U.S. Treasury Securities Outstanding By Kind Of Obligation 1967-2001

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TABLE B–87.—U.S. Treasury securities outstanding by kind of obligation, 1967–2001 [Billions of dollars] Total Treasury securities outstanding 1 1 Marketable Treasury inflationTreasury indexed bonds Bond Notes s 97.4 91.1 78.8 63.0 54.0 49.1 45.1 33.1 36.8 39.6 45.7 56.4 71.1 83.8 96.2 103.6 125.7 158.1 199.5 241.7 277.6 299.9 338.0 377.2 423.4 461.8 497.4 511.8 522.6 543.5 576.2 610.4 643.7 635.3 613.0 643.7 655.0 653.0 651.0 639.7 637.7 633.2 636.8 635.3 631.3 629.0 626.5 623.8 631.5 628.0 623.0 618.7 617.0 612.7 613.0 613.0 610.5 607.0 602.7 ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... 24.4 41.9 67.6 81.6 95.1 74.6 74.6 74.7 75.2 75.8 75.8 81.0 81.4 81.6 81.6 82.1 82.3 88.3 88.3 88.8 89.2 89.4 89.7 95.2 95.4 95.1 95.1 95.6 95.3 ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... ...... 17.0 24.8 33.4 39.7 32.6 32.6 32.6 32.8 33.1 33.1 33.1 33.3 33.4 38.7 38.9 39.0 39.0 39.0 39.2 39.4 39.4 39.6 39.8 39.9 39.7 44.8 44.9 44.8 Nonmarketable U.S. Government savings Foreign account Other 5 securities series 4 series 3 End of year or month Total 2 Treasury bills Treasury notes Total Fiscal year: 1967 1968 1969 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980 1981 1982 1983 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993 1994 1995 1996 1997 1998 1999 2000 2001 1 2000: Jan Feb Mar Apr May June July Aug Sept Oct Nov Dec 2001: Jan Feb Mar Apr May June July Aug Sept Oct Nov Dec 1 2 3 1 322.3 344.4 351.7 369.0 396.3 425.4 456.4 473.2 532.1 619.3 697.6 767.0 819.0 906.4 996.5 1,140.9 1,375.8 1,559.6 1,821.0 2,122.7 2,347.8 2,599.9 2,836.3 3,210.9 3,662.8 4,061.8 4,408.6 4,689.5 4,950.6 5,220.8 5,407.5 5,518.7 5,647.2 5,622.1 5,807.5 5,701.4 5,725.7 5,763.8 5,646.2 5,637.1 5,675.9 5,648.9 5,668.0 5,622.1 5,647.6 5,700.0 5,618.1 5,716.1 5,735.9 5,773.7 5,661.3 5,656.2 5,726.8 5,718.3 5,769.9 5,807.5 5,816.0 5,888.9 5,943.4 2 2 2 2 6 210.7 226.6 226.1 232.6 245.5 257.2 263.0 266.6 315.6 392.6 443.5 485.2 506.7 594.5 683.2 824.4 58.5 64.4 68.4 76.2 86.7 94.6 100.1 105.0 128.6 161.2 156.1 160.9 161.4 199.8 223.4 277.9 340.7 356.8 384.2 410.7 378.3 398.5 406.6 482.5 564.6 634.3 658.4 697.3 742.5 761.2 701.9 637.6 653.2 616.2 734.9 670.0 695.9 753.3 651.3 636.6 629.9 620.6 647.4 616.2 618.5 682.1 646.9 656.1 680.7 712.0 619.1 618.5 620.1 653.1 732.6 734.9 736.3 813.4 811.2 49.1 71.1 78.9 93.5 104.8 113.4 117.8 128.4 150.3 191.8 241.7 267.9 274.2 310.9 363.6 442.9 557.5 661.7 776.4 896.9 1,005.1 1,089.6 1,133.2 1,218.1 1,387.7 1,566.3 1,734.2 1,867.5 1,980.3 2,098.7 2,122.2 2,009.1 1,828.8 1,611.3 1,433.0 1,764.0 1,745.8 1,732.6 1,694.0 1,692.2 1,679.1 1,663.1 1,642.6 1,611.3 1,608.8 1,589.6 1,557.3 1,555.1 1,534.9 1,534.9 1,492.3 1,474.4 1,474.4 1,437.1 1,433.0 1,433.0 1,419.6 1,415.5 1,414.0 111.6 117.8 125.6 136.4 150.8 168.2 193.4 206.7 216.5 226.7 254.1 281.8 312.3 311.9 313.3 316.5 351.8 383.0 460.8 558.4 671.8 797.0 943.5 1,118.2 1,272.1 1,384.3 1,503.7 1,597.9 1,690.2 1,802.4 1,967.9 2,187.7 2,414.2 2,629.3 2,876.7 2,501.6 2,506.9 2,502.6 2,526.9 2,544.7 2,605.2 2,602.8 2,611.5 2,629.3 2,653.7 2,663.3 2,651.2 2,738.7 2,746.6 2,755.9 2,783.5 2,800.8 2,871.1 2,865.4 2,841.0 2,876.7 2,894.7 2,897.5 2,960.4 51.2 51.7 51.7 51.3 53.0 55.9 59.4 61.9 65.5 69.7 75.4 79.8 80.4 72.7 68.0 67.3 70.0 72.8 77.0 85.6 97.0 106.2 114.0 122.2 133.5 148.3 167.0 176.4 181.2 184.1 182.7 180.8 180.0 177.7 186.5 179.1 179.0 178.6 178.5 177.8 177.7 177.8 177.7 177.7 177.9 178.1 176.9 184.6 184.7 184.8 185.2 185.3 185.5 185.8 186.0 186.5 188.4 189.9 190.4 1.5 3.7 4.1 4.8 9.3 19.0 28.5 25.0 23.2 21.5 21.8 21.7 28.1 25.2 20.5 14.6 11.5 8.8 6.6 4.1 4.4 6.3 6.8 36.0 41.6 37.0 42.5 42.0 41.0 37.5 34.9 35.1 31.0 25.4 18.3 31.3 31.3 28.8 28.7 28.5 27.7 25.4 25.4 25.4 25.4 25.1 27.2 24.9 24.9 24.7 24.5 24.2 24.0 22.2 21.7 18.3 16.0 15.5 15.4 56.2 59.5 66.8 76.3 82.8 89.6 101.7 115.4 124.2 130.6 140.1 153.3 176.4 189.8 201.1 210.5 234.7 259.5 313.9 365.9 440.7 536.5 663.7 779.4 908.4 1,011.0 1,114.3 1,211.7 1,324.3 1,454.7 1,608.5 1,777.3 2,005.2 2,242.9 2,492.1 2,098.5 2,103.8 2,103.3 2,127.5 2,146.7 2,209.4 2,214.5 2,224.0 2,242.9 2,267.4 2,277.3 2,266.1 2,348.2 2,354.0 2,360.3 2,385.6 2,401.9 2,474.7 2,474.8 2,452.6 2,492.1 2,508.1 2,510.4 2,574.8 2.7 2.8 3.1 4.1 5.8 3.7 3.7 4.3 3.6 4.9 16.8 27.1 27.4 24.2 23.7 24.1 35.6 41.8 63.3 102.8 129.8 148.0 159.0 180.6 188.5 188.0 179.9 167.8 143.8 126.1 141.9 194.4 198.1 183.3 179.9 192.8 192.8 191.9 192.2 191.7 190.3 185.0 184.4 183.3 182.9 182.7 181.0 181.0 183.0 186.0 188.1 189.3 186.8 182.6 180.8 179.9 182.2 181.8 179.9 1,024.0 1,176.6 1,360.2 1,564.3 1,676.0 1,802.9 1,892.8 2,092.8 2,390.7 2,677.5 2,904.9 3,091.6 3,260.4 3,418.4 3,439.6 3,331.0 3,233.0 2,992.8 2,930.7 3,199.8 3,218.7 3,261.2 3,119.3 3,092.4 3,070.7 3,046.1 3,056.5 2,992.8 2,993.9 3,036.7 2,966.9 2,977.3 2,989.3 3,017.9 2,877.9 2,855.4 2,855.7 2,852.9 2,928.8 2,930.7 2,921.3 2,991.4 2,983.0 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 Data through 2000 are interest-bearing securities. Beginning in 2001, data also include noninterest-bearing securities. Includes Federal Financing Bank securities, not shown separately, in the amount of $15 billion. Through 1996, series is U.S. savings bonds. Beginning January 1997, includes U.S. retirement plan bonds, U.S. individual retirement bonds, and U.S. savings notes previously included in "other" nonmarketable securities. 4 Nonmarketable certificates of indebtedness, notes, bonds, and bills in the Treasury foreign series of dollar-denominated and foreigncurrency denominated issues. 5 Includes depository bonds, retirement plan bonds, Rural Electrification Administration bonds, State and local bonds, and special issues held only by U.S. Government agencies and trust funds and the Federal home loan banks. See footnote 3. 6 Includes $5,610 million in certificates not shown separately. Note.—Through fiscal year 1976, the fiscal year was on a July 1-June 30 basis; beginning October 1976 (fiscal year 1977), the fiscal year is on an October 1-September 30 basis. Source: Department of the Treasury.

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