Report of Selected Money Market Rates (International Banking Facilities)

Report of Selected Money Market Rates

FR2420_20151020_f_draft

Report of Selected Money Market Rates (International Banking Facilities)

OMB: 7100-0357

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FR 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


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File Modified2015-08-20
File Created2015-08-20

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