Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

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Additive - High-Quality Liquid Assets

Report Date Reporting Entity Product ID Product Value Collateral Class Maturity Bucket
2025-09-08 Liberty Financial Group, Inc. I.A.3 Unrestricted Reserve Balances 3686151673.00 Cash Day 35
2025-09-08 Liberty National Bank I.A.3 Unrestricted Reserve Balances 1569122782.00 Cash Day 45
2025-09-08 Liberty National Bank I.A.3 Unrestricted Reserve Balances 462133009.00 Cash Day 60
2025-09-08 Liberty Financial Group, Inc. I.A.3 Unrestricted Reserve Balances 2531053784.00 Cash Day 57
2025-09-08 Liberty National Bank I.A.3 Unrestricted Reserve Balances 1922660067.00 Cash Day 43
2025-09-08 Liberty Financial Group, Inc. I.A.3 Unrestricted Reserve Balances 3482927090.00 Cash Day 22
2025-09-08 Liberty Financial Group, Inc. I.A.3 Unrestricted Reserve Balances 2112988421.00 Cash Day 17
2025-09-08 Liberty International Finance Ltd. I.A.3 Unrestricted Reserve Balances 4551212664.00 Cash Open
2025-09-08 Liberty Financial Group, Inc. I.A.3 Unrestricted Reserve Balances 109814049.00 Cash Day 34
2025-09-08 Liberty International Finance Ltd. I.A.3 Unrestricted Reserve Balances 2529212702.00 Cash >3 Yr <= 4 Yr
2025-09-08 Liberty National Bank I.A.3 Unrestricted Reserve Balances 730491509.00 Cash Day 8
2025-09-08 Liberty International Finance Ltd. I.A.3 Unrestricted Reserve Balances 3761977170.00 Cash Day 27
2025-09-08 Liberty Financial Group, Inc. I.A.3 Unrestricted Reserve Balances 4246499442.00 Cash Day 60
2025-09-08 Liberty International Finance Ltd. I.A.3 Unrestricted Reserve Balances 2701837406.00 Cash Day 52
2025-09-08 Liberty International Finance Ltd. I.A.3 Unrestricted Reserve Balances 826466878.00 Cash 151 - 179 Days
2025-09-08 Liberty International Finance Ltd. I.A.3 Unrestricted Reserve Balances 217379450.00 Cash Day 1
2025-09-08 Liberty National Bank I.A.3 Unrestricted Reserve Balances 1350714400.00 Cash Day 29
2025-09-08 Liberty Financial Group, Inc. I.A.3 Unrestricted Reserve Balances 4684296841.00 Cash Open
2025-09-08 Liberty Financial Group, Inc. I.A.3 Unrestricted Reserve Balances 3420683996.00 Cash Day 29
2025-09-08 Liberty International Finance Ltd. I.A.3 Unrestricted Reserve Balances 4502524087.00 Cash Day 41
2025-09-08 Liberty National Bank I.A.3 Unrestricted Reserve Balances 2612799698.00 Cash Day 47
2025-09-08 Liberty Financial Group, Inc. I.A.3 Unrestricted Reserve Balances 4946866440.00 Cash >2 Yr <= 3 Yr
2025-09-08 Liberty International Finance Ltd. I.A.3 Unrestricted Reserve Balances 747055972.00 Cash Day 17
2025-09-08 Liberty Financial Group, Inc. I.A.3 Unrestricted Reserve Balances 1672020215.00 Cash Day 32
2025-09-08 Liberty Financial Group, Inc. I.A.3 Unrestricted Reserve Balances 3427161053.00 Cash Day 29