Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

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Central bank debt securities maturing in < 6 months (0% RSF)

Report Date Product ID Sub Product Market Value Maturity Bucket Collateral Class Encumbrance Type
2025-09-08 I.A.1 422655625.00 Day 41 CB-3 Unencumbered
2025-09-08 I.A.1 763712116.00 Day 58 CB-3 Unencumbered
2025-09-08 I.A.1 791869055.00 Day 4 CB-1-Q Unencumbered
2025-09-08 I.A.1 508549288.00 Day 26 CB-1 Unencumbered
2025-09-08 I.A.1 901103808.00 61 - 67 Days CB-4 Unencumbered
2025-09-08 I.A.1 952039711.00 Day 35 CB-2 Unencumbered
2025-09-08 I.A.1 551103419.00 Day 43 CB-1 Unencumbered
2025-09-08 I.A.1 873694602.00 Day 21 CB-2-Q Unencumbered
2025-09-08 I.A.1 340895504.00 Day 7 CB-4 Unencumbered
2025-09-08 I.A.1 915675220.00 Day 7 CB-1-Q Unencumbered
2025-09-08 I.A.1 423222313.00 Open CB-3-Q Unencumbered
2025-09-08 I.A.1 137978013.00 Day 51 CB-4 Unencumbered
2025-09-08 I.A.1 525090461.00 Day 55 CB-3 Unencumbered
2025-09-08 I.A.1 669329905.00 Day 43 CB-3-Q Unencumbered
2025-09-08 I.A.1 866677708.00 Day 57 CB-3-Q Unencumbered
2025-09-08 I.A.2 Other Government Sponsored Entity 4382271429.00 Day 25 CB-1-Q Pledged
2025-09-08 I.A.2 Bank of Canada 1617532418.00 Day 28 CB-2-Q Pledged
2025-09-08 I.A.2 Bank of England 444258338.00 Day 18 CB-1-Q Pledged
2025-09-08 I.A.2 European Central Bank 2426758955.00 Day 34 CB-1 Pledged
2025-09-08 I.A.2 Other Government Sponsored Entity 4313547483.00 Day 36 CB-1-Q Pledged
2025-09-08 I.A.2 Other Central Bank 4595474822.00 Day 28 CB-1 Pledged
2025-09-08 I.A.2 Federal Reserve Bank 2985382098.00 61 - 67 Days CB-4 Pledged
2025-09-08 I.A.2 Federal Home Loan Bank 1811631968.00 Day 17 CB-2-Q Pledged
2025-09-08 I.A.2 Bank of Canada 898948952.00 Day 48 CB-3-Q Pledged
2025-09-08 I.A.2 Federal Home Loan Bank 3610462425.00 Day 54 CB-4 Pledged