- U.S. Treasury Bills: $28,856,434,491
- Commercial Paper and Certificates of Deposit: $8,402,426,505
- Money Market Funds: $6,810,253,431
- Cash & Bank Deposits: $5,418,232,067
- Reverse Repurchase Agreements: $2,992,015,954
- Non-U.S. Treasury Bills: $397,150,678
- Corporate Bonds, Funds & Precious Metals: $3,486,896,735
- Other Investments: $5,551,836,303
- Secured Loans: $4,494,373,260
- Total: $66,409,619,424
[1] https://assets.ctfassets.net/vyse88cgwfbl/2xJyKdUKicdRUWpC9b...
- U.S. Treasury Bills: $28,856,434,491
- Commercial Paper and Certificates of Deposit: $8,402,426,505
- Money Market Funds: $6,810,253,431
- Cash & Bank Deposits: $5,418,232,067
- Reverse Repurchase Agreements: $2,992,015,954
- Non-U.S. Treasury Bills: $397,150,678
- Corporate Bonds, Funds & Precious Metals: $3,486,896,735
- Other Investments: $5,551,836,303
- Secured Loans: $4,494,373,260
- Total: $66,409,619,424
[1] https://assets.ctfassets.net/vyse88cgwfbl/2xJyKdUKicdRUWpC9b...