Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

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Lending to financials secured by rehypothecatable level 1 HQLA (0% RSF)

Report Date Product ID Counterparty Maturity Bucket Maturity Amount Collateral Class
2025-09-09 I.S.1 Broker-Dealer Day 54 139071.94 A-4-Q
2025-09-09 I.S.1 Broker-Dealer Day 1 447448.40 A-0-Q
2025-09-09 I.S.1 Financial Market Utility 75 - 82 Days 3437116.17 A-5-Q
2025-09-09 I.S.1 Non-Regulated Fund Day 19 4216117.10 S-1-Q
2025-09-09 I.S.1 Financial Market Utility Day 10 1129928.14 S-4-Q
2025-09-09 I.S.1 Bank Day 59 2464906.04 S-2-Q
2025-09-09 I.S.1 Broker-Dealer Day 41 1820042.12 S-3-Q
2025-09-09 I.S.1 Investment Company or Advisor Day 41 2596765.59 S-2-Q
2025-09-09 I.S.1 Non-Regulated Fund Day 6 948220.19 CB-2-Q
2025-09-09 I.S.1 Pension Fund 91 - 120 Days 1225688.64 CB-1-Q
2025-09-09 I.S.1 Investment Company or Advisor Day 16 5072966.42 S-2-Q
2025-09-09 I.S.2 Financial Market Utility Day 25 1515115.42 S-2-Q
2025-09-09 I.S.2 Pension Fund Day 47 4347829.99 CB-2-Q
2025-09-09 I.S.2 Non-Regulated Fund 68 - 74 Days 4431519.03 A-3-Q
2025-09-09 I.S.2 Non-Regulated Fund Day 3 3845576.63 S-3-Q
2025-09-09 I.S.2 Investment Company or Advisor Day 1 3527505.82 S-1-Q
2025-09-09 I.S.2 Financial Market Utility Day 2 3038592.36 S-1-Q
2025-09-09 I.S.3 Pension Fund Day 51 2277055.74 A-2-Q
2025-09-09 I.S.3 Pension Fund Day 31 69555.07 A-1-Q
2025-09-09 I.S.3 Financial Market Utility Day 49 3921762.79 A-4-Q
2025-09-09 I.S.3 Broker-Dealer Day 26 1743902.09 S-1-Q
2025-09-09 I.S.3 Other Supervised Non-Bank Financial Entity Day 38 3029314.26 A-0-Q
2025-09-09 I.S.3 Pension Fund Day 52 279422.44 A-1-Q
2025-09-09 I.S.3 Bank Day 25 3419955.49 A-2-Q
2025-09-09 I.S.3 Investment Company or Advisor Day 50 3228593.19 S-4-Q