Each depositor insured to at least $250,000 per insured bank



Home > Regulation & Examinations > Resources for Bank Officers & Directors > Temporary Liquidity Guarantee Program > Monthly Reports on Debt Issuance Under the Temporary Liquidity Guarantee Program > Term at Issuance of Debt Instruments Outstanding




Monthly Reports on Debt Issuance Under the Temporary Liquidity Guarantee Program

Term at Issuance of Debt Instruments Outstanding
(dollar figures in millions)
November 30, 2009
Term at Issuance Commercial Paper Interbank
EurodollarDeposits
MediumTerm Notes Other Interbank Deposits Other Senior UnsecuredDebt Other Term Notes All Debt Share by Term
90 days or less 1 28 0 25 0 0 54 0.0%
91 - 180 days 0 0 0 660 0 21 680 0.2%
181 364 days 208 2 3,400 1,147 1 1,314 6,072 1.9%
1 - 2 years 0 2 58,791 24 0 4,790 63,608 20.3%
Over 2 - 3 years 0 0 80,447 0 3,352 6,005 89,803 28.7%
Over 3 years 1 0 139,985 4 3,713 9,151 152,853 48.8%
Total 210 32 282,623 1,860 7,065 21,281 313,071  
Share of Total 0.1% 0.0% 90.3% 0.6% 2.3% 6.8%    



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