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Commission Implementing Regulation (EU) No 680/2014Show full title

Commission Implementing Regulation (EU) No 680/2014 of 16 April 2014 laying down implementing technical standards with regard to supervisory reporting of institutions according to Regulation (EU) No 575/2013 of the European Parliament and of the Council (Text with EEA relevance)

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C 18.00 — MARKET RISK: STANDARDISED APPROACH FOR POSITION RISKS IN TRADED DEBT INSTRUMENTS (MKR SA TDI)

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ANNEX I Table 23: rows 1 - 49

POSITIONS OWN FUNDS REQUIREMENTS TOTAL RISK EXPOSURE AMOUNT
ALL POSITIONS NET POSITIONS POSITIONS SUBJECT TO CAPITAL CHARGE
LONG SHORT LONG SHORT
010020030040050060070
010 TRADED DEBT INSTRUMENTS IN TRADING BOOKCell linked to CA2
011 General risk
012Derivatives
013Other assets and liabilities
020Maturity-based approach
030Zone 1
0400 ≤ 1 month
050> 1 ≤ 3 months
060> 3 ≤ 6 months
070> 6 ≤ 12 months
080Zone 2
090> 1 ≤ 2 (1,9 for cupon of less than 3 %) years
100> 2 ≤ 3 (> 1,9 ≤ 2,8 for cupon of less than 3 %) years
110> 3 ≤ 4 (> 2,8 ≤ 3,6 for cupon of less than 3 %) years
120Zone 3
130> 4 ≤ 5 (> 3,6 ≤ 4,3 for cupon of less than 3 %) years
140> 5 ≤ 7 (> 4,3 ≤ 5,7 for cupon of less than 3 %) years
150> 7 ≤ 10 (> 5,7 ≤ 7,3 for cupon of less than 3 %) years
160> 10 ≤ 15 (> 7,3 ≤ 9,3 for cupon of less than 3 %) years
170> 15 ≤ 20 (> 9,3 ≤ 10,6 for cupon of less than 3%) years
180> 20 (> 10,6 ≤ 12,0 for cupon of less than 3 %) years
190(> 12,0 ≤ 20,0 for cupon of less than 3 %) years
200(> 20 for cupon of less than 3 %) years
210Duration-based approach
220Zone 1
230Zone 2
240Zone 3
250 Specific risk
251Own funds requirement for non-securitisation debt instruments
260Debt securities under the first category in Table 1
270Debt securities under the second category in Table 1
280With residual term ≤ 6 months
290With a residual term > 6 months and ≤ 24 months
300With a residual term > 24 months
310Debt securities under the third category in Table 1
320Debt securities under the fourth category in Table 1
321Rated nth-to default credit derivatives
325Own funds requirement for securitisation instruments
330Own funds requirement for the correlation trading portfolio
340Particular approach for position risk in CIUs
350Additional requirements for options (non-delta risks)
360Simplified method
370Delta plus approach - additional requirements for gamma risk
380Delta plus approach - additional requirements for vega risk
390Scenario matrix approach

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