Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

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Secured lending to financials and central banks, maturing in ≥ 6 months, but < 1 year (50% RSF)

Report Date Product ID Counterparty Maturity Bucket Maturity Amount Collateral Class
2025-09-09 I.S.1 Non-Regulated Fund 271 - 364 Days 1065434.96 S-4
2025-09-09 I.S.1 Financial Market Utility 151 - 179 Days 1985269.18 A-0-Q
2025-09-09 I.S.2 Pension Fund 121 - 150 Days 3196994.91 A-2
2025-09-09 I.S.2 Other Supervised Non-Bank Financial Entity 180 - 270 Days 2136044.54 P-2
2025-09-09 I.S.3 Investment Company or Advisor 121 - 150 Days 1448466.40 Y-4
2025-09-09 I.S.3 Bank 271 - 364 Days 149100.62 S-7-Q
2025-09-09 I.S.3 Financial Market Utility 151 - 179 Days 1013095.01 G-3
2025-09-09 I.S.5 Bank 151 - 179 Days 951582.13 A-3
2025-09-09 I.S.5 Non-Regulated Fund 180 - 270 Days 731640.25 CB-3
2025-09-09 I.S.5 Pension Fund 271 - 364 Days 1445753.97 N-4
2025-09-09 I.S.6 Bank 151 - 179 Days 5310775.15 S-1
2025-09-09 I.S.6 Central Bank 151 - 179 Days 2916330.35 S-5
2025-09-09 I.S.7 Bank 271 - 364 Days 1990034.58 LC-2
2025-09-09 I.S.7 Pension Fund 180 - 270 Days 2810159.46 N-2
2025-09-09 I.S.7 Non-Regulated Fund 180 - 270 Days 1351946.71 G-2
2025-09-09 I.S.7 Broker-Dealer 151 - 179 Days 3737808.20 C-1
2025-09-09 I.S.8 Broker-Dealer 180 - 270 Days 1401104.25 L-8
2025-09-09 I.S.8 Non-Regulated Fund 271 - 364 Days 2969849.08 L-3
2025-09-09 I.S.8 Investment Company or Advisor 180 - 270 Days 4038985.31 S-1
2025-10-09 I.S.1 Pension Fund 121 - 150 Days 70687.66 A-0-Q
2025-10-09 I.S.1 Pension Fund 121 - 150 Days 9960.43 A-1-Q
2025-10-09 I.S.1 Pension Fund 121 - 150 Days 77608.64 A-2-Q
2025-10-09 I.S.1 Pension Fund 121 - 150 Days 31952.19 A-3-Q
2025-10-09 I.S.1 Pension Fund 121 - 150 Days 44834.43 A-4-Q
2025-10-09 I.S.1 Pension Fund 121 - 150 Days 85356.57 A-5-Q