{name: STM0P086 pages: USER ID : DATE: 2011-06-08 TIME: 19.28.55 PAGE 1(1) 1 FINANCIAL MANAGEMENT SERVICE STAR - TREASURY FINANCIAL DATABASE TABLE 6. MEANS OF FINANCING THE DEFICIT OR DISPOSITION OF SURPLUS BY THE U.S. GOVERNMENT (IN MILLIONS) ACCOUNTING DATE: 05/11 NET TRANS NET TRANS NET TRANS CLASSIFICATION THIS MONTH FYTD THIS YEAR FYTD PRIOR YEAR + _________________________________________________________________ _____________________ _____________________ _____________________ LIABILITY ACCOUNTS: BORROWING FROM THE PUBLIC: TREASURY SECURITIES, ISSUED UNDER GENERAL FINANCING AUTHORITIES: DEBT HELD BY THE PUBLIC 68,506 700,648 942,558 INTRAGOVERNMENTAL HOLDINGS -11,468 82,398 140,152 ;BTOTAL TREASURY SECURITIES OUTSTANDING 57,038 783,045 1,082,710 ;CPLUS PREMIUM ON TREASURY SECURITIES 112 2,560 1,304 LESS DISCOUNT ON TREASURY SECURITIES 189 1,756 3,073 ;CTOTAL TREASURY SECURITIES NET OF PREMIUM AND DISCOUNT 56,961 783,850 1,080,941 ;CAGENCY SECURITIES, ISSUED UNDER SPECIAL FINANCING AUTHORITIES (SEE SCHEDULE B. FOR OTHER AGENCY BORROWING, SEE SCHEDULE C) -2 655 636 ;CTOTAL FEDERAL SECURITIES 56,959 784,505 1,081,576 ;CDEDUCT: FEDERAL SECURITIES HELD AS INVESTMENTS OF GOVERNMENT ACCOUNTS (SEE SCHEDULE D) -11,279 82,637 138,401 LESS DISCOUNT ON FEDERAL SECURITIES HELD AS INVESTMENTS OF GOVERNMENT ACCOUNTS -95 -1,020 -148 ;BNET FEDERAL SECURITIES HELD AS INVESTMENTS OF GOVERNMENT ACCOUNTS -11,184 83,657 138,549 ;CTOTAL BORROWING FROM THE PUBLIC 68,143 700,849 943,027 ;CACCRUED INTEREST PAYABLE TO THE PUBLIC -19,504 -2,383 4,871 ALLOCATIONS OF SPECIAL DRAWING RIGHTS -713 1,574 -3,886 DEPOSIT FUNDS 56,812 60,528 4,079 MISCELLANEOUS LIABILITY ACCOUNTS (INCLUDES CHECKS OUTSTANDING ETC.) -5,764 5,278 8,494 -}