Search Results
Documents are displayed in order of relevance.
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The Fed - L.116.g Life Insurance Companies: General Accounts
bonds; asset LM543063075 2475.5 2890.3 3221.1 3266.2 3087.8 3197.5 3230.6
URL: https://www.federalreserve.gov/releases/z1/20220609/html/l116g.htm
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The Fed - L.125 Government-Sponsored Enterprises
bonds; asset LM403063005 19.5 16.5 13.5 12.3 13.0 12.7 12.5 12.3 12.1
URL: https://www.federalreserve.gov/releases/z1/20220609/html/l125.htm
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The Fed - L.102 Nonfinancial Business
bonds; liability FL103163003 6540.6 6739.4 6662.3 6699.4 6777.6 6739.4
URL: https://www.federalreserve.gov/releases/z1/20221209/html/l102.htm
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The Fed - L.106 Federal Government
bonds issued by commercial banking under TARP; asset FL313063763 0.5 0.5
URL: https://www.federalreserve.gov/releases/z1/20221209/html/l106.htm
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FRB: Z.1 Release--Flows--Flow of Funds Matrix for--March 8, 2007
bonds 14.7 -- -- 220.4 5.3 -- -- -- 20.0 220.4 423.8 152.0 493.5 565.0
URL: https://www.federalreserve.gov/releases/z1/20070308/accessible/flows.htm
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FRB: Z.1 Release--L.111--Foreign Banking Offices in U.S.--March 8, 2007
bonds asset 81.6 160.9 178.5 218.3 233.2 263.3 262.0 272.4 293.3 285.2
URL: https://www.federalreserve.gov/releases/z1/20070308/accessible/l111.htm
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The Fed - B.101.f Balance Sheet of Domestic Hedge Funds
bonds; asset (market value) LM623063003 443.7 473.6 432.8 434.7 456.4
URL: https://www.federalreserve.gov/releases/z1/20221209/html/b101f.htm
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The Fed - B.101.n Balance Sheet of Nonprofit Organizations
bonds; asset (market value) LM163063005 168.5 171.3 173.3 188.0 200.5
URL: https://www.federalreserve.gov/releases/z1/20221209/html/b101n.htm
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The Fed - L.101 Households and Nonprofit Organizations
bonds; asset LM153063005 400.8 231.3 225.8 229.0 311.1 231.3 227.9 225.1
URL: https://www.federalreserve.gov/releases/z1/20221209/html/l101.htm
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The Fed - L.105 General Government
bonds; asset FL363063005 224.4 192.9 194.5 193.3 194.2 192.9 170.2 155.4
URL: https://www.federalreserve.gov/releases/z1/20221209/html/l105.htm
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