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> Monthly Report on Credit and Liquidity Programs, 2011
Monthly Report on Credit and Liquidity Programs
and the Balance Sheet
August 2011 (1.4 MB PDF)
Contents | Purpose |
Contents
- Purpose
- Abbreviations
- Overview
- Recent Developments
- System Open Market Account
- Domestic SOMA Portfolio
- Liquidity Arrangements with Foreign Central Banks
- Lending Facilities to Support Overall Market Liquidity
- Lending to Depository Institutions
- Term Asset-Backed Securities Loan Facility
- Lending in Support of Specific Institutions
- Quarterly Developments
- Bear Stearns and Maiden Lane LLC
- AIG, Maiden Lane II LLC, and Maiden Lane III LLC
- Federal Reserve Banks' Financial Tables
- Quarterly Developments
- Combined Statement of Income and Comprehensive Income
- SOMA Financial Summary
- Loan Programs Financial Summary
- Consolidated VIEs Financial Summary
- Appendix A
- Additional Information Provided Pursuant to Section 129 of the Emergency Economic Stabilization Act of 2008
- Appendix B
- Information about Closed and Expired Credit and Liquidity Facilities and Programs
- Appendix C
- Federal Reserve Disclosure Requirements and Other Provisions of the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010
Federal Reserve System Monthly Report on Credit and Liquidity Programs and the Balance Sheet, August 2011, Errata
On p. 11, Table 6, Lendable value of collateral pledged by borrowing depository institutions was printed incorrectly
and has been revised. (8/29/2013)
Last update:
August 29, 2013