資金需給実績

98年1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
98/01/01546,695      34,861 
98/01/02546,695      34,861 
98/01/03546,695      34,861 
98/01/04546,695      34,861 
98/01/05527,65119,04422136136-11419,06638,5633,702
98/01/06507,30520,346-4,071-2,930-3,066-1,00516,27544,6216,058
98/01/07494,26513,040-29,040-32,021-29,09151-16,00034,619-10,002
98/01/08488,3085,957705-31,5784432626,66233,326-1,293
98/01/09485,7182,590-3,157-35,568-3,990833-56730,937-2,389
98/01/10485,718  -35,568   30,937 
98/01/11485,718  -35,568   30,937 
98/01/12480,3245,3943,442-39,911-4,3437,7858,83631,089152
98/01/13473,8656,459-2,717-42,343-2,432-2853,74234,0552,966
98/01/14473,701164-15,199-58,185-15,842643-15,03529,778-4,277
98/01/15473,701  -58,185   29,778 
98/01/16474,190-4897,113-51,1447,041726,62444,94215,164
98/01/17474,190  -51,144   44,942 
98/01/18474,190  -51,144   44,942 
98/01/19470,4833,7075,101-46,1654,9791228,80839,243-5,699
98/01/20467,2073,2762,348-49,372-3,2075,5555,62438,003-1,240
98/01/21467,0841232,450-47,2252,1473032,57337,564-439
98/01/22475,022-7,938-3,941-50,972-3,747-194-11,87936,520-1,044
98/01/23481,367-6,345420-50,470502-82-5,92537,058538
98/01/24481,367  -50,470   37,058 
98/01/25481,367  -50,470   37,058 
98/01/26480,490877-9,238-62,934-12,4643,226-8,36135,423-1,635
98/01/27476,6923,798-1,042-64,469-1,5354932,75637,4001,977
98/01/28475,778914401-64,455143871,31541,6104,210
98/01/29480,616-4,8381,762-62,5451,910-148-3,07637,141-4,469
98/01/30483,668-3,0523,248-59,2103,335-8719635,075-2,066
98/01/31483,668  -59,210   35,075 
 63,027-41,393 -59,21017,81721,634 214


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