Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

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Secured lending to central banks maturing in < 6 months (0% RSF)

Report Date Product ID Counterparty Maturity Bucket Maturity Amount Collateral Class
2025-10-13 I.S.8 Central Bank 91 - 120 Days 38207.77 Y-2
2025-10-13 I.S.8 Central Bank 91 - 120 Days 3003.19 Y-3
2025-10-13 I.S.8 Central Bank 91 - 120 Days 37085.27 Y-4
2025-10-13 I.S.8 Central Bank 91 - 120 Days 19352.50 Z-1
2025-10-13 I.S.8 Central Bank 91 - 120 Days 77256.33 A-2
2025-10-13 I.S.8 Central Bank 91 - 120 Days 33021.68 A-3
2025-10-13 I.S.8 Central Bank 91 - 120 Days 42927.70 A-4
2025-10-13 I.S.8 Central Bank 91 - 120 Days 24688.72 A-5
2025-10-13 I.S.8 Central Bank 91 - 120 Days 81385.60 CB-1
2025-10-13 I.S.8 Central Bank 91 - 120 Days 57369.33 CB-2
2025-10-13 I.S.8 Central Bank 91 - 120 Days 67173.12 CB-3
2025-10-13 I.S.8 Central Bank 91 - 120 Days 70070.38 E-1
2025-10-13 I.S.8 Central Bank 91 - 120 Days 44062.10 E-2
2025-10-13 I.S.8 Central Bank 91 - 120 Days 51027.52 G-1
2025-10-13 I.S.8 Central Bank 91 - 120 Days 14528.45 G-2
2025-10-13 I.S.8 Central Bank 91 - 120 Days 6920.82 G-3
2025-10-13 I.S.8 Central Bank 91 - 120 Days 49999.03 IG-1
2025-10-13 I.S.8 Central Bank 91 - 120 Days 49332.76 IG-2
2025-10-13 I.S.8 Central Bank 91 - 120 Days 9049.48 S-1
2025-10-13 I.S.8 Central Bank 91 - 120 Days 76411.95 S-2
2025-10-13 I.S.8 Central Bank 91 - 120 Days 39472.08 S-3
2025-10-13 I.S.8 Central Bank 91 - 120 Days 15519.87 S-4
2025-10-13 I.S.8 Central Bank 91 - 120 Days 48534.14 S-5
2025-10-13 I.S.8 Central Bank 91 - 120 Days 71937.22 S-6
2025-10-13 I.S.8 Central Bank 91 - 120 Days 50032.81 S-7