As at Jan 2010
In US$ million unless otherwise stated.
I. Official reserve assets and other foreign currency assets*
A. Official reserve assets
189,618.6
(1) Foreign currency reserves (in convertible foreign currencies)
192,711.4
(a) securities
156,767.7
of which: issuer headquartered in reporting country but located abroad
0.0
(b) total currency and deposits with:
35,943.7
(i) other national central banks, BIS and IMF
200.8
(ii) banks headquartered in the reporting country
5,193.9
of which: located abroad
0.0
(iii) banks headquartered outside the reporting country
30,549.0
of which: located in the reporting country
29,723.4
(2) IMF reserve position
267.3
(3) SDRs
1,523.7
(4) Gold (including gold deposits and, if appropriate, gold swapped)
211.7
- volume in fine troy ounces
4,096,439
(5) Other reserve assets#
-5,095.5
B. Other foreign currency assets
N.A.
* Book value of assets converted at market exchange rates prevailing at end of month.
# Includes investment in ABF (see AsianBondsOnline.adb.org)
II. Predetermined short-term net drains on foreign currency assets (nominal value)
Total
Maturity breakdown (residual maturity)
Up to 1 month
More than 1 month and up to 3 months
More than 3 months and up to 1 year
1. Foreign currency loans, securities, and deposits
N.A.
2. Aggregate short and long positions in forwards and futures in foreign currencies vis-a-vis the domestic currency (including the forward leg of currency swaps)
58,014.6
25,065.3
21,488.3
11,461.0
(a) Short positions (-)
0.0
0.0
0.0
0.0
(b) Long positions (+)
58,014.6
25,065.3
21,488.3
11,461.0
3. Other
N.A.
III. Contingent short-term net drains on foreign currency assets (nominal value)
Total
Maturity breakdown (residual maturity, where applicable)
Up to 1 month
More 1 month and up to 3 months
More than 3 months and up to 1 year
1. Contingent liabilities in foreign currency
N.A.
2. Foreign currency securities issued with embedded options (puttable bonds)