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> Monthly Report on Credit and Liquidity Programs, 2010
Monthly Report on Credit and Liquidity Programs
and the Balance Sheet
February 2010 (1.35 MB PDF)
Contents | Purpose |
Contents
- Purpose
- Overview
- Recent Developments
- System Open Market Account and Liquidity Arrangements with Foreign Central Banks
- System Open Market Account (SOMA)
- Liquidity Swaps
- Lending Facilities to Support Overall Market Liquidity
- Lending to Depository Institutions
- Lending to Primary Dealers
- Commercial Paper Funding Facility (CPFF)
- Asset-Backed Commercial Paper Money Market Mutual Fund Liquidity Facility (AMLF)
- Term Asset-Backed Securities Loan Facility (TALF)
- Lending in Support of Specific Institutions
- Quarterly Developments
- Bear Stearns and Maiden Lane LLC
- American International Group (AIG)
- Maiden Lane II LLC
- Maiden Lane III LLC
- Citigroup
- Bank of America
- Federal Reserve Banks' Financial Tables
- Quarterly Developments
- Combined Statement of Income and Comprehensive Income
- SOMA Financial Summary
- Loan Programs Financial Summary
- Consolidated Variable Interest Entities (VIEs) Financial Summary
- Appendix
- Additional Information Provided Pursuant to Section 129 of the Emergency Economic Stabilization Act of 2008
Last update:
August 2, 2013