| 2025-09-09 |
Liberty National Bank |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
425745424.87 |
Day 47 |
Yes |
1115725693.98 |
<7 Days |
Treasuries |
5175545684.93 |
No |
T+1 |
Yes |
Yes |
|
Securities Finance |
| 2025-09-09 |
Liberty Financial Group, Inc. - Parent Company Only |
O.S.9 |
Synthetic Customer Shorts |
|
|
No |
1677609908.28 |
Day 10 |
No |
1645838104.12 |
31-90 Days |
Cash |
5149360543.14 |
No |
T+1 |
No |
No |
IntS-1872 |
Securities Finance |
| 2025-09-09 |
Liberty National Bank |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
4729464257.62 |
Day 21 |
Yes |
318227201.50 |
7-30 Days |
Equities |
6980633082.75 |
No |
T+1 |
Yes |
No |
|
Funding |
| 2025-09-09 |
Liberty Capital Markets Inc. |
O.S.9 |
Synthetic Customer Shorts |
|
|
No |
2255587916.53 |
Day 23 |
Yes |
1515520976.65 |
7-30 Days |
Corporate Bonds |
459524872.03 |
Yes |
T+0 |
No |
Yes |
IntS-5589 |
Funding |
| 2025-09-09 |
Liberty National Bank |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
4290280170.91 |
Day 49 |
Yes |
437121903.33 |
7-30 Days |
Other |
4092407758.54 |
No |
T+0 |
No |
Yes |
IntS-1397 |
Funding |
| 2025-09-09 |
Liberty Financial Group, Inc. - Global Consolidated Entity |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
1706077722.41 |
Perpetual |
Yes |
1978753721.88 |
31-90 Days |
Equities |
1068170272.05 |
No |
T+2 |
Yes |
Yes |
IntS-9882 |
Securities Finance |
| 2025-09-09 |
Liberty Financial Group, Inc. - Global Consolidated Entity |
O.S.9 |
Synthetic Customer Shorts |
|
|
No |
1526549078.59 |
Day 3 |
Yes |
649363127.77 |
<7 Days |
Treasuries |
6449269881.07 |
Yes |
T+1 |
Yes |
Yes |
IntS-9128 |
Treasury |
| 2025-09-09 |
Liberty Financial Group, Inc. - Parent Company Only |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
3569249947.49 |
Day 9 |
Yes |
447042114.46 |
<7 Days |
Other |
4180564227.47 |
Yes |
T+2 |
Yes |
No |
IntS-9735 |
Securities Finance |
| 2025-09-09 |
Liberty Financial Group, Inc. - Global Consolidated Entity |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
1657377985.35 |
271 - 364 Days |
No |
97320259.44 |
7-30 Days |
Corporate Bonds |
5858472066.52 |
No |
T+0 |
No |
Yes |
|
Funding |
| 2025-09-09 |
Liberty Financial Group, Inc. - Parent Company Only |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
5547015880.98 |
Day 30 |
No |
1761086025.89 |
31-90 Days |
Equities |
4451052121.08 |
Yes |
T+0 |
No |
No |
IntS-6499 |
Treasury |
| 2025-09-09 |
Liberty Capital Markets Inc. |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
3293159902.57 |
Day 8 |
Yes |
351263527.18 |
7-30 Days |
Equities |
5496968737.26 |
No |
T+2 |
No |
No |
IntS-3912 |
Securities Finance |
| 2025-09-09 |
Liberty International Finance Ltd. |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
405789960.04 |
Day 6 |
Yes |
495971380.26 |
7-30 Days |
None |
229898028.07 |
No |
T+2 |
Yes |
No |
IntS-7366 |
Trading |
| 2025-09-09 |
Liberty Mortgage Services Corp. |
O.S.9 |
Synthetic Customer Shorts |
|
|
No |
5145753707.51 |
Day 30 |
No |
1925839102.82 |
31-90 Days |
Other |
4125882107.01 |
No |
T+0 |
No |
Yes |
IntS-2781 |
Treasury |
| 2025-09-09 |
Liberty Capital Markets Inc. |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
7787399772.23 |
Day 1 |
Yes |
1489022943.81 |
<7 Days |
Corporate Bonds |
5442054521.71 |
Yes |
T+2 |
No |
Yes |
|
Securities Finance |
| 2025-09-09 |
Liberty National Bank |
O.S.9 |
Synthetic Customer Shorts |
|
|
No |
6201869020.71 |
Day 25 |
No |
402749326.49 |
<7 Days |
Other |
2423893444.34 |
Yes |
T+2 |
Yes |
Yes |
|
Securities Finance |
| 2025-09-09 |
Liberty National Bank |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
6575041905.44 |
Day 43 |
No |
1174060362.50 |
7-30 Days |
None |
4031323385.29 |
Yes |
T+1 |
Yes |
Yes |
|
Treasury |
| 2025-09-09 |
Liberty Mortgage Services Corp. |
O.S.9 |
Synthetic Customer Shorts |
|
|
No |
2232020474.68 |
Day 54 |
No |
1783410480.82 |
<7 Days |
Other |
3262759852.65 |
Yes |
T+2 |
No |
No |
IntS-7005 |
Funding |
| 2025-09-09 |
Liberty Mortgage Services Corp. |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
5439546211.57 |
121 - 150 Days |
No |
1626090795.36 |
<7 Days |
None |
5540074737.50 |
Yes |
T+0 |
No |
Yes |
|
Trading |
| 2025-09-09 |
Liberty National Bank |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
107301078.53 |
151 - 179 Days |
Yes |
171517945.72 |
<7 Days |
Equities |
6371579131.50 |
No |
T+2 |
No |
No |
|
Funding |
| 2025-09-09 |
Liberty Financial Group, Inc. - Parent Company Only |
O.S.9 |
Synthetic Customer Shorts |
|
|
No |
3549906683.03 |
Day 15 |
No |
671562045.50 |
7-30 Days |
Agency MBS |
4573842046.51 |
Yes |
T+2 |
Yes |
No |
IntS-3132 |
Treasury |
| 2025-09-09 |
Liberty Financial Group, Inc. - Global Consolidated Entity |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
1254125505.78 |
75 - 82 Days |
Yes |
1996500268.01 |
<7 Days |
Equities |
3847902609.85 |
Yes |
T+1 |
No |
No |
|
Treasury |
| 2025-09-09 |
Liberty Capital Markets Inc. |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
4343473936.48 |
180 - 270 Days |
Yes |
1766635921.70 |
<7 Days |
Corporate Bonds |
5909050089.44 |
Yes |
T+0 |
Yes |
Yes |
IntS-3504 |
Securities Finance |
| 2025-09-09 |
Liberty Capital Markets Inc. |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
3216315238.06 |
Day 43 |
No |
329004710.31 |
7-30 Days |
Cash |
4382236845.53 |
Yes |
T+0 |
No |
No |
|
Treasury |
| 2025-09-09 |
Liberty Financial Group, Inc. - Global Consolidated Entity |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
6546998551.66 |
Day 29 |
Yes |
1099114141.74 |
<7 Days |
Cash |
1960144477.63 |
Yes |
T+2 |
Yes |
Yes |
IntS-8383 |
Trading |
| 2025-09-09 |
Liberty Capital Markets Inc. |
O.S.9 |
Synthetic Customer Shorts |
|
|
Yes |
2196354231.42 |
Day 55 |
Yes |
1684302805.65 |
31-90 Days |
None |
232208353.66 |
No |
T+2 |
Yes |
Yes |
|
Trading |