTRIES, BY AREA
(Amounts outstanding; in millions of dollars)
End of periodTotal
foreigncountries
Western Europe i
CanadaLatin
Americanrepublics Asia Africa
Othercountries2
197 1 197 2 197 3
1974Julyr. Aug.r. Sept.r Oct.r . Nov.r Dec.r .
1975Jan. Feb. r . Mar.r Apr.r . M ay.. June*. July*.
50,65161,52666,827
71,13171,08372,73073,83675,20076,658
75,96078,68979,21079,08179,75180,46879,600
30,13434,19745,730
43,01642,34742,66243,01943,19344,185
43,33144,77045,77645,05945,26245,21144,137
3,9804,2793,853
4,1253,9533,8193,8053,7053,662
3,6213,6163,5463,2513,1013,0082,966
1,4291,7332,544
3,9514,1574,4454,0463,7684,419
3,6594,2234,3904,5064,6004,7234,747
13,82317,57710,887
15,23515.55416.299 17,329 18,673 18,604
19.555 20,274 19,441 20,062 20,423 20,45721.299
415777788
2,0552,2722,8502,9473,2043,161
3,2323,3563,4333,4933,4483,8003,319
8702,9633,025
2,7482,8002,6552,6902,6572,627
2,5622,4502,6242,7102,9173,2693,132
1 Includes Bank for International Settlements and European Fund.2 Includes countries in Oceania and Eastern Europe, and Western Euro
pean dependencies in Latin America.
Note.Data represent short- and long-term liabilities to the official institutions of foreign countries, as reported by banks in the United States;
foreign official holdings of marketable and nonmarketable U.S. Treasury securities with an original maturity of more than 1 year, except for nonmarketable notes issued to foreign official nonreserve agencies; and investments by foreign official reserve agencies in debt securities of U.S. Federally-sponsored agencies and U.S. corporations.
7 . SHORT-TERM LIABILITIES TO FOREIGNERS REPORTED BY BANKS IN THE UNITED STATES, BY TYPE(Amounts outstanding; in millions of dollars)
End of period
To all foreigners To nonmonetary international and regional organizations 6IMF
Payable in dollars gold DepositsPayable invest U.S.
in ment5 Treasury OtherTotal i Deposits U.S. Other foreign Total bills and short
Treasury short cur certifi termTotal bills and term rencies Demand Time2 cates liab. 7
Demand Time2 certifi liab.4cates 3
55,428 55,036 6,459 4,217 33,025 11,335 392 400 1,367 73 192 210 89260,696 60,200 8,290 5,603 31,850 14,457 496 1,412 86 202 326 79969,074 68,477 11,310 6,882 31,886 18,399 597 1,955 101 83 296 1,474
83,956 83,290 12,222 8,643 34,178 28,246 666 1,745 121 66 51 1,50886,916 86,170 11,841 9,103 33,179 32,047 746 1,921 81 68 146 1,62787,722 87,026 12,769 9,252 33,467 31,539 696 1,900 128 69 75 1,62988,642 87,924 11,228 9,822 34,187 32,686 719 2,000 125 92 93 1,69091,835 91,091 12,860 9,567 35,212 33,452 744 2,339 128 95 285 1,83094,847 94,081 14,068 10,106 35,662 34,246 766 3,171 139 111 497 2,424
93,285 92,564 12,288 10,155 38,108 32,013 721 3,918 123 111 1,234 2,45094,317 93,584 12,139 10,308 40,428 30,708 733 3,973 118 102 1,260 2,49293,322 92,640 12,324 10,143 40,094 30,080 682 3,485 189 116 777 2,40294,460 93,719 11,699 10,390 40,424 31,206 742 3,592 99 126 781 2,58593,204 92,539 11,925 10,374 40,628 29,612 665 3,839 115 133 1,994 1,59892,327 91,744 12,598 10,458 38,278 30,409 584 3,442 108 133 996 2,20592,300 91,659 12,222 10,302 38,553 30,583 640 4,109 146 134 2,518 1,311
197 1 197 2 197 3
1974July r. Aug.r Sept.r Oct.r. Nov. r Dec.r,
1975Jan. Feb.r. M ar.r Apr.r May. June* July*.
For notes see opposite page.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
September 1975
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