Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

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

Report Date Product ID Counterparty Maturity Bucket Maturity Amount
2025-09-09 I.U.6 Small Business 75 - 82 Days 2312330.80
2025-09-09 I.U.6 Non-Financial Corporate Day 47 5033120.05
2025-09-09 I.U.6 Small Business Day 44 260742.31
2025-09-09 I.U.6 Non-Financial Corporate Open 375450.95
2025-09-09 I.U.6 Debt Issuing SPE Day 52 2188694.95
2025-09-09 I.U.6 Sovereign Day 18 2063881.56
2025-09-09 I.U.6 Other Day 48 585579.26
2025-09-09 I.U.6 Other Supranational Day 36 888696.28
2025-09-09 I.U.6 Debt Issuing SPE Day 6 2663353.25
2025-09-09 I.U.6 Debt Issuing SPE Day 23 2944132.62
2025-09-09 I.U.6 Non-Financial Corporate Day 21 4960355.32
2025-09-09 I.U.6 Small Business Day 49 2818389.00
2025-09-09 I.U.6 Other Supranational Day 3 5474801.05
2025-09-09 I.U.6 Debt Issuing SPE Day 8 5701743.04
2025-09-09 I.U.6 Small Business Day 1 2762916.44
2025-09-09 I.U.6 Sovereign Day 32 5157383.31
2025-09-09 I.U.6 Retail 271 - 364 Days 1906151.09
2025-09-09 I.U.6 Debt Issuing SPE 75 - 82 Days 2237474.76
2025-09-09 I.U.6 Sovereign 271 - 364 Days 4236297.91
2025-09-09 I.U.6 Small Business Day 41 3667492.76
2025-09-09 I.U.6 Retail Day 53 3643534.12
2025-09-09 I.U.6 Other Day 56 261272.65
2025-09-09 I.U.6 Sovereign Day 50 2547256.98
2025-09-09 I.U.6 Retail Day 23 682765.52
2025-09-09 I.U.6 Non-Financial Corporate Day 49 1531709.41