v3.25.1
Statements of Cash Flows (Unaudited) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Operating Activities:    
Net income $ 74,522 $ 94,874
Adjustments to reconcile net income to net cash provided by operating activities:    
Amortization and depreciation 1,317 17,575
Changes in net derivative and hedging activities (281,277) 304,402
Provision for (reversal of) credit losses 27 (25)
Net (gains) losses on trading securities (6,921) 4,571
Net gains on sales of AFS securities (2,704) 0
Changes in:    
Accrued interest receivable (12,230) 1,511
Other assets 685 (3,633)
Accrued interest payable (24,327) (38,761)
Other liabilities (2,709) (7,726)
Total adjustments, net (328,139) 277,914
Net cash provided by (used in) operating activities (253,617) 372,788
Net change in:    
Interest-bearing deposits (48,677) 147,562
Securities purchased under agreements to resell 1,000,000 4,000,000
Federal funds sold 2,595,000 1,033,000
Trading securities:    
Proceeds from maturities 0 250,000
Purchases 0 (236,844)
Available-for-sale securities:    
Proceeds from paydowns and maturities 86,000 0
Proceeds from sales 221,292 0
Purchases (154,702) (64,815)
Held-to-maturity securities:    
Proceeds from paydowns and maturities 145,085 114,267
Purchases (410,438) (129,434)
Advances:    
Principal repayments 116,687,471 62,361,098
Disbursements to members (115,130,446) (62,308,688)
Mortgage loans held for portfolio:    
Principal collections 250,030 177,978
Purchases from members (833,731) (418,065)
Purchases of premises, software, and equipment (1,132) (1,674)
Loans to other Federal Home Loan Banks:    
Principal repayments 360,000 37,000
Disbursements (360,000) (37,000)
Net Cash Provided by (Used in) Investing Activities, Total 4,405,752 4,924,385
Financing Activities:    
Net change in deposits (268,633) (44,008)
Net proceeds on derivative contracts with financing elements 1,863 2,526
Net proceeds from issuance of consolidated obligations:    
Discount notes 216,979,119 184,586,293
Bonds 7,636,929 11,180,968
Payments for matured and retired consolidated obligations:    
Discount notes (219,812,666) (190,291,599)
Bonds (8,477,280) (10,742,275)
Proceeds from issuance of capital stock 31,553 71,450
Payments for redemption/repurchase of capital stock (103,397) 0
Payments for redemption/repurchase of mandatorily redeemable capital stock (96,645) (1,597)
Dividend payments on capital stock (51,210) (44,196)
Net cash provided by (used in) financing activities (4,160,367) (5,282,438)
Net increase (decrease) in cash and due from banks (8,232) 14,735
Cash and due from banks at beginning of period 70,849 58,844
Cash and due from banks at end of period 62,617 73,579
Cash activities:    
Interest payments 868,786 923,632
Non-Cash Activities [Abstract]    
Purchases of investment securities, traded but not yet settled $ 41,255 $ 0