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pdfFR 2420
Effective October 20, 2015
DRAFT
Part A: Federal Funds
Sequence
Number
MDRM
SMMRN186
Dollar
Amount
(Millions)
MDRM
SMMRN187
Trade Date
(YYYYMMDD)
Settlement Date
(YYYYMMDD)
Maturity Date
(YYYYMMDD)
Interest Rate
(0.00000)
Counterparty
Type
MDRM
SMMRT140
MDRM
SMMRG886
MDRM
SMMR9914
MDRM
SMMR7333
MDRM
SMMRT141
1
2
3
4
5
6
Part AA: Selected Borrowings from Non-exempt Entities
Sequence
Number
MDRM
SMMRN186
1
2
3
4
5
6
Dollar
Amount
(Millions)
MDRM
SMMRN187
Trade Date
(YYYYMMDD)
Settlement Date
(YYYYMMDD)
Maturity Date
(YYYYMMDD)
Interest Rate
(0.00000)
Counterparty
Type
MDRM
SMMRT140
MDRM
SMMRG886
MDRM
SMMR9914
MDRM
SMMR7333
MDRM
SMMRT141
FR 2420
Effective October 20, 2015
DRAFT
Part B: Eurodollars
Sequence
Number
MDRM
SMMRN186
Dollar
Amount
(Millions)
MDRM
SMMRN187
Trade Date
(YYYYMMDD)
Settlement Date
(YYYYMMDD)
Maturity Date
(YYYYMMDD)
Interest Rate
(0.00000)
Counterparty
Type
Office Identifier
MDRM
SMMRT140
MDRM
SMMRG886
MDRM
SMMR9914
MDRM
SMMR7333
MDRM
SMMRT141
MDRM
SMMRT142
1
2
3
4
5
6
Part C: Time Deposits and Certificates of Deposit (CDs)
Sequence
Number
Dollar
Amount
(Millions)
MDRM
SMMRN186
MDRM
SMMRN187
1
2
3
4
5
6
Maturity
Date
(YYYYMMDD)
MDRM
SMMR9914
Interest Rate
(0.00000)
Floating or
Fixed Rate
Reset Period
Reference Rate
(If Floating)
Negotiable
MDRM
SMMR7333
MDRM
SMMRN189
MDRM
SMMRN190
MDRM
SMMRN191
MDRM
SMMRN192
File Type | application/pdf |
File Modified | 2015-08-20 |
File Created | 2015-08-20 |