Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

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I.U.3: Required Operational Balances

Report Date Reporting Entity PID Product Currency Converted Maturity Bucket Forward Start Amount Forward Start Bucket Internal Counterparty Business Line Counterparty G-SIB Maturity Amount Maturity Optionality Effective Maturity Bucket Encumbrance Type Internal Risk Weight
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD 83 - 90 Days None Liberty Capital Markets Inc. Debt Issuing SPE 3312266.66 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD 91 - 120 Days None Debt Issuing SPE 380949.09 No None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD 121 - 150 Days None Liberty Capital Markets Inc. Debt Issuing SPE 6307517.43 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD 151 - 179 Days None Liberty Mortgage Services Corp. Debt Issuing SPE 886803.86 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD 180 - 270 Days None Debt Issuing SPE 1353250.16 No None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD 271 - 364 Days None Liberty Wealth Management LLC Debt Issuing SPE 4352550.75 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD >= 1 Yr <= 2 Yr None Liberty International Finance Ltd. Debt Issuing SPE 6277830.64 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD >2 Yr <= 3 Yr None Liberty Wealth Management LLC Debt Issuing SPE 5601933.92 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD >3 Yr <= 4 Yr None Debt Issuing SPE 3542897.54 No None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD >4 Yr <= 5 Yr None Liberty Wealth Management LLC Debt Issuing SPE 7241927.79 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD >5 Yr None Debt Issuing SPE 4181212.95 No None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Perpetual None Liberty Wealth Management LLC Debt Issuing SPE 5791812.21 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Open None Liberty International Finance Ltd. Non-Regulated Fund 1743618.81 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Day 1 None Non-Regulated Fund 3054824.14 No None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Day 2 None Liberty Capital Markets Inc. Non-Regulated Fund 823069.53 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Day 3 None Non-Regulated Fund 3000128.78 No None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Day 4 None Non-Regulated Fund 6522134.84 No None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Day 5 None Non-Regulated Fund 3797655.57 No None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Day 6 None Liberty Wealth Management LLC Non-Regulated Fund 3775414.77 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Day 7 None Non-Regulated Fund 6361966.41 No None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Day 8 None Liberty Capital Markets Inc. Non-Regulated Fund 3712011.75 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Day 9 None Non-Regulated Fund 7331641.19 No None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Day 10 None Non-Regulated Fund 2385336.16 No None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Day 11 None Liberty Mortgage Services Corp. Non-Regulated Fund 989536.56 Yes None
2025-10-13 Liberty National Bank I.U.3 Required Operational Balances USD Day 12 None Non-Regulated Fund 2098033.71 No None