The Liquidity Board · Source-Dated Cash and Reserve Estimates
Method

Rolling Estimates

This method page explains how the board stays active between official disclosures without pretending to have true real-time liquid-asset reporting.

Method page

I. Method Shape

Rolling estimate framework
Anchor Reported figure
Interim motion Simple annualized estimate
Reset logic Replace estimate when fresh disclosures arrive
Why this page exists

Rolling Estimates

Reported liquid assets do not update every second. The board holds each reference estimate until a new official disclosure is reviewed and reconciled.

  • Anchor figure
  • Interim pace
  • Reset on fresh disclosures
Source families

What this method depends on

  • SEC EDGAR API
  • Official reserve releases

Why this page matters on Agentic Liquid Assets

Method pages explain how the reference board works so customers can distinguish disclosed facts from modeled estimates held between updates.