Read our insights and interpretations of financial stability topics| www.financialresearch.gov
Short Term funding monitor provides an easily accessible and consolidated view of a variety of short-term funding market data in context with other data sources| www.financialresearch.gov
Our monitoring tools provide a look at various market segments, and data can be downloaded| www.financialresearch.gov
This chart shows U.S. MMFs' repurchase agreements with the Federal Reserve broken out by fund manager.| www.financialresearch.gov
This chart shows U.S. MMFs' activity in the repurchase agreement (repo) market by collateral type.| www.financialresearch.gov
This chart shows U.S. MMFs' aggregate investments by fund category: prime, government, and tax exempt.| www.financialresearch.gov
This chart shows U.S. prime MMFs' investments broken out by region.| www.financialresearch.gov
This series allows members of the OFR staff and their coauthors to disseminate preliminary research findings in a format intended to generate discussion and critical comments.| www.financialresearch.gov
Browse upcoming and past OFR conferences, symposiums, workshops and events| www.financialresearch.gov
This brief proposes a novel spread-based household financial stress measure called the Household Financial Stress Measure (Brief no. 24-06).| Office of Financial Research - Briefs
This brief examines the cyberattack on Change Healthcare and how the U.S. financial system can improve the cyber defenses of a systemically important firm (Brief no. 24-05).| Office of Financial Research - Briefs
Future defaults on commercial real estate (CRE) loans could generate losses that exceed shareholders’ equity for hundreds of smaller banks (Brief no. 24-04).| Office of Financial Research - Briefs
This brief describes a new way to measure household liquidity that can better inform policymakers on household financial conditions (Brief no. 24-03).| Office of Financial Research - Briefs
This brief reviews components of large U.S. bank Liquidity Coverage Ratios since 2017, with emphasis on the effects of the market turbulence in early 2020 (Brief no. 24-02).| Office of Financial Research - Briefs
This brief documents the uneven distribution of climate risk and risk pricing in real estate at the property-level (Brief no. 24-01).| Office of Financial Research - Briefs
This OFR Brief examines how crypto exposure is correlated with household debt and distress (Brief no. 24-08).| Office of Financial Research
This brief examines how dealers manage cash and collateral across the U.S. repurchase agreement market (Brief no. 24-07).| www.financialresearch.gov
This monitor is designed to track the investment portfolios of money market funds by funds' asset types, investments in different countries, counterparties, and other characteristics.| www.financialresearch.gov