| 2025-09-09 |
Liberty National Bank |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 30 |
374525.97 |
GBP |
Financial Market Utility |
Municipal Bonds |
Yes |
Treasury Operations |
Liberty Financial Group, Inc. - Parent Only |
| 2025-09-09 |
Liberty International Finance Ltd. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 55 |
217474.10 |
AUD |
Small Business |
US Treasuries |
No |
Securities Operations |
Liberty Capital Markets Inc. |
| 2025-09-09 |
Liberty Mortgage Services Corp. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
180 - 270 Days |
143163.56 |
GBP |
Financial Market Utility |
US Treasuries |
Yes |
Derivatives Trading |
Liberty Financial Group, Inc. - Parent Only |
| 2025-09-09 |
Liberty Mortgage Services Corp. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
>4 Yr <= 5 Yr |
170934.47 |
AUD |
GSE |
Mortgage-Backed Securities |
No |
Prime Brokerage |
Liberty National Bank |
| 2025-09-09 |
Liberty National Bank |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 54 |
5098.13 |
USD |
Non-Regulated Fund |
US Treasuries |
No |
Treasury Operations |
Liberty Financial Group, Inc. - Parent Only |
| 2025-09-09 |
Liberty National Bank |
I.O.2 |
I.O.2: Collateral Called for Receipt |
75 - 82 Days |
264700.08 |
USD |
MDB |
Other |
No |
Fixed Income Sales |
Liberty Financial Group, Inc. |
| 2025-09-09 |
Liberty Financial Group, Inc. - Parent Only |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 48 |
416497.97 |
EUR |
Sovereign |
Municipal Bonds |
No |
Securities Operations |
Liberty Capital Markets Inc. |
| 2025-09-09 |
Liberty Mortgage Services Corp. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 30 |
293903.37 |
EUR |
PSE |
Mortgage-Backed Securities |
No |
Corporate Banking |
Liberty Financial Group, Inc. |
| 2025-09-09 |
Liberty International Finance Ltd. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 3 |
212848.95 |
CHF |
Broker-Dealer |
Z-1 |
Yes |
Treasury Operations |
Liberty International Finance Ltd. |
| 2025-09-09 |
Liberty Capital Markets Inc. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 2 |
117690.13 |
CHF |
Pension Fund |
Equities |
Yes |
Asset Management |
Liberty Financial Group, Inc. - Parent Only |
| 2025-09-09 |
Liberty International Finance Ltd. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 37 |
74047.45 |
JPY |
Non-Financial Corporate |
Corporate Bonds |
Yes |
Derivatives Trading |
Liberty Capital Markets Inc. |
| 2025-09-09 |
Liberty Financial Group, Inc. - Parent Only |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 37 |
79821.78 |
EUR |
Central Bank |
Equities |
Yes |
Fixed Income Sales |
Liberty Mortgage Services Corp. |
| 2025-09-09 |
Liberty National Bank |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 42 |
491544.05 |
GBP |
Financial Market Utility |
Mortgage-Backed Securities |
No |
Corporate Banking |
Liberty National Bank |
| 2025-09-09 |
Liberty Financial Group, Inc. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 20 |
32536.45 |
JPY |
Pension Fund |
Z-1 |
No |
Securities Operations |
Liberty Financial Group, Inc. |
| 2025-09-09 |
Liberty Financial Group, Inc. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 44 |
68961.28 |
EUR |
Non-Regulated Fund |
Z-1 |
No |
Fixed Income Sales |
Liberty Financial Group, Inc. - Parent Only |
| 2025-09-09 |
Liberty National Bank |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 30 |
315720.55 |
USD |
MDB |
Corporate Bonds |
No |
Fixed Income Sales |
Liberty Mortgage Services Corp. |
| 2025-09-09 |
Liberty National Bank |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 43 |
329995.47 |
JPY |
Sovereign |
Other |
Yes |
Treasury Operations |
Liberty Financial Group, Inc. - Parent Only |
| 2025-09-09 |
Liberty National Bank |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 52 |
393763.07 |
AUD |
Investment Company or Advisor |
Z-1 |
Yes |
Treasury Operations |
Liberty International Finance Ltd. |
| 2025-09-09 |
Liberty National Bank |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 46 |
152149.00 |
JPY |
Debt Issuing SPE |
Z-1 |
No |
Securities Operations |
Liberty Capital Markets Inc. |
| 2025-09-09 |
Liberty Capital Markets Inc. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 2 |
73268.81 |
CAD |
Financial Market Utility |
Municipal Bonds |
Yes |
Treasury Operations |
Liberty Financial Group, Inc. - Parent Only |
| 2025-09-09 |
Liberty Capital Markets Inc. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Open |
141398.89 |
USD |
Investment Company or Advisor |
Other |
Yes |
Securities Operations |
Liberty Financial Group, Inc. |
| 2025-09-09 |
Liberty International Finance Ltd. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
68 - 74 Days |
305722.53 |
JPY |
Other Supranational |
Z-1 |
Yes |
Corporate Banking |
Liberty International Finance Ltd. |
| 2025-09-09 |
Liberty Mortgage Services Corp. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 36 |
486879.81 |
GBP |
Bank |
Other |
No |
Derivatives Trading |
Liberty Financial Group, Inc. |
| 2025-09-09 |
Liberty Financial Group, Inc. - Parent Only |
I.O.2 |
I.O.2: Collateral Called for Receipt |
Day 6 |
45946.19 |
AUD |
MDB |
US Treasuries |
No |
Client Treasury Services |
Liberty Capital Markets Inc. |
| 2025-09-09 |
Liberty International Finance Ltd. |
I.O.2 |
I.O.2: Collateral Called for Receipt |
>5 Yr |
473931.71 |
GBP |
Central Bank |
Other |
No |
Treasury Operations |
Liberty Financial Group, Inc. - Parent Only |