Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

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Secured lending to non-financials maturing in < 1 year (50% RSF)

Report Date Product ID Counterparty Maturity Bucket Maturity Amount Collateral Class
2025-09-09 I.S.5 Small Business Day 14 2401644.81 S-1-Q
2025-09-09 I.S.5 Other Supranational 180 - 270 Days 2026859.52 N-4
2025-09-09 I.S.5 Non-Financial Corporate Day 28 2311490.74 Y-3
2025-09-09 I.S.5 Retail Day 39 3902633.84 L-4
2025-09-09 I.S.5 Other Day 4 3843933.23 S-3-Q
2025-09-09 I.S.5 Other Supranational Day 59 1493287.29 S-2-Q
2025-09-09 I.S.5 Debt Issuing SPE Day 1 4225972.74 L-6
2025-09-09 I.S.5 Other Day 51 5269016.29 C-1
2025-09-09 I.S.5 Sovereign Day 34 1219964.96 CB-1-Q
2025-09-09 I.S.5 Non-Financial Corporate Day 39 3166812.79 E-2
2025-09-09 I.S.5 Sovereign Day 10 719952.59 IG-2
2025-09-09 I.S.5 Debt Issuing SPE Day 58 1971675.81 A-1-Q
2025-09-09 I.S.5 Small Business 75 - 82 Days 1043242.28 IG-8
2025-09-09 I.S.5 Retail Day 28 2297785.58 S-7-Q
2025-09-09 I.S.5 Other Supranational Day 31 2691578.88 Y-4
2025-09-09 I.S.6 Other Open 2997365.19 CB-2-Q
2025-09-09 I.S.6 Non-Financial Corporate Day 27 4031690.63 A-1-Q
2025-09-09 I.S.6 Retail Day 39 1679062.03 LC-1
2025-09-09 I.S.6 Other Supranational Day 23 3094185.73 A-5
2025-09-09 I.S.6 Other Supranational Day 37 4270281.70 LC-1
2025-09-09 I.S.6 Other Supranational Day 58 3531457.22 E-2
2025-09-09 I.S.6 Debt Issuing SPE Day 24 1615095.18 L-6
2025-09-09 I.S.6 Small Business Day 52 2062080.71 IG-1
2025-09-09 I.S.6 Small Business 61 - 67 Days 1142376.37 A-5
2025-09-09 I.S.6 Debt Issuing SPE Day 2 3750080.53 E-3