Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

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O.O.20: Net 30-Day Derivative Payables

Report Date Reporting Entity PID Product Counterparty G-SIB Maturity Amount Maturity Bucket Forward Start Amount Forward Start Bucket Collateral Class Collateral Value Internal Internal Counterparty Business Line
2025-09-09 Liberty National Bank O.O.20 Net 30-Day Derivative Payables PSE No 1813317055.05 <1 Day 280576884.82 91-180 Days None 0.00 Yes Legal
2025-09-09 Liberty Mortgage Services Corp. O.O.20 Net 30-Day Derivative Payables Other Supranational No 777017970.52 <1 Day 313648857.49 91-180 Days None 0.00 Yes Operations
2025-09-09 Liberty Financial Group, Inc. - Global Consolidated Entity O.O.20 Net 30-Day Derivative Payables MDB No 594762537.92 <1 Day 346885340.39 30-90 Days None 0.00 Yes IntO-6609 Finance
2025-09-09 Liberty Financial Group, Inc. - Global Consolidated Entity O.O.20 Net 30-Day Derivative Payables Debt Issuing SPE No 577749114.09 <1 Day 345004201.78 <30 Days Treasuries 946909665.75 No Risk Management
2025-09-09 Liberty National Bank O.O.20 Net 30-Day Derivative Payables PSE No 2697684231.05 <1 Day 301095022.13 Open None 0.00 Yes Legal
2025-09-09 Liberty Financial Group, Inc. - Global Consolidated Entity O.O.20 Net 30-Day Derivative Payables Financial Market Utility Yes 1508334285.01 <1 Day 323265036.31 Open None 0.00 Yes IntO-7724 Legal
2025-09-09 Liberty Financial Group, Inc. - Global Consolidated Entity O.O.20 Net 30-Day Derivative Payables Retail Yes 2432247377.56 <1 Day 267445392.05 Open None 0.00 No IntO-8470 Operations
2025-09-09 Liberty National Bank O.O.20 Net 30-Day Derivative Payables Debt Issuing SPE Yes 1598730971.69 <1 Day 455810212.78 30-90 Days Equities 842701551.37 No IntO-5871 Finance
2025-09-09 Liberty Capital Markets Inc. O.O.20 Net 30-Day Derivative Payables Non-Financial Corporate No 2049045443.10 <1 Day 845123.32 91-180 Days None 0.00 No IntO-1251 Finance
2025-09-09 Liberty Financial Group, Inc. - Global Consolidated Entity O.O.20 Net 30-Day Derivative Payables Debt Issuing SPE Yes 1324715375.15 <1 Day 267583209.78 30-90 Days None 0.00 No IntO-1096 Treasury
2025-09-09 Liberty Capital Markets Inc. O.O.20 Net 30-Day Derivative Payables Sovereign No 316903077.59 <1 Day 356085761.33 91-180 Days Equities 848472883.52 Yes Finance
2025-09-09 Liberty National Bank O.O.20 Net 30-Day Derivative Payables Small Business No 156700402.11 <1 Day 108992013.02 91-180 Days Cash 583823734.02 No IntO-3421 Finance
2025-09-09 Liberty Financial Group, Inc. - Global Consolidated Entity O.O.20 Net 30-Day Derivative Payables Non-Regulated Fund No 748747953.93 <1 Day 307027489.32 <30 Days None 0.00 Yes Treasury
2025-09-09 Liberty International Finance Ltd. O.O.20 Net 30-Day Derivative Payables Broker-Dealer No 1795309806.05 <1 Day 438858387.57 Open Treasuries 305798748.14 Yes IntO-4106 Risk Management
2025-09-09 Liberty Mortgage Services Corp. O.O.20 Net 30-Day Derivative Payables Other Supervised Non-Bank Financial Entity No 256545777.15 <1 Day 310445183.43 Open Treasuries 245413495.07 Yes IntO-6118 Legal
2025-09-09 Liberty Financial Group, Inc. - Global Consolidated Entity O.O.20 Net 30-Day Derivative Payables Financial Market Utility No 2475767873.02 <1 Day 70786314.94 91-180 Days Cash 471599818.63 No IntO-1939 Operations
2025-09-09 Liberty Mortgage Services Corp. O.O.20 Net 30-Day Derivative Payables Non-Financial Corporate No 2960250619.35 <1 Day 42430611.21 91-180 Days Equities 865688522.24 No Risk Management
2025-09-09 Liberty Financial Group, Inc. - Global Consolidated Entity O.O.20 Net 30-Day Derivative Payables Financial Market Utility No 860073069.81 <1 Day 46051154.20 30-90 Days None 0.00 Yes IntO-9182 Legal
2025-09-09 Liberty Financial Group, Inc. - Parent Company Only O.O.20 Net 30-Day Derivative Payables Other No 233839338.67 <1 Day 26191002.23 30-90 Days None 0.00 Yes Treasury
2025-09-09 Liberty Financial Group, Inc. - Global Consolidated Entity O.O.20 Net 30-Day Derivative Payables Debt Issuing SPE Yes 87650585.58 <1 Day 66994742.88 91-180 Days None 0.00 No IntO-9661 Legal
2025-09-09 Liberty International Finance Ltd. O.O.20 Net 30-Day Derivative Payables Other Supervised Non-Bank Financial Entity No 2047524335.67 <1 Day 429723011.63 <30 Days Cash 61368811.17 Yes Finance
2025-09-09 Liberty Mortgage Services Corp. O.O.20 Net 30-Day Derivative Payables Investment Company or Advisor No 788178416.97 <1 Day 124741040.72 30-90 Days Treasuries 170477668.13 Yes Legal
2025-09-09 Liberty Financial Group, Inc. - Global Consolidated Entity O.O.20 Net 30-Day Derivative Payables Sovereign No 611215528.55 <1 Day 403886263.61 <30 Days None 0.00 No IntO-5918 Risk Management
2025-09-09 Liberty Mortgage Services Corp. O.O.20 Net 30-Day Derivative Payables Central Bank Yes 2287348065.73 <1 Day 292334379.44 91-180 Days Treasuries 192759256.47 Yes IntO-1186 Operations
2025-09-09 Liberty Financial Group, Inc. - Parent Company Only O.O.20 Net 30-Day Derivative Payables Broker-Dealer Yes 2245198215.03 <1 Day 479279913.62 30-90 Days None 0.00 Yes Risk Management