Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

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Unsecured lending to financials maturing in < 6 months (15% RSF)

Report Date Product ID Counterparty Maturity Bucket Maturity Amount
2025-09-09 I.U.5 Financial Market Utility Day 36 1658685.65
2025-09-09 I.U.5 Investment Company or Advisor Day 18 1179607.23
2025-09-09 I.U.5 Other Supervised Non-Bank Financial Entity 61 - 67 Days 371000.08
2025-09-09 I.U.5 Pension Fund Day 10 19307.19
2025-09-09 I.U.5 Bank Day 9 2629445.04
2025-09-09 I.U.5 Broker-Dealer Day 33 1199607.26
2025-09-09 I.U.5 Broker-Dealer Day 8 2845577.80
2025-09-09 I.U.5 Financial Market Utility Day 40 2889626.12
2025-09-09 I.U.5 Pension Fund Day 17 4505599.18
2025-09-09 I.U.5 Bank Day 50 1971123.94
2025-09-09 I.U.5 Broker-Dealer Day 7 2899085.49
2025-09-09 I.U.5 Pension Fund Day 43 1509024.97
2025-09-09 I.U.5 Non-Regulated Fund Day 37 88496.41
2025-09-09 I.U.5 Bank Day 12 267392.64
2025-09-09 I.U.5 Bank 83 - 90 Days 3018474.60
2025-09-09 I.U.5 Bank Day 1 4300629.37
2025-09-09 I.U.5 Broker-Dealer Day 23 3311381.59
2025-09-09 I.U.5 Non-Regulated Fund 61 - 67 Days 11965.64
2025-09-09 I.U.5 Investment Company or Advisor Day 44 1148480.68
2025-09-09 I.U.5 Investment Company or Advisor Day 27 4101273.39
2025-09-09 I.U.5 Broker-Dealer Day 36 3996073.07
2025-09-09 I.U.5 Non-Regulated Fund Day 41 4289150.20
2025-09-09 I.U.5 Pension Fund Day 46 5830804.20
2025-09-09 I.U.5 Broker-Dealer Day 39 3241612.65
2025-09-09 I.U.5 Pension Fund Day 38 507794.13