Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

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Unsecured lending to central banks maturing in < 6 months (0% RSF)

Report Date Product ID Counterparty Maturity Bucket Maturity Amount Encumbrance Type
2025-10-09 I.U.8 Central Bank Day 41 62575.11
2025-10-09 I.U.8 Central Bank Day 42 370471.84
2025-10-09 I.U.8 Central Bank Day 43 935574.96
2025-10-09 I.U.8 Central Bank Day 44 646345.66
2025-10-09 I.U.8 Central Bank Day 45 889058.21
2025-10-09 I.U.8 Central Bank Day 46 704658.51
2025-10-09 I.U.8 Central Bank Day 47 241224.35
2025-10-09 I.U.8 Central Bank Day 48 549592.31
2025-10-09 I.U.8 Central Bank Day 49 1484657.89
2025-10-09 I.U.8 Central Bank Day 50 376275.25
2025-10-09 I.U.8 Central Bank Day 51 849945.08
2025-10-09 I.U.8 Central Bank Day 52 1270065.81
2025-10-09 I.U.8 Central Bank Day 53 353687.29
2025-10-09 I.U.8 Central Bank Day 54 98238.37
2025-10-09 I.U.8 Central Bank Day 55 1270014.87
2025-10-09 I.U.8 Central Bank Day 56 758197.29
2025-10-09 I.U.8 Central Bank Day 57 1104974.72
2025-10-09 I.U.8 Central Bank Day 58 42708.79
2025-10-09 I.U.8 Central Bank Day 59 1409525.77
2025-10-09 I.U.8 Central Bank Day 60 549970.95
2025-10-09 I.U.8 Central Bank 61 - 67 Days 1102703.75
2025-10-09 I.U.8 Central Bank 68 - 74 Days 71517.43
2025-10-09 I.U.8 Central Bank 75 - 82 Days 1432950.85
2025-10-09 I.U.8 Central Bank 83 - 90 Days 778651.67
2025-10-09 I.U.8 Central Bank 91 - 120 Days 1158495.31