{name: STM0P086 pages: USER ID : DATE: 2005-07-11 TIME: 17.33.53 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: 06/05 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 -14,681 220,352 294,820 INTRAGOVERNMENTAL HOLDINGS 73,297 237,091 196,195 ;BTOTAL TREASURY SECURITIES OUTSTANDING 58,616 457,443 491,015 ;CPLUS PREMIUM ON TREASURY SECURITIES 39 411 -70 LESS DISCOUNT ON TREASURY SECURITIES -1,984 -449 -399 ;CTOTAL TREASURY SECURITIES NET OF PREMIUM AND DISCOUNT 60,638 458,304 491,344 ;CAGENCY SECURITIES, ISSUED UNDER SPECIAL FINANCING AUTHORITIES (SEE SCHEDULE B. FOR OTHER AGENCY BORROWING, SEE SCHEDULE C) -234 -445 -1,731 ;CTOTAL FEDERAL SECURITIES 60,404 457,858 489,613 ;CDEDUCT: FEDERAL SECURITIES HELD AS INVESTMENTS OF GOVERNMENT ACCOUNTS (SEE SCHEDULE D) 73,011 233,163 196,311 LESS DISCOUNT ON FEDERAL SECURITIES HELD AS INVESTMENTS OF GOVERNMENT ACCOUNTS (**) -762 3,012 ;BNET FEDERAL SECURITIES HELD AS INVESTMENTS OF GOVERNMENT ACCOUNTS 73,011 233,925 193,299 ;CTOTAL BORROWING FROM THE PUBLIC -12,607 223,933 296,314 ;CACCRUED INTEREST PAYABLE TO THE PUBLIC 8,544 3,304 1,441 ALLOCATIONS OF SPECIAL DRAWING RIGHTS -90 -61 178 DEPOSIT FUNDS -298 1,860 3,835 MISCELLANEOUS LIABILITY ACCOUNTS (INCLUDES CHECKS OUTSTANDING ETC.) -5,852 125 1,871 -}