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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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Column | |||||
---|---|---|---|---|---|
LR Exposure: Month-1-value | LR Exposure: Month-2-value | LR Exposure: Month-3-value | |||
Row | Exposure Values | 010 | 020 | 030 | |
010 | SFT exposure according to CRR 220 | ||||
020 | SFT exposure according to CRR 222 | ||||
030 | Derivatives: Market value | ||||
040 | Derivatives: Add-on Mark-to-Market Method | ||||
050 | Derivatives: Original Exposure Method | ||||
060 | Undrawn credit facilities, which may be cancelled unconditionally at any time without notice | ||||
070 | Medium/ low risk trade related off-balance sheet items | ||||
080 | Medium risk trade related off-balance sheet items and officially supported export finance related off-balance sheet items | ||||
090 | Other off-balance sheet items | ||||
100 | Other assets | ||||
Row | Capital and regulatory adjustments | ||||
110 | Tier 1 capital - fully phased-in definition | ||||
120 | Tier 1 capital - transitional definition | ||||
130 | Amount to be added due to CRR 429 (4), 2nd subparagraph | ||||
140 | Amount to be added due to CRR 429 (4), 2nd subparagraph - transitional definition | ||||
150 | Regulatory adjustments - Tier 1 - fully phased-in definition; of which | ||||
160 | Regulatory adjustments regarding own credit risk | Column | |||
170 | Regulatory adjustments - Tier 1 - transitional definition | 040 | |||
Row | Leverage Ratio | Leverage ratio calculated as the simple arithmetic mean of the monthly leverage ratio over a quarter | |||
180 | Leverage Ratio - using a fully phased-in definition of Tier 1 | ||||
190 | Leverage Ratio - using a transitional definition of Tier 1 |
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