greenbooks ยท June 27, 2007
Greenbook/Tealbook
Prefatory Note
The attached document represents the most complete and accurate version available
based on original files from the FOMC Secretariat at the Board of Governors of the
Federal Reserve System.
Please note that some material may have been redacted from this document if that
material was received on a confidential basis. Redacted material is indicated by
occasional gaps in the text or by gray boxes around non-text content. All redacted
passages are exempt from disclosure under applicable provisions of the Freedom of
Information Act.
Content last modified 02/07/2013.
Class III FOMC โ Internal (FR)
June 22, 2007
CURRENT ECONOMIC
AND FINANCIAL CONDITIONS
Supplemental Notes
Prepared for the Federal Open Market Committee
by the staff of the Board of Governors of the Federal Reserve System
Contents
The Domestic Financial Economy ..............................................................
Tables
Commercial Bank Credit .................................................................1
Selected Financial Market Quotations .............................................2
1
Commercial Bank Credit
(Percent change, annual rate, except as noted; seasonally adjusted)
Type of credit
Total
Level,1
May 2007
2005
2006
Q4
2006
Q1
2007
Apr.
2007
May
2007
10.6
9.6
4.4
8.7
11.8
7.5
8,224
Loans2
Total
To businesses
Commercial and industrial
Commercial real estate
11.6
10.7
7.5
9.9
13.7
9.0
6,189
13.5
17.0
16.4
13.6
10.6
7.6
8.2
10.3
8.7
14.8
15.3
7.9
1,221
1,506
To households
Residential real estate
Revolving home equity
Other
Consumer
Originated3
Other4
11.9
13.3
11.4
3.0
.7
8.6
7.2
1.5
9.3
5.2
6.4
10.9
5.4
1.8
6.7
.2
4.8
14.2
9.5
3.5
11.5
7.6
8.1
14.8
14.9
-3.4
21.1
9.6
1.2
20.1
.1
.0
.0
5.5
.6
23.6
1,821
455
1,366
750
1,130
891
7.5
.0
13.5
6.3
3.0
12.8
-4.8
-10.1
7.5
4.8
-1.8
10.4
6.2
-23.3
45.9
3.2
-13.6
28.1
2,036
1,150
1,069
Securities
Total
Treasury and agency
Other5
Note. Yearly annual rates are Q4 to Q4; quarterly and monthly annual rates use corresponding average levels. Data
have been adjusted to remove the effects of mark-to-market accounting rules (FIN 39 and FAS 115), the consolidation of
certain variable interest entities (FIN 46), the adoption of fair value accounting (FAS 159), and the effects of sizable
thrift-to-bank and bank-to-thrift structure activity in October 2006 and March 2007 respectively. Data also account for
breaks caused by reclassifications.
1. Billions of dollars. Pro rata averages of weekly (Wednesday) levels.
2. Excludes interbank loans.
3. Includes an estimate of outstanding loans securitized by commercial banks.
4. Includes security loans and loans to farmers, state and local governments, and all others not elsewhere classified.
Also includes lease financing receivables.
5. Includes private mortgage-backed securities, securities of corporations, state and local governments, foreign
governments, and any trading account assets that are not Treasury or agency securities, including revaluation gains
on derivative contracts.
Delinquency Rates on Loans
Loan-Loss Provisioning
Percent, annual rate
Percent of average assets
7
1.4
Quarterly
Quarterly
Total loans
and leases
Q1
6
1.2
5
1.0
4
0.8
3
0.6
Q1
2
Residential
real estate
1
0.2
0
1991
1994
1997
2000
2003
0.4
0.0
2006
1991
Source. Call Report.
1994
1997
Source. Call Report.
-1-
2000
2003
2006
III-T-1
Selected Financial Market Quotations
(One-day quotes in percent except as noted)
2004
2006
Change to June 21 from
selected dates (percentage points)
2007
Instrument
June 28
June 29
May 8
June 21
2004
June 28
2006
June 29
2007
May 8
1.00
5.25
5.25
5.25
4.25
.00
.00
1.36
1.74
4.88
5.06
4.76
4.82
4.57
4.76
3.21
3.02
-.31
-.30
-.19
-.06
Commercial paper (A1/P1 rates)2
1-month
3-month
1.28
1.45
5.27
5.37
5.25
5.21
5.25
5.26
3.97
3.81
-.02
-.11
.00
.05
Large negotiable CDs1
3-month
6-month
1.53
1.82
5.47
5.59
5.31
5.31
5.33
5.36
3.80
3.54
-.14
-.23
.02
.05
Eurodollar deposits3
1-month
3-month
1.29
1.51
5.33
5.49
5.32
5.35
5.32
5.36
4.03
3.85
-.01
-.13
.00
.01
Bank prime rate
4.00
8.25
8.25
8.25
4.25
.00
.00
Intermediate- and long-term
U.S. Treasury4
2-year
5-year
10-year
2.88
3.97
4.90
5.26
5.15
5.28
4.71
4.51
4.70
5.01
5.04
5.24
2.13
1.07
.34
-.25
-.11
-.04
.30
.53
.54
U.S. Treasury indexed notes
5-year
10-year
1.56
2.25
2.49
2.61
2.12
2.28
2.70
2.74
1.14
.49
.21
.13
.58
.46
Municipal general obligations (Bond Buyer)5
5.01
4.71
4.25
4.63
-.38
-.08
.38
Private instruments
10-year swap
10-year FNMA6
10-year AA7
10-year BBB7
10-year high yield7
5.21
5.38
5.60
6.25
8.41
5.81
5.59
6.20
6.74
8.74
5.17
4.99
5.60
6.07
7.94
5.75
5.59
6.18
6.63
8.30
.54
.21
.58
.38
-.11
-.06
.00
-.02
-.11
-.44
.58
.60
.58
.56
.36
Home mortgages (FHLMC survey rate)
30-year fixed
1-year adjustable
6.21
4.19
6.78
5.82
6.15
5.48
6.69
5.66
.48
1.47
-.09
-.16
.54
.18
Short-term
FOMC intended federal funds rate
Treasury bills1
3-month
6-month
Record high
2006
Change to June 21
from selected dates (percent)
2007
Stock exchange index
Dow Jones Industrial
S&P 500 Composite
Nasdaq
Russell 2000
Wilshire 5000
Level
Date
June 29
May 8
June 21
Record
high
2006
June 29
2007
May 8
13,676
1,539
5,049
855
15,569
6-4-07
6-4-07
3-10-00
6-4-07
6-4-07
11,191
1,273
2,174
714
12,846
13,309
1,508
2,572
831
15,203
13,546
1,522
2,617
840
15,376
-.95
-1.10
-48.16
-1.79
-1.24
21.04
19.59
2.35
17.57
19.70
1.78
.96
1.76
1.07
1.14
1. Secondary market.
2. Financial commercial paper.
3. Bid rates for Eurodollar deposits collected around 9:30 a.m. eastern time.
4. Derived from a smoothed Treasury yield curve estimated using off-the-run securities.
5. Most recent Thursday quote.
6. Constant-maturity yields estimated from Fannie Mae domestic noncallable coupon securities.
7. Derived from smoothed corporate yield curves estimated using Merrill Lynch bond data.
_______________________________________________________________________
NOTES:
June 28, 2004, is the day before the most recent policy tightening began.
June 29, 2006, is the day the most recent policy tightening ended.
May 8, 2007, is the day before the most recent FOMC announcement.
_______________________________________________________________________
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Cite this document
APA
Federal Reserve (2007, June 27). Greenbook/Tealbook. Greenbooks, Federal Reserve. https://whenthefedspeaks.com/doc/greenbook_20070628_part2
BibTeX
@misc{wtfs_greenbook_20070628_part2,
author = {Federal Reserve},
title = {Greenbook/Tealbook},
year = {2007},
month = {Jun},
howpublished = {Greenbooks, Federal Reserve},
url = {https://whenthefedspeaks.com/doc/greenbook_20070628_part2},
note = {Retrieved via When the Fed Speaks corpus}
}