Data Dictionary

You Searched For: RISO

RISO is a Public Series

MDRM Item Start Date End Date Item Name Reporting Forms
RISO1754 2020-06-30 9999-12-31 HELD-TO-MATURITY SECURITIES, TOTAL FR Y-15
RISO1773 2020-06-30 9999-12-31 Available-for-sale debt securities (from Schedule RC-B, column D) FR Y-15
RISO2170 2020-06-30 9999-12-31 TOTAL ASSETS FR Y-15
RISO2309 2020-06-30 9999-12-31 COMMERCIAL PAPER FR Y-15
RISO2948 2020-06-30 9999-12-31 TOTAL LIABILITIES AND MINORITY INTEREST FR Y-15
RISOFC52 2020-06-30 9999-12-31 DOES ITEM 5 (TOTAL EXPOSURES) REPRESENT AN AVERAGE VALUE OVER THE REPORTING PERIOD? FR Y-15
RISOG506 2020-06-30 9999-12-31 TOTAL ASSETS MEASURED AT FAIR VALUE ON A RECURRING BASIS - LEVEL 3 FAIR VALUE MEASUREMENTS FR Y-15
RISOJ458 2020-06-30 9999-12-31 OTHER UNUSED COMMITMENTS: LOANS TO FINANCIAL INSTITUTIONS FR Y-15
RISOKW01 2020-06-30 9999-12-31 TOTAL OFF-BALANCE SHEET EXPOSURES FR Y-15
RISOKW46 2020-06-30 9999-12-31 Securities traded in the last four quarters: Securities issued by public sector entities FR Y-15
RISOKW48 2020-06-30 9999-12-31 Securities traded in the last four quarters: Other fixed income securities FR Y-15
RISOKW50 2020-06-30 9999-12-31 Securities traded in the last four quarters: Listed equities FR Y-15
RISOKW52 2020-06-30 9999-12-31 Securities traded in the last four quarters: Other securities FR Y-15
RISOKW54 2020-06-30 9999-12-31 Foreign derivative claims on an ultimate-risk basis FR Y-15
RISOKW55 2020-06-30 9999-12-31 Total cross-jurisdictional claims (sum of 1 and M1) FR Y-15
RISOKW56 2020-06-30 9999-12-31 Foreign derivative liabilities on an immediate-counterparty basis FR Y-15
RISOKW57 2020-06-30 9999-12-31 Consolidated foreign liabilities on an immediate-counterparty basis excluding derivative liabilities FR Y-15
RISOKY47 2020-06-30 9999-12-31 TOTAL NONBANK ASSETS FR Y-15
RISOKY49 2020-06-30 9999-12-31 CROSS-JURISDICTIONAL ACTIVITY FR Y-15
RISOKY50 2020-06-30 9999-12-31 TOTAL CROSS-JURISDICTIONAL LIABILITIES (SUM OF M3 AND M4) FR Y-15
RISOKY51 2020-06-30 2021-06-30 Trading volume FR Y-15
RISOLA95 2020-06-30 9999-12-31 Adjusted foreign claims on an ultimate-risk basis FR Y-15
RISOM334 2020-06-30 9999-12-31 ON-BALANCE SHEET ITEMS: SECURITIES FINANCING TRANSACTIONS: SECURITIES FINANCING TRANSACTIONS, GROSS FR Y-15
RISOM335 2020-06-30 9999-12-31 ON-BALANCE SHEET ITEMS: SECURITIES FINANCING TRANSACTIONS: SECURITIES RECEIVED AS COLLATERAL IN SECURITIES LENDING FR Y-15
RISOM336 2020-06-30 9999-12-31 ON-BALANCE SHEET ITEMS: SECURITIES FINANCING TRANSACTIONS: CASH COLLATERAL RECEIVED IN CONDUIT SECURITIES LENDING TRANSACTIONS FR Y-15
RISOM337 2020-06-30 9999-12-31 ON-BALANCE SHEET ITEMS: DERIVATIVES: DERIVATIVE EXPOSURES WITH A NET POSITIVE FAIR VALUE FR Y-15
RISOM339 2020-06-30 9999-12-31 DERIVATIVES AND OFF-BALANCE SHEET ITEMS: POTENTIAL FUTURE EXPOSURE OF DERIVATIVE CONTRACTS FR Y-15
RISOM340 2020-06-30 9999-12-31 DERIVATIVES AND OFF-BALANCE SHEET ITEMS: CREDIT DERIVATIVES: NOTIONAL AMOUNT OF CREDIT DERIVATIVES SOLD FR Y-15
RISOM341 2020-06-30 9999-12-31 DERIVATIVES AND OFF-BALANCE SHEET ITEMS: CREDIT DERIVATIVES: CREDIT DERIVATIVES SOLD NET OF RELATED CREDIT PROTECTION BOUGHT FR Y-15
RISOM342 2020-06-30 9999-12-31 DERIVATIVES AND OFF-BALANCE SHEET ITEMS: NOTIONAL AMOUNT OF OFF-BALANCE-SHEET ITEMS WITH A 0% CREDIT CONVERSION FACTOR (CCF) FR Y-15
RISOM345 2020-06-30 9999-12-31 HOLDINGS OF SECURITIES ISSUED BY UNAFFILIATED FINANCIAL INSTITUTIONS: COMMERCIAL PAPER FR Y-15
RISOM346 2020-06-30 9999-12-31 DERIVATIVES AND OFF-BALANCE SHEET ITEMS: NOTIONAL AMOUNT OF OFF-BALANCE-SHEET ITEMS WITH A 50% CCF FR Y-15
RISOM347 2020-06-30 9999-12-31 DERIVATIVES AND OFF-BALANCE SHEET ITEMS: NOTIONAL AMOUNT OF OFF-BALANCE-SHEET ITEMS WITH A 100% CCF FR Y-15
RISOM349 2020-06-30 9999-12-31 REGULATORY ADJUSTMENTS FR Y-15
RISOM351 2020-06-30 9999-12-31 FUNDS DEPOSITED WITH OR LENT TO UNAFFILIATED FINANCIAL INSTITUTIONS FR Y-15
RISOM352 2020-06-30 9999-12-31 HOLDINGS OF SECURITIES ISSUED BY UNAFFILIATED FINANCIAL INSTITUTIONS: SECURED DEBT SECURITIES FR Y-15
RISOM353 2020-06-30 9999-12-31 HOLDINGS OF SECURITIES ISSUED BY UNAFFILIATED FINANCIAL INSTITUTIONS: SENIOR UNSECURED DEBT SECURITIES FR Y-15
RISOM354 2020-06-30 9999-12-31 HOLDINGS OF SECURITIES ISSUED BY UNAFFILIATED FINANCIAL INSTITUTIONS: SUBORDINATED DEBT SECURITIES FR Y-15
RISOM355 2020-06-30 9999-12-31 HOLDINGS OF SECURITIES ISSUED BY UNAFFILIATED FINANCIAL INSTITUTIONS: CERTIFICATES OF DEPOSIT FR Y-15
RISOM356 2020-06-30 9999-12-31 HOLDINGS OF SECURITIES ISSUED BY UNAFFILIATED FINANCIAL INSTITUTIONS: STOCK (INCLUDING PAR AND SURPLUS OF COMMON AND PREFERRED SHARES) FR Y-15
RISOM357 2020-06-30 9999-12-31 HOLDINGS OF SECURITIES ISSUED BY UNAFFILIATED FINANCIAL INSTITUTIONS: OFFSETTING SHORT POSITIONS IN RELATION TO THE SPECIFIC STOCK HOLDINGS INCLUDED IN ITEM 3.F FR Y-15
RISOM358 2020-06-30 9999-12-31 NET POSITIVE CURRENT EXPOSURE OF SECURITIES FINANCING TRANSACTIONS WITH UNAFFILIATED FINANCIAL INSTITUTIONS FR Y-15
RISOM359 2020-06-30 9999-12-31 OVER-THE-COUNTER (OTC) DERIVATIVES WITH UNAFFILIATED FINANCIAL INSTITUTIONS THAT HAVE A NET POSITIVE FAIR VALUE: NET POSITIVE FAIR VALUE (INCLUDE COLLATERAL HELD IF IT IS WITHIN THE MASTER NETTING AGREEMENT) FR Y-15
RISOM360 2020-06-30 9999-12-31 OVER-THE-COUNTER (OTC) DERIVATIVES WITH UNAFFILIATED FINANCIAL INSTITUTIONS THAT HAVE A NET POSITIVE FAIR VALUE: POTENTIAL FUTURE EXPOSURE FR Y-15
RISOM362 2020-06-30 9999-12-31 TOTAL INTRA-FINANCIAL SYSTEM ASSETS (SUM OF ITEMS 1 THROUGH 3.F, 4, 5.A AND 5.B MINUS ITEM 3.G) FR Y-15
RISOM363 2020-06-30 9999-12-31 DEPOSITS DUE TO UNAFFILIATED FINANCIAL INSTITUTIONS (INCLUDING UNDRAWN COMMITTED LINES): DEPOSITS DUE TO DEPOSITORY INSTITUTIONS FR Y-15
RISOM364 2020-06-30 9999-12-31 DEPOSITS DUE TO UNAFFILIATED FINANCIAL INSTITUTIONS (INCLUDING UNDRAWN COMMITTED LINES): DEPOSITS DUE TO NON-DEPOSITORY FINANCIAL INSTITUTIONS FR Y-15
RISOM365 2020-06-30 9999-12-31 DEPOSITS DUE TO UNAFFILIATED FINANCIAL INSTITUTIONS (INCLUDING UNDRAWN COMMITTED LINES): UNDRAWN COMMITTED LINES OBTAINED FROM UNAFFILIATED FINANCIAL INSTITUTIONS FR Y-15
RISOM366 2020-06-30 9999-12-31 NET NEGATIVE CURRENT EXPOSURE OF SECURITIES FINANCING TRANSACTIONS WITH UNAFFILIATED FINANCIAL INSTITUTIONS FR Y-15
RISOM367 2020-06-30 9999-12-31 OTC DERIVATIVES WITH UNAFFILIATED FINANCIAL INSTITUTIONS THAT HAVE A NET NEGATIVE FAIR VALUE: NET NEGATIVE FAIR VALUE (INCLUDE COLLATERAL PROVIDED IF IT IS WITHIN THE MASTER NETTING AGREEMENT) FR Y-15
RISOM368 2020-06-30 9999-12-31 OTC DERIVATIVES WITH UNAFFILIATED FINANCIAL INSTITUTIONS THAT HAVE A NET NEGATIVE FAIR VALUE: POTENTIAL FUTURE EXPOSURE FR Y-15
RISOM370 2020-06-30 9999-12-31 TOTAL INTRA-FINANCIAL SYSTEM LIABILITIES FR Y-15
RISOM371 2020-06-30 9999-12-31 SECURED DEBT SECURITIES FR Y-15
RISOM372 2020-06-30 9999-12-31 SENIOR UNSECURED DEBT SECURITIES FR Y-15
RISOM373 2020-06-30 9999-12-31 SUBORDINATED DEBT SECURITIES FR Y-15
RISOM374 2020-06-30 9999-12-31 CERTIFICATES OF DEPOSIT FR Y-15
RISOM375 2020-06-30 9999-12-31 EQUITY MARKET CAPITALIZATION FR Y-15
RISOM376 2020-06-30 9999-12-31 TOTAL SECURITIES ISSUED FR Y-15
RISOM377 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: AUSTRALIAN DOLLARS (AUD) FR Y-15
RISOM378 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: BRAZILIAN REAL (BRL) FR Y-15
RISOM379 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: CANADIAN DOLLARS (CAD) FR Y-15
RISOM380 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: SWISS FRANCS (CHF) FR Y-15
RISOM381 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: CHINESE YUAN (CNY) FR Y-15
RISOM382 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: EUROS (EUR) FR Y-15
RISOM383 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: POUND STERLING (GBP) FR Y-15
RISOM384 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: HONG KONG DOLLARS (HKD) FR Y-15
RISOM385 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: INDIAN RUPEE (INR) FR Y-15
RISOM386 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: JAPANESE YEN (JPY) FR Y-15
RISOM387 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: SWEDISH KRONA (SEK) FR Y-15
RISOM388 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: UNITED STATES DOLLARS (USD) FR Y-15
RISOM389 2020-06-30 9999-12-31 PAYMENTS MADE IN THE REPORTING YEAR: ALL CURRENCIES NOT LISTED ABOVE FR Y-15
RISOM390 2020-06-30 9999-12-31 TOTAL PAYMENTS ACTIVITY (SUM OF ITEMS 1.A THROUGH 1.M) FR Y-15
RISOM405 2020-06-30 9999-12-31 VALUE OF ASSETS HELD AS A CUSTODIAN ON BEHALF OF CUSTOMERS FR Y-15
RISOM406 2020-06-30 9999-12-31 EQUITY UNDERWRITING ACTIVITY FR Y-15
RISOM407 2020-06-30 9999-12-31 DEBT UNDERWRITING ACTIVITY FR Y-15
RISOM408 2020-06-30 9999-12-31 TOTAL UNDERWRITING ACTIVITY FR Y-15
RISOM409 2020-06-30 9999-12-31 OTC DERIVATIVES CLEARED THROUGH A CENTRAL COUNTERPARTY FR Y-15
RISOM410 2020-06-30 9999-12-31 OTC DERIVATIVES SETTLED BILATERALLY FR Y-15
RISOM411 2020-06-30 9999-12-31 TOTAL NOTIONAL AMOUNT OF DERIVATIVE CONTRACTS FR Y-15
RISOM412 2020-06-30 9999-12-31 TRADING SECURITIES FR Y-15
RISOM414 2020-06-30 9999-12-31 VALUE OF TRADING AND AFS SECURITIES (SUM OF ITEMS 4 AND 5) FR Y-15
RISOM422 2020-06-30 9999-12-31 TOTAL FOREIGN CLAIMS ON AN ULTIMATE RISK BASIS FR Y-15
RISOM423 2020-06-30 9999-12-31 FOREIGN LIABILITIES (EXCLUDING LOCAL LIABILITIES IN LOCAL CURRENCY) FR Y-15
RISOM424 2020-06-30 9999-12-31 FOREIGN LIABILITIES (EXCLUDING LOCAL LIABILITIES IN LOCAL CURRENCY): ANY FOREIGN LIABILITIES TO RELATED OFFICES INCLUDED IN ITEM 2 FR Y-15
RISOM425 2020-06-30 9999-12-31 LOCAL LIABILITIES IN LOCAL CURRENCY FR Y-15
RISOM426 2020-06-30 9999-12-31 TOTAL CROSS-JURISDICTIONAL LIABILITIES (SUM OF ITEMS 2 AND 3, MINUS ITEM 2.A) FR Y-15
RISOM427 2020-06-30 9999-12-31 RETAIL FUNDING FR Y-15
RISOM428 2020-06-30 9999-12-31 TOTAL NET REVENUE FR Y-15
RISOM429 2020-06-30 9999-12-31 FOREIGN NET REVENUE FR Y-15
RISOM430 2020-06-30 9999-12-31 TOTAL GROSS REVENUE FR Y-15
RISOM432 2020-06-30 9999-12-31 GROSS VALUE OF CASH LENT AND GROSS FAIR VALUE OF SECURITIES LENT IN SECURITIES FINANCING TRANSACTIONS FR Y-15
RISOM433 2020-06-30 9999-12-31 GROSS VALUE OF CASH BORROWED AND GROSS FAIR VALUE OF SECURITIES BORROWED IN SECURITIES FINANCING TRANSACTIONS FR Y-15
RISOM434 2020-06-30 9999-12-31 GROSS POSITIVE FAIR VALUE OF OVER-THE-COUNTER (OTC) DERIVATIVES TRANSACTIONS FR Y-15
RISOM435 2020-06-30 9999-12-31 GROSS NEGATIVE FAIR VALUE OF OTC DERIVATIVES TRANSACTIONS FR Y-15
RISOM436 2020-06-30 9999-12-31 UNSECURED SETTLEMENT/CLEARING LINES PROVIDED FR Y-15
RISOM437 2020-06-30 9999-12-31 NUMBER OF JURISDICTIONS FR Y-15
RISOM718 2020-06-30 9999-12-31 DERIVATIVES AND OFF-BALANCE SHEET ITEMS: NOTIONAL AMOUNT OF OFF-BALANCE-SHEET ITEMS WITH A 20% CCF FR Y-15
RISOMV93 2021-09-30 9999-12-31 Trading volume - fixed income FR Y-15
RISOMV95 2021-09-30 9999-12-31 Trading volume - equities and other securities FR Y-15
RISON255 2020-06-30 9999-12-31 TOTAL ADJUSTED TRADING AND AFS SECURITIES FR Y-15
RISON507 2020-06-30 9999-12-31 DERIVATIVES AND OFF-BALANCE-SHEET ITEMS: COUNTERPARTY RISK EXPOSURES: COUNTERPARTY EXPOSURE OF SFTS FR Y-15
RISON509 2020-06-30 9999-12-31 PREFERRED SHARES AND OTHER FORMS OF SUBORDINATED FUNDING NOT CAPTURED IN ITEM 15 FR Y-15
RISON510 2020-06-30 9999-12-31 TRADING AND AFS SECURITIES THAT MEET THE DEFINITION OF LEVEL 1 ASSETS FR Y-15
RISON511 2020-06-30 9999-12-31 TRADING AND AFS SECURITIES THAT MEET THE DEFINITION OF LEVEL 2 ASSETS, WITH HAIRCUTS FR Y-15
RISOY822 2020-06-30 9999-12-31 DERIVATIVE EXPOSURES: GROSS-UP FOR DERIVATIVES COLLATERAL FR Y-15
RISOY823 2020-06-30 9999-12-31 DERIVATIVE EXPOSURES: CASH VARIATION MARGIN INCLUDED AS AN ON-BALANCE SHEET RECEIVABLE FR Y-15
RISOY824 2020-06-30 9999-12-31 DERIVATIVE EXPOSURES: EXEMPTED CENTRAL COUNTERPARTY LEGS OF CLIENTS-CLEARED TRANSACTIONS INCLUDED IN ITEM 3(A) FR Y-15
RISOY825 2020-06-30 9999-12-31 DERIVATIVE EXPOSURES: EFFECTIVE NOTIONAL AMOUNT OFFSETS AND PFE ADJUSTMENTS FOR SOLD CREDIT PROTECTION FR Y-15
RISOY826 2020-06-30 9999-12-31 DERIVATIVE EXPOSURES: TOTAL DERIVATIVE EXPOSURES (SUM OF ITEMS 1.A THROUGH 1.D, MINUS THE SUM OF ITEMS 1.E THROUGH 1.G) FR Y-15
RISOY827 2020-06-30 9999-12-31 SECURITIES FINANCING TRANSACTION (SFT) EXPOSURES: SFT INDEMNIFICATION AND OTHER AGENT-RELATED EXPOSURES FR Y-15
RISOY828 2020-06-30 9999-12-31 SECURITIES FINANCING TRANSACTION (SFT) EXPOSURES: GROSS VALUE OF OFFSETTING CASH PAYABLES FR Y-15
RISOY829 2020-06-30 9999-12-31 SECURITIES FINANCING TRANSACTION (SFT) EXPOSURES: TOTAL SFT EXPOSURES (SUM OF ITEMS 2.A THROUGH 2.C, MINUS ITEM 2.D) FR Y-15
RISOY830 2020-06-30 9999-12-31 OTHER ON-BALANCE SHEET EXPOSURES: OTHER ON-BALANCE SHEET ASSETS FR Y-15
RISOY831 2020-06-30 9999-12-31 OTHER OFF-BALANCE SHEET EXPOSURES: CREDIT EXPOSURE EQUIVALENT OF OTHER OFF-BALANCE SHEET ITEMS (SUM OF 0.1 TIMES ITEM 4.A, 0.2 TIMES ITEM 4.B, 0.5 TIMES ITEM 4.C, AND ITEM 4.D) FR Y-15
RISOY832 2020-06-30 9999-12-31 TOTAL EXPOSURES PRIOR TO REGULATORY DEDUCTIONS (SUM OF ITEMS 1.H, 2.E, 3.A, AND 4.E) FR Y-15
RISOY833 2020-06-30 9999-12-31 BORROWINGS OBTAINED FROM OTHER FINANCIAL INSTITUTIONS FR Y-15
RISOY834 2020-06-30 9999-12-31 STANDBY LETTERS OF CREDIT EXTENDED TO OTHER FINANCIAL INSTITUTIONS FR Y-15
RISOY835 2020-06-30 9999-12-31 PAYMENTS MADE IN THE LAST FOUR QUARTERS: MEXICAN PESOS (MXN) FR Y-15
RISOY836 2020-06-30 9999-12-31 PAYMENTS MADE IN THE LAST FOUR QUARTERS: NEW ZEALAND DOLLARS (NZD) FR Y-15
RISOY837 2020-06-30 9999-12-31 PAYMENTS MADE IN THE LAST FOUR QUARTERS: RUSSIAN RUBLES (RUB) FR Y-15
RISOY838 2020-06-30 9999-12-31 FIRST TIER: FUNDING SECURED BY LEVEL 1 LIQUID ASSETS - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY839 2020-06-30 9999-12-31 FIRST TIER: FUNDING SECURED BY LEVEL 1 LIQUID ASSETS - REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY840 2020-06-30 9999-12-31 FIRST TIER: FUNDING SECURED BY LEVEL 1 LIQUID ASSETS - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY841 2020-06-30 9999-12-31 FIRST TIER: FUNDING SECURED BY LEVEL 1 LIQUID ASSETS - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY842 2020-06-30 9999-12-31 FIRST TIER: RETAIL BROKERED DEPOSITS AND SWEEPS - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY843 2020-06-30 9999-12-31 FIRST TIER: RETAIL BROKERED DEPOSITS AND SWEEPS- REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY844 2020-06-30 9999-12-31 FIRST TIER: RETAIL BROKERED DEPOSITS AND SWEEPS - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY845 2020-06-30 9999-12-31 FIRST TIER: RETAIL BROKERED DEPOSITS AND SWEEPS - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY846 2020-06-30 9999-12-31 FIRST TIER: UNSECURED WHOLESALE FUNDING OBTAINED OUTSIDE THE FINANCIAL SECTOR - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY847 2020-06-30 9999-12-31 FIRST TIER: UNSECURED WHOLESALE FUNDING OBTAINED OUTSIDE THE FINANCIAL SECTOR- REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY848 2020-06-30 9999-12-31 FIRST TIER: UNSECURED WHOLESALE FUNDING OBTAINED OUTSIDE THE FINANCIAL SECTOR - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY849 2020-06-30 9999-12-31 FIRST TIER: UNSECURED WHOLESALE FUNDING OBTAINED OUTSIDE THE FINANCIAL SECTOR - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY850 2020-06-30 9999-12-31 FIRST TIER: FIRM SHORT POSITIONS SECURED BY LEVEL 2B LIQUID ASSETS OR NON-HQLA - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY851 2020-06-30 9999-12-31 FIRST TIER: FIRM SHORT POSITIONS SECURED BY LEVEL 2B LIQUID ASSETS OR NON-HQLA - REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY852 2020-06-30 9999-12-31 FIRST TIER: FIRM SHORT POSITIONS SECURED BY LEVEL 2B LIQUID ASSETS OR NON-HQLA - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY853 2020-06-30 9999-12-31 FIRST TIER: FIRM SHORT POSITIONS SECURED BY LEVEL 2B LIQUID ASSETS OR NON-HQLA - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY854 2020-06-30 9999-12-31 FIRST TIER: TOTAL FIRST TIER SHORT-TERM WHOLESALE FUNDING (SUM OF ITEMS 1.A THROUGH 1.D) - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY855 2020-06-30 9999-12-31 FIRST TIER: TOTAL FIRST TIER SHORT-TERM WHOLESALE FUNDING (SUM OF ITEMS 1.A THROUGH 1.D) - REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY856 2020-06-30 9999-12-31 FIRST TIER: TOTAL FIRST TIER SHORT-TERM WHOLESALE FUNDING (SUM OF ITEMS 1.A THROUGH 1.D) - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY857 2020-06-30 9999-12-31 FIRST TIER: TOTAL FIRST TIER SHORT-TERM WHOLESALE FUNDING (SUM OF ITEMS 1.A THROUGH 1.D) - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY858 2020-06-30 9999-12-31 SECOND TIER: FUNDING SECURED BY LEVEL 2A LIQUID ASSETS - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY859 2020-06-30 9999-12-31 SECOND TIER: FUNDING SECURED BY LEVEL 2A LIQUID ASSETS - REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY860 2020-06-30 9999-12-31 SECOND TIER: FUNDING SECURED BY LEVEL 2A LIQUID ASSETS - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY861 2020-06-30 9999-12-31 SECOND TIER: FUNDING SECURED BY LEVEL 2A LIQUID ASSETS - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY862 2020-06-30 9999-12-31 SECOND TIER: COVERED ASSET EXCHANGES (LEVEL 1 TO LEVEL 2A) - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY863 2020-06-30 9999-12-31 SECOND TIER: COVERED ASSET EXCHANGES (LEVEL 1 TO LEVEL 2A) - REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY864 2020-06-30 9999-12-31 SECOND TIER:COVERED ASSET EXCHANGES (LEVEL 1 TO LEVEL 2A) - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY865 2020-06-30 9999-12-31 SECOND TIER: COVERED ASSET EXCHANGES (LEVEL 1 TO LEVEL 2A) - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY866 2020-06-30 9999-12-31 SECOND TIER:TOTAL SECOND TIER SHORT-TERM WHOLESALE FUNDING (SUM OF ITEMS 2.A AND 2.B) - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY867 2020-06-30 9999-12-31 SECOND TIER: TOTAL SECOND TIER SHORT-TERM WHOLESALE FUNDING (SUM OF ITEMS 2.A AND 2.B) - REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY868 2020-06-30 9999-12-31 SECOND TIER: TOTAL SECOND TIER SHORT-TERM WHOLESALE FUNDING (SUM OF ITEMS 2.A AND 2.B) - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY869 2020-06-30 9999-12-31 SECOND TIER: TOTAL SECOND TIER SHORT-TERM WHOLESALE FUNDING (SUM OF ITEMS 2.A AND 2.B) - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY870 2020-06-30 9999-12-31 THIRD TIER: FUNDING SECURED BY LEVEL 2B LIQUID ASSETS - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY871 2020-06-30 9999-12-31 THIRD TIER: FUNDING SECURED BY LEVEL 2B LIQUID ASSETS - REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY872 2020-06-30 9999-12-31 THIRD TIER: FUNDING SECURED BY LEVEL 2B LIQUID ASSETS - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY873 2020-06-30 9999-12-31 THIRD TIER: FUNDING SECURED BY LEVEL 2B LIQUID ASSETS - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY874 2020-06-30 9999-12-31 THIRD TIER: OTHER COVERED ASSET EXCHANGES - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY875 2020-06-30 9999-12-31 THIRD TIER: OTHER COVERED ASSET EXCHANGES - REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY876 2020-06-30 9999-12-31 THIRD TIER:OTHER COVERED ASSET EXCHANGES - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY877 2020-06-30 9999-12-31 THIRD TIER: OTHER COVERED ASSET EXCHANGES - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY878 2020-06-30 9999-12-31 THIRD TIER: UNSECURED WHOLESALE FUNDING OBTAINED WITHIN THE FINANCIAL SECTOR - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY879 2020-06-30 9999-12-31 THIRD TIER: UNSECURED WHOLESALE FUNDING OBTAINED WITHIN THE FINANCIAL SECTOR - REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY880 2020-06-30 9999-12-31 THIRD TIER:UNSECURED WHOLESALE FUNDING OBTAINED WITHIN THE FINANCIAL SECTOR - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY881 2020-06-30 9999-12-31 THIRD TIER: UNSECURED WHOLESALE FUNDING OBTAINED WITHIN THE FINANCIAL SECTOR - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY882 2020-06-30 9999-12-31 THIRD TIER: TOTAL THIRD TIER SHORT-TERM WHOLESALE FUNDING (SUM OF ITEMS 3.A THROUGH 3.C) - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY883 2020-06-30 9999-12-31 THIRD TIER: TOTAL THIRD TIER SHORT-TERM WHOLESALE FUNDING (SUM OF ITEMS 3.A THROUGH 3.C) - REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY884 2020-06-30 9999-12-31 THIRD TIER:TOTAL THIRD TIER SHORT-TERM WHOLESALE FUNDING (SUM OF ITEMS 3.A THROUGH 3.C) - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY885 2020-06-30 9999-12-31 THIRD TIER: TOTAL THIRD TIER SHORT-TERM WHOLESALE FUNDING (SUM OF ITEMS 3.A THROUGH 3.C) - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY886 2020-06-30 9999-12-31 ALL OTHER COMPONENTS OF SHORT-TERM WHOLESALE FUNDING - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY887 2020-06-30 9999-12-31 ALL OTHER COMPONENTS OF SHORT-TERM WHOLESALE FUNDING - REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY888 2020-06-30 9999-12-31 ALL OTHER COMPONENTS OF SHORT-TERM WHOLESALE FUNDING - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY889 2020-06-30 9999-12-31 ALL OTHER COMPONENTS OF SHORT-TERM WHOLESALE FUNDING - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY890 2020-06-30 9999-12-31 TOTAL SHORT-TERM WHOLESALE FUNDING, BY MATURITY (WEIGHTED SUM OF ITEMS 1.E, 2.C, 3.D, AND 4) - REMAINING MATURITY OF 30 DAYS OR LESS FR Y-15
RISOY891 2020-06-30 9999-12-31 TOTAL SHORT-TERM WHOLESALE FUNDING, BY MATURITY (WEIGHTED SUM OF ITEMS 1.E, 2.C, 3.D, AND 4) - REMAINING MATURITY OF 31 TO 90 DAYS FR Y-15
RISOY892 2020-06-30 9999-12-31 TOTAL SHORT-TERM WHOLESALE FUNDING, BY MATURITY (WEIGHTED SUM OF ITEMS 1.E, 2.C, 3.D, AND 4) - REMAINING MATURITY OF 91 TO 180 DAYS FR Y-15
RISOY893 2020-06-30 9999-12-31 TOTAL SHORT-TERM WHOLESALE FUNDING, BY MATURITY (WEIGHTED SUM OF ITEMS 1.E, 2.C, 3.D, AND 4) - REMAINING MATURITY OF 181 TO 365 DAYS FR Y-15
RISOY894 2020-06-30 9999-12-31 TOTAL SHORT-TERM WHOLESALE FUNDING (SUM OF ITEM 5, COLUMNS A THROUGH D) FR Y-15
RISOY895 2020-06-30 9999-12-31 AVERAGE RISK-WEIGHTED ASSETS FR Y-15
RISOY896 2020-06-30 9999-12-31 SHORT-TERM WHOLESALE FUNDING METRIC (ITEM 6 DIVIDED BY ITEM 7) FR Y-15

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Last update: May 06, 2024