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Board of Governors of the Federal Reserve System
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Board of Governors of the Federal Reserve System


Monetary Policy Report submitted to the Congress on February 24, 2009, pursuant to section 2B of the Federal Reserve Act

ABS asset-backed securities
AMLF Asset-Backed Commercial Paper Money Market Mutual Fund Liquidity Facility
C&I commercial and industrial
CMBS commercial mortgage-backed securities
CPFF Commercial Paper Funding Facility
CRE commercial real estate
FOMC FOMC Federal Open Market Committee; also, the Committee
GSE government-sponsored enterprise
Libor London interbank offered rate
MMIFF Money Market Investor Funding Facility
MBS mortgage-backed securities
OIS overnight index swap
PDCF Primary Dealer Credit Facility
SFP Supplementary Financing Program
TAF Term Auction Facility
TALF Term Asset-Backed Securities Loan Facility
TARP Troubled Asset Relief Program
TLGP Temporary Liquidity Guarantee Program
TSLF Term Securities Lending Facility

Last update: February 24, 2009