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10-K Filing

Federal Home Loan Bank of New York CIK: 1329842 FY 2020
Filing Information
Form Type 10-K
Accession Number 0001104659-21-039199
Period End Date 20201231
Filing Date 20210319
Fiscal Year 2020
Fiscal Period FY
XBRL Instance fhlbny-20201231.xml
Balance Sheet 101 line items
Line Item Tag Value Unit Period
Cash and due from banks (Note 3) CashAndDueFromBanks $1.90B USD Point-in-time
Cash and due from banks (Note 3) CashAndDueFromBanks $603.24M USD Point-in-time
Interest-bearing deposits (Note 4) InterestBearingDepositsInBanks $685.00M USD Point-in-time
Securities purchased under agreements to resell (Note 4) SecuritiesPurchasedUnderAgreementsToResell $14.98B USD Point-in-time
Securities purchased under agreements to resell (Note 4) SecuritiesPurchasedUnderAgreementsToResell $4.65B USD Point-in-time
Federal funds sold (Note 4) FederalFundsSold $6.28B USD Point-in-time
Federal funds sold (Note 4) FederalFundsSold $8.64B USD Point-in-time
Trading securities (Note 5) (Includes $630,372 pledged as collateral at December 31, 2020 and $251,177 at December 31, 2019) TradingSecuritiesDebt $11.74B USD Point-in-time
Trading securities (Note 5) (Includes $630,372 pledged as collateral at December 31, 2020 and $251,177 at December 31, 2019) TradingSecuritiesDebt $15.32B USD Point-in-time
Equity Investments (Note 6) EquitySecuritiesFvNi $60.05M USD Point-in-time
Equity Investments (Note 6) EquitySecuritiesFvNi $80.37M USD Point-in-time
Trading securities pledged as collateral DebtSecuritiesTradingRestricted $630.37M USD Point-in-time
Trading securities pledged as collateral DebtSecuritiesTradingRestricted $251.18M USD Point-in-time
Available-for-sale securities, net of unrealized gains (losses) of $280,626 at December 31, 2020 and $97,868 at December 31, 2019 (Note 7) AvailableForSaleSecuritiesDebtSecurities $3.44B USD Point-in-time
Available-for-sale securities, net of unrealized gains (losses) of $280,626 at December 31, 2020 and $97,868 at December 31, 2019 (Note 7) AvailableForSaleSecuritiesDebtSecurities $2.65B USD Point-in-time
Held-to-maturity securities, net of allowance for credit losses of $980 at December 31, 2020 (Note 8) (Includes $2,680 pledged as collateral at December 31, 2020 and $3,719 at December 31, 2019) HeldToMaturitySecurities $15.23B USD Point-in-time
Held-to-maturity securities, net of allowance for credit losses of $980 at December 31, 2020 (Note 8) (Includes $2,680 pledged as collateral at December 31, 2020 and $3,719 at December 31, 2019) HeldToMaturitySecurities $12.87B USD Point-in-time
Available-for-sale securities, unrealized gains DebtSecuritiesAvailableForSaleAccumulatedGrossUnrealizedGainLossBeforeTax $97.87M USD Point-in-time
Available-for-sale securities, unrealized gains DebtSecuritiesAvailableForSaleAccumulatedGrossUnrealizedGainLossBeforeTax $280.63M USD Point-in-time
Advances (Note 9) (Includes $0 at December 31, 2020 and December 31, 2019 at fair value under the fair value option) FederalHomeLoanBankAdvances $100.70B USD Point-in-time
Held-to-maturity securities pledged as collateral HeldToMaturitySecuritiesRestricted $3.72M USD Point-in-time
Advances (Note 9) (Includes $0 at December 31, 2020 and December 31, 2019 at fair value under the fair value option) FederalHomeLoanBankAdvances $92.07B USD Point-in-time
Held-to-maturity securities pledged as collateral HeldToMaturitySecuritiesRestricted $2.68M USD Point-in-time
Advances (Note 9) (Includes $0 at December 31, 2020 and December 31, 2019 at fair value under the fair value option) FederalHomeLoanBankAdvances $136.20B USD Point-in-time
Held-to-maturity securities, allowance for credit losses DebtSecuritiesHeldToMaturityAllowanceForCreditLoss $980.00K USD Point-in-time
Mortgage loans held-for-portfolio, net of allowance for credit losses of $7,073 at December 31, 2020 and $653 at December 31, 2019 (Note 10) LoansAndLeasesReceivableNetReportedAmount $3.17B USD Point-in-time
Mortgage loans held-for-portfolio, net of allowance for credit losses of $7,073 at December 31, 2020 and $653 at December 31, 2019 (Note 10) LoansAndLeasesReceivableNetReportedAmount $2.90B USD Point-in-time
Accrued interest receivable InterestReceivable $189.45M USD Point-in-time
Accrued interest receivable InterestReceivable $312.56M USD Point-in-time
Premises, software, and equipment PropertyPlantAndEquipmentNet $63.43M USD Point-in-time
Advances, at fair value under the fair value option AdvancesFairValueDisclosure - USD Point-in-time
Advances, at fair value under the fair value option AdvancesFairValueDisclosure - USD Point-in-time
Premises, software, and equipment PropertyPlantAndEquipmentNet $77.63M USD Point-in-time
Operating lease right-of-use assets (Note 19) OperatingLeaseRightOfUseAsset $70.73M USD Point-in-time
Operating lease right-of-use assets (Note 19) OperatingLeaseRightOfUseAsset $75.46M USD Point-in-time
Mortgage loans held-for-portfolio, allowance for credit losses LoansAndLeasesReceivableAllowance $653.00K USD Point-in-time
Mortgage loans held-for-portfolio, allowance for credit losses LoansAndLeasesReceivableAllowance $7.07M USD Point-in-time
Derivative assets (Note 17) DerivativeAssets $36.67M USD Point-in-time
Derivative assets (Note 17) DerivativeAssets $237.95M USD Point-in-time
Capital stock, par value (in dollars per share) CommonStockParOrStatedValuePerShare $100.00 USD Point-in-time
Other assets OtherAssets $11.00M USD Point-in-time
Capital stock, par value (in dollars per share) CommonStockParOrStatedValuePerShare $100.00 USD Point-in-time
Other assets OtherAssets $9.04M USD Point-in-time
Total assets Assets $137.00B USD Point-in-time
Capital stock, putable (in shares) CommonStockSharesPutable 53.67M shares Point-in-time
Total assets Assets $162.06B USD Point-in-time
Capital stock, putable (in shares) CommonStockSharesPutable 57.79M shares Point-in-time
Capital stock, issued (in shares) CommonStockSharesIssued 57.79M shares Point-in-time
Capital stock, issued (in shares) CommonStockSharesIssued 53.67M shares Point-in-time
Capital stock, outstanding (in shares) CommonStockSharesOutstanding 57.79M shares Point-in-time
Capital stock, outstanding (in shares) CommonStockSharesOutstanding 53.67M shares Point-in-time
Interest-bearing demand InterestBearingDomesticDepositDemand $1.14B USD Point-in-time
Interest-bearing demand InterestBearingDomesticDepositDemand $1.68B USD Point-in-time
Non-interest-bearing demand NoninterestBearingDomesticDepositDemand $70.44M USD Point-in-time
Non-interest-bearing demand NoninterestBearingDomesticDepositDemand $34.89M USD Point-in-time
Term InterestBearingDomesticDepositTimeDeposits $15.00M USD Point-in-time
Term InterestBearingDomesticDepositTimeDeposits $5.00M USD Point-in-time
Total deposits DepositsDomestic $1.75B USD Point-in-time
Total deposits DepositsDomestic $1.19B USD Point-in-time
Bonds (Includes $16,580,464 at December 31, 2020 and $12,134,043 at December 31, 2019 at fair value under the fair value option) FederalHomeLoanBankConsolidatedObligationsBonds $78.76B USD Point-in-time
Bonds (Includes $16,580,464 at December 31, 2020 and $12,134,043 at December 31, 2019 at fair value under the fair value option) FederalHomeLoanBankConsolidatedObligationsBonds $69.72B USD Point-in-time
Discount notes (Includes $7,133,755 at December 31, 2020 and $2,186,603 at December 31, 2019 at fair value under the fair value option) FederalHomeLoanBankConsolidatedObligationsDiscountNotes $73.96B USD Point-in-time
Discount notes (Includes $7,133,755 at December 31, 2020 and $2,186,603 at December 31, 2019 at fair value under the fair value option) FederalHomeLoanBankConsolidatedObligationsDiscountNotes $57.66B USD Point-in-time
Total consolidated obligations FederalHomeLoanBankConsolidatedObligations $152.72B USD Point-in-time
Total consolidated obligations FederalHomeLoanBankConsolidatedObligations $127.38B USD Point-in-time
Mandatorily redeemable capital stock (Note 14) SharesSubjectToMandatoryRedemptionSettlementTermsAmount $5.13M USD Point-in-time
Mandatorily redeemable capital stock (Note 14) SharesSubjectToMandatoryRedemptionSettlementTermsAmount $19.95M USD Point-in-time
Mandatorily redeemable capital stock (Note 14) SharesSubjectToMandatoryRedemptionSettlementTermsAmount $2.99M USD Point-in-time
Mandatorily redeemable capital stock (Note 14) SharesSubjectToMandatoryRedemptionSettlementTermsAmount $5.84M USD Point-in-time
Accrued interest payable InterestPayableCurrentAndNoncurrent $117.98M USD Point-in-time
Accrued interest payable InterestPayableCurrentAndNoncurrent $156.89M USD Point-in-time
Affordable Housing Program (Note 13) AffordableHousingProgramObligation $131.65M USD Point-in-time
Affordable Housing Program (Note 13) AffordableHousingProgramObligation $153.89M USD Point-in-time
Affordable Housing Program (Note 13) AffordableHousingProgramObligation $148.83M USD Point-in-time
Affordable Housing Program (Note 13) AffordableHousingProgramObligation $161.72M USD Point-in-time
Derivative liabilities (Note 17) DerivativeLiabilities $32.41M USD Point-in-time
Derivative liabilities (Note 17) DerivativeLiabilities $70.76M USD Point-in-time
Other liabilities OtherLiabilities $175.52M USD Point-in-time
Other liabilities OtherLiabilities $186.55M USD Point-in-time
Operating lease liabilities (Note 19) OperatingLeaseLiability $84.47M USD Point-in-time
Operating lease liabilities (Note 19) OperatingLeaseLiability $89.36M USD Point-in-time
Total liabilities Liabilities $154.53B USD Point-in-time
Total liabilities Liabilities $129.74B USD Point-in-time
Commitments and Contingencies (Notes 14, 17 and 19) CommitmentsAndContingencies - USD Point-in-time
Commitments and Contingencies (Notes 14, 17 and 19) CommitmentsAndContingencies - USD Point-in-time
Capital stock ($100 par value), putable, issued and outstanding shares: 53,669 at December 31, 2020 and 57,787 at December 31, 2019 CommonStockOtherValueOutstanding $5.37B USD Point-in-time
Capital stock ($100 par value), putable, issued and outstanding shares: 53,669 at December 31, 2020 and 57,787 at December 31, 2019 CommonStockOtherValueOutstanding $5.78B USD Point-in-time
Unrestricted RetainedEarningsUnappropriated $1.12B USD Point-in-time
Unrestricted RetainedEarningsUnappropriated $1.14B USD Point-in-time
Restricted (Note 14) RetainedEarningsAppropriated $774.27M USD Point-in-time
Restricted (Note 14) RetainedEarningsAppropriated $685.80M USD Point-in-time
Total retained earnings RetainedEarningsAccumulatedDeficit $1.80B USD Point-in-time
Total retained earnings RetainedEarningsAccumulatedDeficit $1.91B USD Point-in-time
Total accumulated other comprehensive income (loss) AccumulatedOtherComprehensiveIncomeLossBeforeFederalHomeLoanBankAssessments $-19.75M USD Point-in-time
Total accumulated other comprehensive income (loss) AccumulatedOtherComprehensiveIncomeLossBeforeFederalHomeLoanBankAssessments $-47.80M USD Point-in-time
Total capital StockholdersEquity $7.53B USD Point-in-time
Total capital StockholdersEquity $7.26B USD Point-in-time
Total capital StockholdersEquity $7.75B USD Point-in-time
Total capital StockholdersEquity $8.24B USD Point-in-time
Total liabilities and capital LiabilitiesAndStockholdersEquity $137.00B USD Point-in-time
Total liabilities and capital LiabilitiesAndStockholdersEquity $162.06B USD Point-in-time
Income Statement 106 line items
Line Item Tag Value Unit Period
Advances, net (Note 9) InterestIncomeFederalHomeLoanBankAdvances $2.52B USD Annual
Advances, net (Note 9) InterestIncomeFederalHomeLoanBankAdvances $1.17B USD Annual
Advances, net (Note 9) InterestIncomeFederalHomeLoanBankAdvances $2.53B USD Annual
Interest-bearing deposits (Note 4) InterestIncomeDepositsWithFinancialInstitutions $3.62M USD Annual
Interest-bearing deposits (Note 4) InterestIncomeDepositsWithFinancialInstitutions $420.00K USD Annual
Interest-bearing deposits (Note 4) InterestIncomeDepositsWithFinancialInstitutions $4.56M USD Annual
Securities purchased under agreements to resell (Note 4) InterestIncomeSecuritiesPurchasedUnderAgreementsToResell $28.57M USD Annual
Securities purchased under agreements to resell (Note 4) InterestIncomeSecuritiesPurchasedUnderAgreementsToResell $78.34M USD Annual
Securities purchased under agreements to resell (Note 4) InterestIncomeSecuritiesPurchasedUnderAgreementsToResell $178.56M USD Annual
Federal funds sold (Note 4) InterestIncomeFederalFundsSold $34.79M USD Annual
Federal funds sold (Note 4) InterestIncomeFederalFundsSold $228.39M USD Annual
Federal funds sold (Note 4) InterestIncomeFederalFundsSold $312.28M USD Annual
Trading securities (Note 5) InterestIncomeDebtSecuritiesTradingOperating $74.41M USD Annual
Trading securities (Note 5) InterestIncomeDebtSecuritiesTradingOperating $215.58M USD Annual
Trading securities (Note 5) InterestIncomeDebtSecuritiesTradingOperating $221.78M USD Annual
Available-for-sale securities (Note 7) InterestIncomeDebtSecuritiesAvailableForSaleOperating $61.58M USD Annual
Available-for-sale securities (Note 7) InterestIncomeDebtSecuritiesAvailableForSaleOperating $68.05M USD Annual
Available-for-sale securities (Note 7) InterestIncomeDebtSecuritiesAvailableForSaleOperating $12.16M USD Annual
Held-to-maturity securities (Note 8) InterestAndDividendIncomeSecuritiesHeldToMaturity $324.78M USD Annual
Held-to-maturity securities (Note 8) InterestAndDividendIncomeSecuritiesHeldToMaturity $457.75M USD Annual
Held-to-maturity securities (Note 8) InterestAndDividendIncomeSecuritiesHeldToMaturity $489.22M USD Annual
Mortgage loans held-for-portfolio (Note 10) InterestAndFeeIncomeLoansConsumerRealEstate $101.22M USD Annual
Mortgage loans held-for-portfolio (Note 10) InterestAndFeeIncomeLoansConsumerRealEstate $97.48M USD Annual
Mortgage loans held-for-portfolio (Note 10) InterestAndFeeIncomeLoansConsumerRealEstate $91.96M USD Annual
Loans to other FHLBanks (Note 20) InterestIncomeLoansToOtherFederalHomeLoanBanks $33.00K USD Annual
Loans to other FHLBanks (Note 20) InterestIncomeLoansToOtherFederalHomeLoanBanks $165.00K USD Annual
Loans to other FHLBanks (Note 20) InterestIncomeLoansToOtherFederalHomeLoanBanks $130.00K USD Annual
Total interest income InterestAndDividendIncomeOperating $3.78B USD Annual
Total interest income InterestAndDividendIncomeOperating $1.93B USD Annual
Total interest income InterestAndDividendIncomeOperating $3.59B USD Annual
Consolidated obligation bonds (Note 12) InterestExpenseOtherLongTermDebt $747.91M USD Annual
Consolidated obligation bonds (Note 12) InterestExpenseOtherLongTermDebt $1.81B USD Annual
Consolidated obligation bonds (Note 12) InterestExpenseOtherLongTermDebt $1.80B USD Annual
Consolidated obligation discount notes (Note 12) InterestExpenseOtherShortTermBorrowings $428.86M USD Annual
Consolidated obligation discount notes (Note 12) InterestExpenseOtherShortTermBorrowings $1.29B USD Annual
Consolidated obligation discount notes (Note 12) InterestExpenseOtherShortTermBorrowings $960.83M USD Annual
Deposits (Note 11) InterestExpenseDomesticDeposits $3.77M USD Annual
Deposits (Note 11) InterestExpenseDomesticDeposits $22.84M USD Annual
Deposits (Note 11) InterestExpenseDomesticDeposits $17.82M USD Annual
Mandatorily redeemable capital stock (Note 14) InterestExpenseCapitalSecurities $379.00K USD Annual
Mandatorily redeemable capital stock (Note 14) InterestExpenseCapitalSecurities $964.00K USD Annual
Mandatorily redeemable capital stock (Note 14) InterestExpenseCapitalSecurities $235.00K USD Annual
Cash collateral held and other borrowings InterestExpenseOther $128.00K USD Annual
Cash collateral held and other borrowings InterestExpenseOther $895.00K USD Annual
Cash collateral held and other borrowings InterestExpenseOther $1.61M USD Annual
Total interest expense InterestExpense $2.79B USD Annual
Total interest expense InterestExpense $1.18B USD Annual
Total interest expense InterestExpense $3.11B USD Annual
Net interest income before provision for credit losses InterestIncomeExpenseNet $752.96M USD Annual
Net interest income before provision for credit losses InterestIncomeExpenseNet $667.09M USD Annual
Net interest income before provision for credit losses InterestIncomeExpenseNet $797.02M USD Annual
Provision (Reversal) for credit losses ProvisionForLoanLossesExpensed $-371.00K USD Annual
Provision (Reversal) for credit losses ProvisionForLoanLossesExpensed $-142.00K USD Annual
Provision (Reversal) for credit losses ProvisionForLoanLossesExpensed $3.72M USD Annual
Net interest income after provision for credit losses InterestIncomeExpenseAfterProvisionForLoanLoss $797.40M USD Annual
Net interest income after provision for credit losses InterestIncomeExpenseAfterProvisionForLoanLoss $749.24M USD Annual
Net interest income after provision for credit losses InterestIncomeExpenseAfterProvisionForLoanLoss $667.23M USD Annual
Service fees and other FeesAndCommissionsCorrespondentClearingAndNoninterestIncomeOtherOperatingIncomeExpenseNet $18.44M USD Annual
Service fees and other FeesAndCommissionsCorrespondentClearingAndNoninterestIncomeOtherOperatingIncomeExpenseNet $17.92M USD Annual
Service fees and other FeesAndCommissionsCorrespondentClearingAndNoninterestIncomeOtherOperatingIncomeExpenseNet $18.22M USD Annual
Instruments held under the fair value option gains (losses) (Note 18) FairValueOptionChangesInFairValueGainLoss1 $-4.15M USD Annual
Instruments held under the fair value option gains (losses) (Note 18) FairValueOptionChangesInFairValueGainLoss1 $123.00K USD Annual
Instruments held under the fair value option gains (losses) (Note 18) FairValueOptionChangesInFairValueGainLoss1 $209.00K USD Annual
Total OTTI losses OtherThanTemporaryImpairmentLossesInvestmentsHeldtomaturitySecurities $398.00K USD Annual
Net amount of impairment losses reclassified to (from) Accumulated other comprehensive income (loss) OtherComprehensiveLossHeldToMaturitySecurityOttiBeforeTaxAfterReclassificationAdjustmentFromAociForNoncreditPortionOfOttiAttributableToParent $-640.00K USD Annual
Net amount of impairment losses reclassified to (from) Accumulated other comprehensive income (loss) OtherComprehensiveLossHeldToMaturitySecurityOttiBeforeTaxAfterReclassificationAdjustmentFromAociForNoncreditPortionOfOttiAttributableToParent $257.00K USD Annual
Derivative gains (losses) (Note 17) GainLossOnDerivativeInstrumentsNetPretax $-151.71M USD Annual
Derivative gains (losses) (Note 17) GainLossOnDerivativeInstrumentsNetPretax $-40.78M USD Annual
Derivative gains (losses) (Note 17) GainLossOnDerivativeInstrumentsNetPretax $-40.72M USD Annual
Trading securities gains (losses) (Note 5) DebtSecuritiesGainLoss $72.83M USD Annual
Trading securities gains (losses) (Note 5) DebtSecuritiesGainLoss $3.22M USD Annual
Trading securities gains (losses) (Note 5) DebtSecuritiesGainLoss $51.33M USD Annual
Equity investments gains (losses) (Note 6) EquitySecuritiesFvNiGainLoss $-4.82M USD Annual
Equity investments gains (losses) (Note 6) EquitySecuritiesFvNiGainLoss $9.79M USD Annual
Equity investments gains (losses) (Note 6) EquitySecuritiesFvNiGainLoss $9.84M USD Annual
Litigation settlement LossContingencyAccrualProvision $-225.00K USD Annual
Total other income (loss) NoninterestIncome $-50.82M USD Annual
Total other income (loss) NoninterestIncome $33.89M USD Annual
Total other income (loss) NoninterestIncome $-23.87M USD Annual
Operating OtherCostAndExpenseOperating $69.81M USD Annual
Operating OtherCostAndExpenseOperating $62.78M USD Annual
Operating OtherCostAndExpenseOperating $47.88M USD Annual
Compensation and benefits LaborAndRelatedExpense $78.95M USD Annual
Compensation and benefits LaborAndRelatedExpense $100.20M USD Annual
Compensation and benefits LaborAndRelatedExpense $88.19M USD Annual
Finance Agency and Office of Finance RegulatorExpensesCostAssessedOnFederalHomeLoanBankOfficeOfFinanceAssessmentsCostAssessedOnFederalHomeLoanBank $16.75M USD Annual
Finance Agency and Office of Finance RegulatorExpensesCostAssessedOnFederalHomeLoanBankOfficeOfFinanceAssessmentsCostAssessedOnFederalHomeLoanBank $15.87M USD Annual
Finance Agency and Office of Finance RegulatorExpensesCostAssessedOnFederalHomeLoanBankOfficeOfFinanceAssessmentsCostAssessedOnFederalHomeLoanBank $19.39M USD Annual
Other expenses OtherExpenses $8.25M USD Annual
Other expenses OtherExpenses $7.96M USD Annual
Other expenses OtherExpenses $17.45M USD Annual
Total other expenses NoninterestExpense $206.85M USD Annual
Total other expenses NoninterestExpense $150.66M USD Annual
Total other expenses NoninterestExpense $175.98M USD Annual
Income before assessments IncomeLossFromContinuingOperationsBeforeIncomeTaxesExtraordinaryItemsNoncontrollingInterest $525.14M USD Annual
Income before assessments IncomeLossFromContinuingOperationsBeforeIncomeTaxesExtraordinaryItemsNoncontrollingInterest $491.56M USD Annual
Income before assessments IncomeLossFromContinuingOperationsBeforeIncomeTaxesExtraordinaryItemsNoncontrollingInterest $622.86M USD Annual
Affordable Housing Program Assessments (Note 13) AffordableHousingProgramAssessments $49.18M USD Annual
Affordable Housing Program Assessments (Note 13) AffordableHousingProgramAssessments $62.38M USD Annual
Affordable Housing Program Assessments (Note 13) AffordableHousingProgramAssessments $52.55M USD Annual
Net income NetIncomeLossAttributableToParentNetOfFederalHomeLoanBankAssessments $442.38M USD Annual
Net income NetIncomeLossAttributableToParentNetOfFederalHomeLoanBankAssessments $472.59M USD Annual
Net income NetIncomeLossAttributableToParentNetOfFederalHomeLoanBankAssessments $560.48M USD Annual
Basic earnings per share (Note 15) (in dollars per share) EarningsPerShareBasic $9.09 USD Annual
Basic earnings per share (Note 15) (in dollars per share) EarningsPerShareBasic $7.22 USD Annual
Basic earnings per share (Note 15) (in dollars per share) EarningsPerShareBasic $8.52 USD Annual
Cash Flow Statement 183 line items
Line Item Tag Value Unit Period
Net Income ProfitLoss $472.59M USD Annual
Net Income ProfitLoss $442.38M USD Annual
Net Income ProfitLoss $560.48M USD Annual
Net premiums and discounts on consolidated obligations, investments, mortgage loans and other adjustments (a) AmortizationOfDiscountAndPremium $-238.74M USD Annual
Net premiums and discounts on consolidated obligations, investments, mortgage loans and other adjustments (a) AmortizationOfDiscountAndPremium $87.63M USD Annual
Net premiums and discounts on consolidated obligations, investments, mortgage loans and other adjustments (a) AmortizationOfDiscountAndPremium $-88.74M USD Annual
Concessions on consolidated obligations AmortizationOfFinancingCosts $3.22M USD Annual
Concessions on consolidated obligations AmortizationOfFinancingCosts $2.59M USD Annual
Concessions on consolidated obligations AmortizationOfFinancingCosts $4.40M USD Annual
Premises, software, and equipment Depreciation $8.77M USD Annual
Premises, software, and equipment Depreciation $10.67M USD Annual
Premises, software, and equipment Depreciation $5.49M USD Annual
Provision (Reversal) for credit losses ProvisionForLoanLossesExpensed $-371.00K USD Annual
Provision (Reversal) for credit losses ProvisionForLoanLossesExpensed $-142.00K USD Annual
Provision (Reversal) for credit losses ProvisionForLoanLossesExpensed $3.72M USD Annual
Credit impairment losses on held-to-maturity securities OtherThanTemporaryImpairmentLossesInvestmentsPortionRecognizedInEarningsNetHeldtomaturitySecurities $640.00K USD Annual
Credit impairment losses on held-to-maturity securities OtherThanTemporaryImpairmentLossesInvestmentsPortionRecognizedInEarningsNetHeldtomaturitySecurities $141.00K USD Annual
Change in net fair value adjustments on derivatives and hedging activities (b) UnrealizedGainLossOnDerivatives $-33.84M USD Annual
Change in net fair value adjustments on derivatives and hedging activities (b) UnrealizedGainLossOnDerivatives $488.37M USD Annual
Change in net fair value adjustments on derivatives and hedging activities (b) UnrealizedGainLossOnDerivatives $249.54M USD Annual
Net realized and unrealized (gains) losses on trading securities DebtSecuritiesGainLoss $72.83M USD Annual
Net realized and unrealized (gains) losses on trading securities DebtSecuritiesGainLoss $3.22M USD Annual
Net realized and unrealized (gains) losses on trading securities DebtSecuritiesGainLoss $51.33M USD Annual
Change in fair value on Equity Investments EquitySecuritiesFvNiUnrealizedGainLoss $7.87M USD Annual
Change in fair value on Equity Investments EquitySecuritiesFvNiUnrealizedGainLoss $-4.82M USD Annual
Change in fair value on Equity Investments EquitySecuritiesFvNiUnrealizedGainLoss $6.48M USD Annual
Change in fair value adjustments on financial instruments held at fair value IncreaseDecreaseInFairValueAdjustmentsOnAssetsAndLiabilitiesCarriedAtFairValueUnderFairValueOption $209.00K USD Annual
Change in fair value adjustments on financial instruments held at fair value IncreaseDecreaseInFairValueAdjustmentsOnAssetsAndLiabilitiesCarriedAtFairValueUnderFairValueOption $-4.15M USD Annual
Change in fair value adjustments on financial instruments held at fair value IncreaseDecreaseInFairValueAdjustmentsOnAssetsAndLiabilitiesCarriedAtFairValueUnderFairValueOption $123.00K USD Annual
Transfer of amortized cost of MBS from HTM to AFS portfolio TransferOfAmortizedCostOfMortgagedBackedSecuritiesFromHeldToMaturityToAvailableForSale $1.60B USD Point-in-time
Accrued interest receivable IncreaseDecreaseInAccruedInterestReceivableNet $49.85M USD Annual
Accrued interest receivable IncreaseDecreaseInAccruedInterestReceivableNet $38.01M USD Annual
Accrued interest receivable IncreaseDecreaseInAccruedInterestReceivableNet $-123.35M USD Annual
Derivative assets due to accrued interest IncreaseDecreaseInDerivativeAssetsDueToAccruedInterest $150.87M USD Annual
Derivative assets due to accrued interest IncreaseDecreaseInDerivativeAssetsDueToAccruedInterest $223.00K USD Annual
Derivative assets due to accrued interest IncreaseDecreaseInDerivativeAssetsDueToAccruedInterest $-247.47M USD Annual
Derivative liabilities due to accrued interest IncreaseDecreaseInDerivativeLiabilitiesDueToAccruedInterest $12.44M USD Annual
Derivative liabilities due to accrued interest IncreaseDecreaseInDerivativeLiabilitiesDueToAccruedInterest $93.48M USD Annual
Derivative liabilities due to accrued interest IncreaseDecreaseInDerivativeLiabilitiesDueToAccruedInterest $-99.65M USD Annual
Other assets IncreaseDecreaseInOtherOperatingAssets $1.43M USD Annual
Other assets IncreaseDecreaseInOtherOperatingAssets $2.23M USD Annual
Other assets IncreaseDecreaseInOtherOperatingAssets $883.00K USD Annual
Affordable Housing Program liability IncreaseDecreaseInAffordableHousingProgramLiability $-7.82M USD Annual
Affordable Housing Program liability IncreaseDecreaseInAffordableHousingProgramLiability $-5.07M USD Annual
Affordable Housing Program liability IncreaseDecreaseInAffordableHousingProgramLiability $30.06M USD Annual
Accrued interest payable IncreaseDecreaseInInterestPayableNet $61.39M USD Annual
Accrued interest payable IncreaseDecreaseInInterestPayableNet $-38.91M USD Annual
Accrued interest payable IncreaseDecreaseInInterestPayableNet $-66.68M USD Annual
Other liabilities (a) IncreaseDecreaseInOtherOperatingLiabilities $7.83M USD Annual
Other liabilities (a) IncreaseDecreaseInOtherOperatingLiabilities $24.06M USD Annual
Other liabilities (a) IncreaseDecreaseInOtherOperatingLiabilities $23.23M USD Annual
Total adjustments AdjustmentsToReconcileNetIncomeLossToCashProvidedByUsedInOperatingActivities $-539.55M USD Annual
Total adjustments AdjustmentsToReconcileNetIncomeLossToCashProvidedByUsedInOperatingActivities $121.33M USD Annual
Total adjustments AdjustmentsToReconcileNetIncomeLossToCashProvidedByUsedInOperatingActivities $-457.96M USD Annual
Net cash provided by (used in) operating activities NetCashProvidedByUsedInOperatingActivities $14.63M USD Annual
Net cash provided by (used in) operating activities NetCashProvidedByUsedInOperatingActivities $681.81M USD Annual
Net cash provided by (used in) operating activities NetCashProvidedByUsedInOperatingActivities $-97.16M USD Annual
Interest-bearing deposits ProceedsFromPaymentsForInInterestBearingDepositsInBanks $-53.44M USD Annual
Interest-bearing deposits ProceedsFromPaymentsForInInterestBearingDepositsInBanks $-1.10B USD Annual
Interest-bearing deposits ProceedsFromPaymentsForInInterestBearingDepositsInBanks $-278.15M USD Annual
Securities purchased under agreements to resell ProceedsFromPaymentsForSecuritiesPurchasedUnderAgreementsToResell $-1.40B USD Annual
Securities purchased under agreements to resell ProceedsFromPaymentsForSecuritiesPurchasedUnderAgreementsToResell $10.34B USD Annual
Securities purchased under agreements to resell ProceedsFromPaymentsForSecuritiesPurchasedUnderAgreementsToResell $-10.89B USD Annual
Federal funds sold IncreaseDecreaseInFederalFundsSold $2.69B USD Annual
Federal funds sold IncreaseDecreaseInFederalFundsSold $-1.00B USD Annual
Federal funds sold IncreaseDecreaseInFederalFundsSold $2.36B USD Annual
Deposits with other FHLBanks IncreaseDecreaseInDepositsWithOtherFederalHomeLoanBanks $-255.00K USD Annual
Deposits with other FHLBanks IncreaseDecreaseInDepositsWithOtherFederalHomeLoanBanks $-46.00K USD Annual
Deposits with other FHLBanks IncreaseDecreaseInDepositsWithOtherFederalHomeLoanBanks $6.00K USD Annual
Premises, software, and equipment PaymentsForProceedsFromProductiveAssets $27.37M USD Annual
Premises, software, and equipment PaymentsForProceedsFromProductiveAssets $24.87M USD Annual
Premises, software, and equipment PaymentsForProceedsFromProductiveAssets $20.63M USD Annual
Purchased PaymentsToAcquireTradingSecuritiesHeldforinvestment $5.55B USD Annual
Purchased PaymentsToAcquireTradingSecuritiesHeldforinvestment $13.26B USD Annual
Purchased PaymentsToAcquireTradingSecuritiesHeldforinvestment $3.83B USD Annual
Repayments ProceedsFromMaturitiesRepaymentsAndCallsOfTradingSecuritiesHeldforinvestment $3.15B USD Annual
Repayments ProceedsFromMaturitiesRepaymentsAndCallsOfTradingSecuritiesHeldforinvestment $1.22B USD Annual
Repayments ProceedsFromMaturitiesRepaymentsAndCallsOfTradingSecuritiesHeldforinvestment $2.49B USD Annual
Proceeds from sales ProceedsFromSaleOfTradingSecuritiesHeldforinvestment $4.29B USD Annual
Proceeds from sales ProceedsFromSaleOfTradingSecuritiesHeldforinvestment $1.20B USD Annual
Proceeds from sales ProceedsFromSaleOfTradingSecuritiesHeldforinvestment $349.38M USD Annual
Purchased PaymentsToAcquireMarketableSecurities $16.38M USD Annual
Purchased PaymentsToAcquireMarketableSecurities $3.85M USD Annual
Purchased PaymentsToAcquireMarketableSecurities $6.05M USD Annual
Proceeds from sales ProceedsFromSaleAndMaturityOfMarketableSecurities $1.82M USD Annual
Proceeds from sales ProceedsFromSaleAndMaturityOfMarketableSecurities $2.54M USD Annual
Proceeds from sales ProceedsFromSaleAndMaturityOfMarketableSecurities $2.05M USD Annual
Purchased PaymentsToAcquireAvailableForSaleSecuritiesDebt $621.87M USD Annual
Purchased PaymentsToAcquireAvailableForSaleSecuritiesDebt $674.52M USD Annual
Repayments ProceedsFromMaturitiesPrepaymentsAndCallsOfAvailableForSaleSecurities $105.55M USD Annual
Repayments ProceedsFromMaturitiesPrepaymentsAndCallsOfAvailableForSaleSecurities $76.50M USD Annual
Repayments ProceedsFromMaturitiesPrepaymentsAndCallsOfAvailableForSaleSecurities $67.92M USD Annual
Purchased PaymentsToAcquireHeldToMaturitySecurities $301.05M USD Annual
Purchased PaymentsToAcquireHeldToMaturitySecurities $3.52B USD Annual
Purchased PaymentsToAcquireHeldToMaturitySecurities $2.38B USD Annual
Repayments ProceedsFromSaleAndMaturityOfHeldToMaturitySecurities $3.86B USD Annual
Repayments ProceedsFromSaleAndMaturityOfHeldToMaturitySecurities $2.65B USD Annual
Repayments ProceedsFromSaleAndMaturityOfHeldToMaturitySecurities $3.02B USD Annual
Principal collected ProceedsFromFederalHomeLoanBankAdvances $538.45B USD Annual
Principal collected ProceedsFromFederalHomeLoanBankAdvances $1,107.75B USD Annual
Principal collected ProceedsFromFederalHomeLoanBankAdvances $1,125.99B USD Annual
Made PaymentsForFederalHomeLoanBankAdvances $1,120.95B USD Annual
Made PaymentsForFederalHomeLoanBankAdvances $1,090.48B USD Annual
Made PaymentsForFederalHomeLoanBankAdvances $528.80B USD Annual
Principal collected ProceedsFromPrincipalRepaymentsOnLoansAndLeasesHeldForInvestment $785.10M USD Annual
Principal collected ProceedsFromPrincipalRepaymentsOnLoansAndLeasesHeldForInvestment $313.81M USD Annual
Principal collected ProceedsFromPrincipalRepaymentsOnLoansAndLeasesHeldForInvestment $264.64M USD Annual
Purchased PaymentsToAcquireLoansHeldForInvestment $529.96M USD Annual
Purchased PaymentsToAcquireLoansHeldForInvestment $301.69M USD Annual
Purchased PaymentsToAcquireLoansHeldForInvestment $566.42M USD Annual
Proceeds from sales of REO ProceedsFromSaleOfForeclosedAssets $2.80M USD Annual
Proceeds from sales of REO ProceedsFromSaleOfForeclosedAssets $712.00K USD Annual
Proceeds from sales of REO ProceedsFromSaleOfForeclosedAssets $2.67M USD Annual
Net change in loans to other FHLBanks IncreaseDecreaseInLoansToFederalHomeLoanBanks $-250.00M USD Annual
Net change in loans to other FHLBanks IncreaseDecreaseInLoansToFederalHomeLoanBanks $250.00M USD Annual
Net cash provided by (used in) investing activities NetCashProvidedByUsedInInvestingActivities $14.66B USD Annual
Net cash provided by (used in) investing activities NetCashProvidedByUsedInInvestingActivities $-16.64B USD Annual
Net cash provided by (used in) investing activities NetCashProvidedByUsedInInvestingActivities $26.81B USD Annual
Deposits and other borrowings IncreaseDecreaseInDepositsAndOtherBorrowings $62.20M USD Annual
Deposits and other borrowings IncreaseDecreaseInDepositsAndOtherBorrowings $-123.36M USD Annual
Deposits and other borrowings IncreaseDecreaseInDepositsAndOtherBorrowings $627.68M USD Annual
Partial recovery of prior capital distribution to Financing Corporation ProceedsFromShareOfCashDistributionOnDissolutionOfCapitalInvestment $18.20M USD Annual
Derivative contracts with financing element PaymentsForProceedsFromHedgeFinancingActivities $16.54M USD Annual
Derivative contracts with financing element PaymentsForProceedsFromHedgeFinancingActivities $5.95M USD Annual
Derivative contracts with financing element PaymentsForProceedsFromHedgeFinancingActivities $8.46M USD Annual
Proceeds from issuance ProceedsFromIssuanceOfOtherLongTermDebt $111.13B USD Annual
Proceeds from issuance ProceedsFromIssuanceOfOtherLongTermDebt $99.47B USD Annual
Proceeds from issuance ProceedsFromIssuanceOfOtherLongTermDebt $69.67B USD Annual
Payments for maturing and early retirement RepaymentsOfOtherLongTermDebt $126.22B USD Annual
Payments for maturing and early retirement RepaymentsOfOtherLongTermDebt $105.04B USD Annual
Payments for maturing and early retirement RepaymentsOfOtherLongTermDebt $79.76B USD Annual
Payments on bonds (transferred to) or assumed from other FHLBanks (c) ProceedsFromPaymentsForBondsTransferredFromToOtherFederalHomeLoanBanks $1.01B USD Annual
Proceeds from issuance ProceedsFromOtherShortTermDebt $1,272.19B USD Annual
Proceeds from issuance ProceedsFromOtherShortTermDebt $952.06B USD Annual
Proceeds from issuance ProceedsFromOtherShortTermDebt $1,177.56B USD Annual
Payments for maturing RepaymentsOfOtherShortTermDebt $1,176.60B USD Annual
Payments for maturing RepaymentsOfOtherShortTermDebt $1,248.88B USD Annual
Payments for maturing RepaymentsOfOtherShortTermDebt $968.28B USD Annual
Proceeds from issuance of capital stock ProceedsFromIssuanceOfCommonStock $7.98B USD Annual
Proceeds from issuance of capital stock ProceedsFromIssuanceOfCommonStock $5.64B USD Annual
Proceeds from issuance of capital stock ProceedsFromIssuanceOfCommonStock $8.28B USD Annual
Payments for repurchase/redemption of capital stock PaymentsForRepurchaseOfCommonStock $6.05B USD Annual
Payments for repurchase/redemption of capital stock PaymentsForRepurchaseOfCommonStock $8.65B USD Annual
Payments for repurchase/redemption of capital stock PaymentsForRepurchaseOfCommonStock $8.56B USD Annual
Redemption of mandatorily redeemable capital stock RepaymentsOfMandatoryRedeemableCapitalSecurities $22.86M USD Annual
Redemption of mandatorily redeemable capital stock RepaymentsOfMandatoryRedeemableCapitalSecurities $4.90M USD Annual
Redemption of mandatorily redeemable capital stock RepaymentsOfMandatoryRedeemableCapitalSecurities $4.88M USD Annual
Cash dividends paid (d) PaymentsOfDividendsCommonStock $417.60M USD Annual
Cash dividends paid (d) PaymentsOfDividendsCommonStock $348.23M USD Annual
Cash dividends paid (d) PaymentsOfDividendsCommonStock $365.64M USD Annual
Net cash provided by (used in) financing activities NetCashProvidedByUsedInFinancingActivities $-25.42B USD Annual
Net cash provided by (used in) financing activities NetCashProvidedByUsedInFinancingActivities $17.14B USD Annual
Net cash provided by (used in) financing activities NetCashProvidedByUsedInFinancingActivities $-15.38B USD Annual
Net increase (decrease) in cash and due from banks CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalentsPeriodIncreaseDecreaseExcludingExchangeRateEffect $1.29B USD Annual
Net increase (decrease) in cash and due from banks CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalentsPeriodIncreaseDecreaseExcludingExchangeRateEffect $-42.00M USD Annual
Net increase (decrease) in cash and due from banks CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalentsPeriodIncreaseDecreaseExcludingExchangeRateEffect $517.84M USD Annual
Cash and due from banks at beginning of the period (e) CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents $85.41M USD Point-in-time
Cash and due from banks at beginning of the period (e) CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents $1.90B USD Point-in-time
Cash and due from banks at beginning of the period (e) CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents $127.40M USD Point-in-time
Cash and due from banks at beginning of the period (e) CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents $603.24M USD Point-in-time
Cash and due from banks at end of the period (e) CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents $85.41M USD Point-in-time
Cash and due from banks at end of the period (e) CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents $1.90B USD Point-in-time
Cash and due from banks at end of the period (e) CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents $127.40M USD Point-in-time
Cash and due from banks at end of the period (e) CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents $603.24M USD Point-in-time
Interest paid InterestPaidNet $1.91B USD Annual
Interest paid InterestPaidNet $964.21M USD Annual
Interest paid InterestPaidNet $1.71B USD Annual
Interest paid for Discount Notes (f) InterestPaidDiscountNotes $1.27B USD Annual
Interest paid for Discount Notes (f) InterestPaidDiscountNotes $482.60M USD Annual
Interest paid for Discount Notes (f) InterestPaidDiscountNotes $878.10M USD Annual
Affordable Housing Program payments (g) PaymentsForAffordableHousingPrograms $60.38M USD Annual
Affordable Housing Program payments (g) PaymentsForAffordableHousingPrograms $32.32M USD Annual
Affordable Housing Program payments (g) PaymentsForAffordableHousingPrograms $54.25M USD Annual
Transfers of mortgage loans to real estate owned TransferToOtherRealEstate $773.00K USD Annual
Transfers of mortgage loans to real estate owned TransferToOtherRealEstate $1.09M USD Annual
Transfers of mortgage loans to real estate owned TransferToOtherRealEstate $135.00K USD Annual
Net amount of impairment losses reclassified to (from) Accumulated other comprehensive income (loss) OtherComprehensiveLossHeldToMaturitySecurityOttiBeforeTaxAfterReclassificationAdjustmentFromAociForNoncreditPortionOfOttiAttributableToParent $-640.00K USD Annual
Net amount of impairment losses reclassified to (from) Accumulated other comprehensive income (loss) OtherComprehensiveLossHeldToMaturitySecurityOttiBeforeTaxAfterReclassificationAdjustmentFromAociForNoncreditPortionOfOttiAttributableToParent $257.00K USD Annual
Capital stock subject to mandatory redemption reclassified from equity NetSharesReclassifiedToMandatorilyRedeemableCapitalStockValue $4.18M USD Annual
Capital stock subject to mandatory redemption reclassified from equity NetSharesReclassifiedToMandatorilyRedeemableCapitalStockValue $2.74M USD Annual
Capital stock subject to mandatory redemption reclassified from equity NetSharesReclassifiedToMandatorilyRedeemableCapitalStockValue $8.76M USD Annual
Securities traded but not settled SecuritiesTradedNotYetSettled $149.87M USD Annual
Transfers of HTM securities to AFS that are not other-than-temporarily impaired (h) TransfersOfHtmSecuritiesToAfsThatAreNotOtherThanTemporarilyImpaired $1.60B USD Annual
Stockholders Equity 28 line items
Line Item Tag Value Unit Period
Cash dividends on capital stock (in dollars per share) CommonStockDividendsPerShareCashPaid $6.49 USD Annual
Cash dividends on capital stock (in dollars per share) CommonStockDividendsPerShareCashPaid $6.66 USD Annual
Cash dividends on capital stock (in dollars per share) CommonStockDividendsPerShareCashPaid $5.74 USD Annual
Number of FHLBanks NumberOfFederalHomeLoanBanks 11.00 Institution Point-in-time
Balance StockholdersEquity $7.53B USD Point-in-time
Balance StockholdersEquity $7.26B USD Point-in-time
Balance StockholdersEquity $7.75B USD Point-in-time
Balance StockholdersEquity $8.24B USD Point-in-time
Recovery of prior capital distribution RecoveryOfPriorCapitalDistribution $18.20M USD Annual
Proceeds from issuance of capital stock StockIssuedDuringPeriodValueNewIssues $7.98B USD Annual
Proceeds from issuance of capital stock StockIssuedDuringPeriodValueNewIssues $5.64B USD Annual
Proceeds from issuance of capital stock StockIssuedDuringPeriodValueNewIssues $8.28B USD Annual
Repurchase/redemption of capital stock StockRepurchasedDuringPeriodValue $6.05B USD Annual
Repurchase/redemption of capital stock StockRepurchasedDuringPeriodValue $8.65B USD Annual
Repurchase/redemption of capital stock StockRepurchasedDuringPeriodValue $8.56B USD Annual
Shares reclassified to mandatorily redeemable capital stock NetSharesReclassifiedToMandatorilyRedeemableCapitalStockValue $4.18M USD Annual
Shares reclassified to mandatorily redeemable capital stock NetSharesReclassifiedToMandatorilyRedeemableCapitalStockValue $2.74M USD Annual
Shares reclassified to mandatorily redeemable capital stock NetSharesReclassifiedToMandatorilyRedeemableCapitalStockValue $8.76M USD Annual
Cash dividends on capital stock DividendsCommonStockCash $348.23M USD Annual
Cash dividends on capital stock DividendsCommonStockCash $365.64M USD Annual
Cash dividends on capital stock DividendsCommonStockCash $417.60M USD Annual
Comprehensive income (loss) ComprehensiveIncomeLossNetOfFederalHomeLoanBankAssessmentsAttributableToParent $438.04M USD Annual
Comprehensive income (loss) ComprehensiveIncomeLossNetOfFederalHomeLoanBankAssessmentsAttributableToParent $607.39M USD Annual
Comprehensive income (loss) ComprehensiveIncomeLossNetOfFederalHomeLoanBankAssessmentsAttributableToParent $470.44M USD Annual
Balance StockholdersEquity $7.53B USD Point-in-time
Balance StockholdersEquity $7.26B USD Point-in-time
Balance StockholdersEquity $7.75B USD Point-in-time
Balance StockholdersEquity $8.24B USD Point-in-time
Comprehensive Income 26 line items
Line Item Tag Value Unit Period
Net Income NetIncomeLossAttributableToParentNetOfFederalHomeLoanBankAssessments $442.38M USD Annual
Net Income NetIncomeLossAttributableToParentNetOfFederalHomeLoanBankAssessments $472.59M USD Annual
Net Income NetIncomeLossAttributableToParentNetOfFederalHomeLoanBankAssessments $560.48M USD Annual
Net change in unrealized gains (losses) on available-for-sale securities OtherComprehensiveIncomeAvailableforsaleSecuritiesAdjustmentBeforeTaxPortionAttributableToParent $93.83M USD Annual
Net change in unrealized gains (losses) on available-for-sale securities OtherComprehensiveIncomeAvailableforsaleSecuritiesAdjustmentBeforeTaxPortionAttributableToParent $182.76M USD Annual
Net change in unrealized gains (losses) on available-for-sale securities OtherComprehensiveIncomeAvailableforsaleSecuritiesAdjustmentBeforeTaxPortionAttributableToParent $-1.22M USD Annual
Non-credit portion of other-than-temporary impairment gains (losses) OtherThanTemporaryImpairmentLossesInvestmentsPortionInOtherComprehensiveIncomeLossBeforeTaxPortionAttributableToParentHeldtomaturitySecurities $257.00K USD Annual
Reclassification of non-credit portion included in net income OtherThanTemporaryImpairmentLossesInvestmentsReclassificationAdjustmentOfNoncreditPortionIncludedInNetIncomeHeldtomaturitySecuritiesBeforeTax $640.00K USD Annual
Accretion of non-credit portion OtherComprehensiveLossHeldToMaturitySecurityAdjustmentFromAociForAccretionOfNoncreditPortionOfOttiBeforeTax $2.85M USD Annual
Accretion of non-credit portion OtherComprehensiveLossHeldToMaturitySecurityAdjustmentFromAociForAccretionOfNoncreditPortionOfOttiBeforeTax $4.00M USD Annual
Accretion of non-credit portion OtherComprehensiveLossHeldToMaturitySecurityAdjustmentFromAociForAccretionOfNoncreditPortionOfOttiBeforeTax $1.98M USD Annual
Total net change in non-credit portion of other-than-temporary impairment losses on held-to-maturity securities OtherComprehensiveLossHeldToMaturitySecurityOttiBeforeTaxAfterAdjustmentsAttributableToParent $-3.74M USD Annual
Total net change in non-credit portion of other-than-temporary impairment losses on held-to-maturity securities OtherComprehensiveLossHeldToMaturitySecurityOttiBeforeTaxAfterAdjustmentsAttributableToParent $-3.49M USD Annual
Total net change in non-credit portion of other-than-temporary impairment losses on held-to-maturity securities OtherComprehensiveLossHeldToMaturitySecurityOttiBeforeTaxAfterAdjustmentsAttributableToParent $-1.98M USD Annual
Total net change due to hedging activities OtherComprehensiveIncomeLossCashFlowHedgeGainLossAfterReclassificationBeforeTaxParent $36.64M USD Annual
Total net change due to hedging activities OtherComprehensiveIncomeLossCashFlowHedgeGainLossAfterReclassificationBeforeTaxParent $-122.87M USD Annual
Total net change due to hedging activities OtherComprehensiveIncomeLossCashFlowHedgeGainLossAfterReclassificationBeforeTaxParent $-145.15M USD Annual
Net change in pension and postretirement benefits OtherComprehensiveIncomeDefinedBenefitPlansAdjustmentBeforeTaxPortionAttributableToParent $-7.76M USD Annual
Net change in pension and postretirement benefits OtherComprehensiveIncomeDefinedBenefitPlansAdjustmentBeforeTaxPortionAttributableToParent $11.54M USD Annual
Net change in pension and postretirement benefits OtherComprehensiveIncomeDefinedBenefitPlansAdjustmentBeforeTaxPortionAttributableToParent $9.00M USD Annual
Total other comprehensive income (loss) OtherComprehensiveIncomeLossBeforeTaxPortionAttributableToParent $-34.55M USD Annual
Total other comprehensive income (loss) OtherComprehensiveIncomeLossBeforeTaxPortionAttributableToParent $46.91M USD Annual
Total other comprehensive income (loss) OtherComprehensiveIncomeLossBeforeTaxPortionAttributableToParent $28.06M USD Annual
Total comprehensive income (loss) ComprehensiveIncomeLossNetOfFederalHomeLoanBankAssessmentsAttributableToParent $438.04M USD Annual
Total comprehensive income (loss) ComprehensiveIncomeLossNetOfFederalHomeLoanBankAssessmentsAttributableToParent $607.39M USD Annual
Total comprehensive income (loss) ComprehensiveIncomeLossNetOfFederalHomeLoanBankAssessmentsAttributableToParent $470.44M USD Annual

Data is extracted from SEC EDGAR XBRL filings. Values shown are as reported in the filing.

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