Complex Institution Liquidity Monitoring Report OMB Number 7100-0361

Home Contact Us Demo Reporting Entity

Securities financing transactions assigned > 20% risk weight provided to non-financial customers and maturing in ≥ 1 year (85% RSF)

Report Date Product ID Counterparty Maturity Bucket Maturity Amount Collateral Class
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 13501.44 Y-2
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 7960.11 Y-3
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 28890.89 Y-4
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 6258.21 Z-1
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 20350.70 A-2
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 12764.72 A-3
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 19138.13 A-4
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 21627.67 A-5
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 2678.45 CB-1
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 28486.61 CB-2
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 23730.14 CB-3
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 6536.82 E-1
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 31877.71 E-2
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 10769.93 G-1
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 5266.06 G-2
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 25550.47 G-3
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 28330.53 IG-1
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 9591.45 IG-2
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 2207.31 S-1
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 1671.08 S-2
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 9496.69 S-3
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 25498.97 S-4
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 4684.26 S-5
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 30706.81 S-6
2025-10-09 I.S.7 Debt Issuing SPE >5 Yr 30252.35 S-7