H.3 Aggregate Reserves of Depository Institutions and the Monetary Base [H3]
Updated on DBnomics on April 4, 2022 (11:49 PM)
Frequency [FREQ]
Reserves [RESERVES]
Reserves Detail [RESERVES_DETAIL]
Dataset has 67 series. Add search filters to narrow them.
- Monthly – Borrowings – Adjustment [FED/H3/RESBRA14A_N.M]
- min:
- 2
- max:
- 3,292
- avg:
- 439.336
- σ:
- 484.776
- Weekly (Wednesday) – Borrowings – Adjustment [FED/H3/RESBRA14A_N.WW]
- min:
- 1
- max:
- 6,622
- avg:
- 356.326
- σ:
- 536.771
- Monthly – Borrowings – Term Asset-Backed Securities Loan Facility [FED/H3/RESBRB14A_N.M]
- min:
- 0
- max:
- 47,342
- avg:
- 7,136.036
- σ:
- 13,597.713
- Weekly (Wednesday) – Borrowings – Term Asset-Backed Securities Loan Facility [FED/H3/RESBRB14A_N.WW]
- min:
- 0
- max:
- 48,106
- avg:
- 7,142.24
- σ:
- 13,606.251
- Monthly – Borrowings – Extended [FED/H3/RESBRE14A_N.M]
- min:
- 0
- max:
- 7,043
- avg:
- 196.025
- σ:
- 666.741
- Weekly (Wednesday) – Borrowings – Extended [FED/H3/RESBRE14A_N.WW]
- min:
- 0
- max:
- 7,184
- avg:
- 287.066
- σ:
- 822.156
- Monthly – Borrowings – Asset-Backed Commercial Paper Money Market Mutual Fund Liquidity Facility [FED/H3/RESBRF14A_N.M]
- min:
- 0
- max:
- 117,457
- avg:
- 19,144.778
- σ:
- 29,633.384
- Weekly (Wednesday) – Borrowings – Asset-Backed Commercial Paper Money Market Mutual Fund Liquidity Facility [FED/H3/RESBRF14A_N.WW]
- min:
- 0
- max:
- 133,997
- avg:
- 20,301.405
- σ:
- 33,227.406
- Monthly – Borrowings – Credit extended to American International Group, Inc., net [FED/H3/RESBRG14A_N.M]
- min:
- 8,368
- max:
- 78,070
- avg:
- 34,238.448
- σ:
- 15,682.912
- Weekly (Wednesday) – Borrowings – Credit extended to American International Group, Inc., net [FED/H3/RESBRG14A_N.WW]
- min:
- 1,452
- max:
- 84,903
- avg:
- 34,823.258
- σ:
- 16,087.569
Dimension codes and labels
[FREQ] Frequency
- [129] Monthly
- [19] Weekly (Wednesday)
[RESERVES] Reserves
- [BR] Borrowings
- [MB] Monetary Base
- [RES] Reserve Requirements and Vault Cash
- [RESB] Reserve Balances and Interest Rates Paid
[RESERVES_DETAIL] Reserves Detail
- [ADJ] Adjustment
- [AIG] Credit extended to American International Group, Inc., net
- [AMLF] Asset-Backed Commercial Paper Money Market Mutual Fund Liquidity Facility
- [ARCH_INT_APP] Interest Rate Paid on Required Reserves (ending June 26, 2013)
- [ARCH_INT_EXS] Interest Rate Paid on Excess Reserves (ending June 26, 2013)
- [ARCH_RBM_EXS] Excess Reserves (ending June 26, 2013)
- [ARCH_RBR_NCO] Net Carry Over (ending June 26, 2013)
- [BR_TOT] Total Borrowings From the Federal Reserve
- [EXT] Extended
- [INT_APP] Interest Rate Paid on Balances Maintained to Satisfy Reserve Balance Requirements
- [INT_EXS] Interest Rate Paid on Balances That Exceed the Top of the Penalty-Free Band
- [MB_BAL] Monetary Base, Total Balances Maintained
- [MB_CIC] Monetary Base, Currency in Circulation
- [MB_TOT] Monetary Base, Total
- [NB_TOT] Non Borrowed
- [NB_TOT_EXT] Non Borrowed plus Extended
- [OCE] Other Credit Extensions
- [PDF] Primary Dealer Credit
- [PRI] Primary
- [RBM_APP] Balances Maintained to Satisfy Reserve Balance Requirements
- [RBM_EXS] Balances Maintained That Exceed the Top of the Penalty-Free Band
- [RBM_TOT] Total Reserve Balances Maintained
- [RBR_BOT] Reserve Balances Required, Bottom of Penalty-Free Band
- [RBR_MID] Reserve Balances Required
- [RBR_TOP] Reserve Balances Required, Top of Penalty-Free Band
- [RES_REQ] Required
- [RES_TOT] Total Reserves
- [SEA] Seasonal
- [SEC] Secondary
- [SLF] Special Liquidity Facility
- [TAF] Term Auction Facility
- [TALF] Term Asset-Backed Securities Loan Facility
- [VC_APP] Applied Vault Cash
- [VC_SUR] Surplus Vault Cash
- [VC_TOT] Total Vault Cash