Comparing your answers to questions 41 and 42, the commitmen…
Comparing your answers to questions 41 and 42, the commitment drawdown converted $6,600M of OBS liquidity creation into approximately $3,000M of asset-side LC increase (from the $6,000M in new funded C&I loans). What does this asymmetry – $3,300M in lost OBS LC versus $3,000M in gained asset-side LC – suggest?