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Deposit Insurance Fund Portfolio Summary

Last Updated: September 27, 2022

Deposit Insurance Fund Portfolio Summary - Second Quarter 2022

Deposit Insurance Fund Portfolio Summary
(Dollar values in Millions)
6/30/22 3/31/22 Change
Par Value $122,284 $119,708 $2,575
Amortized Cost $123,615 $121,849 $1,766
Total Market Value (including accrued interest) $122,016 $120,773 $1,243
Primary Reserve 1 $122,016 $120,773 $1,243
Primary Reserve % of Total Portfolio 100.0% 100.0% 0.0%
Yield-to-Maturity 0.821% 0.641% 0.180%
Weighted Average Maturity (in years) 1.03 1.11 -0.08
Effective Duration (in years)
Total Portfolio 1.00 1.09 -0.09
Available-for-Sale Securities2 1.06 1.14 -0.08

1Primary Reserve is the total market value (including accrued interest) of overnight investments, all available-for-sale securities, and held-to-maturity securities maturing within three months.

2Excludes any overnight investments.

Summary of Other Corporate Investment Portfolios
(Dollar values in Millions)
6/30/22 03/31/22 Change
FRF-FSLIC
Book Value 3 $883 $882 $1
Yield-to-Maturity 1.08% 0.13% 0.95%
Weighted Average Maturity overnight overnight no change

3Due to the current short-term nature of this portfolio, its respective Par, Book, and Market Values are identical for reporting purposes.

National Liquidation Fund (NLF) Investment Portfolio Sumary
(Dollar values in Millions)
  6/30/22 3/31/22 Change
Book Value 4 $1,293 $1,328 ($35)
Effective Annual Yield 1.48% 0.36% 1.11%
Weighted Average Maturity (in days) 58 22 36

4Due to the short-term nature of the NFL portfolio, its Book and Market Values are identical for reporting purposes.