資金需給実績

98年7月
日付銀行券要因財政等要因資金需給準備預金
発券高増減
(資金ベース)
揚超払超純財政
(月初来)
増減その他残高増減
98/07/01493,3314,345-3,873-5,692-5,6921,81947233,416-5,838
98/07/02490,7902,541-37,619-41,207-35,515-2,104-35,07827,579-5,837
98/07/03490,222568-1,202-42,733-1,526324-63426,775-804
98/07/04490,222  -42,733   26,775 
98/07/05490,222  -42,733   26,775 
98/07/06486,2233,9998,769-33,6579,076-30712,76827,557782
98/07/07479,9386,285-3,123-36,665-3,008-1153,16227,016-541
98/07/08476,9083,030242-37,024-3596013,27231,3964,380
98/07/09479,671-2,763-357-37,755-731374-3,12027,705-3,691
98/07/10482,845-3,1742,038-43,931-6,1768,214-1,13627,036-669
98/07/11482,845  -43,931   27,036 
98/07/12482,845  -43,931   27,036 
98/07/13480,0952,750-1,582-45,353-1,422-1601,16830,1523,116
98/07/14474,7295,366-26,257-71,569-26,216-41-20,89130,434282
98/07/15473,3361,393927-70,626943-162,32030,829395
98/07/16477,189-3,8533,110-67,9382,688422-74340,6219,792
98/07/17482,433-5,2445,149-62,9734,965184-9540,574-47
98/07/18482,433  -62,973   40,574 
98/07/19482,433  -62,973   40,574 
98/07/20482,433  -62,973   40,574 
98/07/21480,6831,750-20,646-90,475-27,5026,856-18,89636,685-3,889
98/07/22477,7902,8933,634-87,1323,3432916,52740,9904,305
98/07/23484,577-6,787-3,159-90,231-3,099-60-9,94640,9999
98/07/24490,639-6,0626,480-83,4666,765-28541838,849-2,150
98/07/25490,639  -83,466   38,849 
98/07/26490,639  -83,466   38,849 
98/07/27489,713926-968-84,409-943-25-4236,640-2,209
98/07/28486,0183,695-185-84,613-204193,51036,6422
98/07/29485,0719471,094-83,2931,320-2262,04134,371-2,271
98/07/30489,942-4,8711,022-82,695598424-3,84934,493122
98/07/31492,795-2,8534,747-77,8904,805-581,89435,449956
 4,881-61,759 -77,89016,131-56,878 -3,805


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