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Commission Delegated Regulation (EU) 2015/3Show full title

Commission Delegated Regulation (EU) 2015/3 of 30 September 2014 supplementing Regulation (EC) No 1060/2009 of the European Parliament and of the Council with regard to regulatory technical standards on disclosure requirements for structured finance instruments (Text with EEA relevance)

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Commission Delegated Regulation (EU) 2015/3, ANNEX IV is up to date with all changes known to be in force on or before 15 December 2024. There are changes that may be brought into force at a future date. Changes that have been made appear in the content and are referenced with annotations. Help about Changes to Legislation

EUR 2015 No. 3 may be subject to amendment by EU Exit Instruments made by the Financial Conduct Authority under powers set out in The Financial Regulators' Powers (Technical Standards etc.) (Amendment etc.) (EU Exit) Regulations 2018 (S.I. 2018/1115), regs. 2, 3, Sch. Pt. 1. These amendments are not currently available on legislation.gov.uk. Details of relevant amending instruments can be found on their website/s.

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Changes and effects yet to be applied to Annex IV:

ANNEX IVU.K. Loan Level Data — Reporting template for structured finance instruments backed by auto-loans

ASSETS:

Field NameStatic/DynamicData TypeField Definition and Criteria
Deal-Specific Information
Pool Cut-off DateDynamicYYYY-MM-DDPool or portfolio cut-off date. This is the date at which the underlying asset data within the report is referenced.
Pool IdentifierStaticText/NumericPool or portfolio identifier/name of transaction.
Servicer NameDynamicText/NumericUnique identifier per servicer to flag which entity is servicing the loan or lease.
Backup Servicer NameDynamicTextName of the Backup Servicer.
Loan or Lease-Level Information
Loan or Lease IdentifierStaticText/NumericUnique identifier for the loan or lease. The ID should not change through the life of the transaction.
OriginatorStaticTextLender that advanced the original loan or lease.
Borrower IdentifierStaticText/NumericUnique identifier for the borrower or lessee.
Group Company IdentifierDynamicTextUnique group company identifier which identifies the borrower’s ultimate parent company.
Loan or Lease Currency DenominationStaticListThe loan or lease currency denomination.
Borrower’s Employment StatusStaticListEmployment status of the primary applicant.
Primary IncomeStatic9(11).99Primary borrower underwritten gross annual income.
Primary Income CurrencyStaticListThe income currency denomination
Amortisation TypeDynamicListAmortisation type.
Income Verification for Primary IncomeStaticListIncome verification for primary income.
Geographic RegionStaticListThe region where the borrower is located as at underwriting.
Origination DateStaticYYYY-MMDate of original loan advance or lease commencement.
Expected Loan or Lease MaturityDynamicYYYY-MMThe expected date of maturity of the loan or expiry of the lease.
Original Loan or Lease TermStaticNumericOriginal contractual term (number of months).
Pool Addition DateStaticYYYY-MMThe date that the loan or lease was transferred to the SPV.
Original Principal BalanceStatic9(11).99Borrower’s loan principal balance or discounted lease balance (inclusive of capitalised fees) at origination.
Current Principal Outstanding BalanceDynamic9(11).99Borrower’s loan or discounted lease balance outstanding as of the pool cut-off date. This should include any amounts that are secured against the vehicle. For example, if fees have been added to the balance and are part of the principal in the transaction, these should be added.
Scheduled Payment DueDynamic9(11).99The next contractual scheduled payment due (the payment due if there are no other payment arrangements in force).
Scheduled Payment FrequencyDynamicListScheduled payment frequency.
Down Payment AmountStatic9(11).99Amount of deposit/down payment on origination of loan or lease (this should include the value of traded-in vehicles etc.)
Original Loan to ValueStatic9(3).99The LTV of the vehicle at origination, which may be rounded to the nearest 5 per cent.
Product TypeStaticListProduct type.
Option to Buy PriceStatic9(11).99The amount the borrower has to pay at the end of the lease or loan in order to take ownership of the vehicle.
Interest Rate Reset IntervalStatic9(2).99Number of months between each interest rate reset date on the loan or lease.
Current Interest or Discount RateDynamic9(4).9(5)Total current interest or discount rate (%) applicable to the loan or lease (may be rounded to the nearest half a per cent).
Current Interest Rate BasisDynamicListCurrent interest rate basis.
Current Interest Rate MarginDynamic9(4).9(5)Current interest rate (%) margin of the loan or lease (may be rounded to the nearest half a per cent). For fixed-rate loans, this is the same as Current Interest or Discount Rate. For floating rate loans this is the margin over (or under, in which case input as a negative) the index rate.
Discount RateStatic9(4).9(5)Discount rate applied to the receivable when it was sold to the SPV (may be rounded to the nearest half per cent).
Car ManufacturerStaticTextBrand name of the vehicle manufacturer.
Car ModelStaticText/NumericName of the car model.
New or Used CarStaticListCondition of vehicle at point of loan or lease origination.
Original Residual Value of VehicleStatic9(11).99The estimated residual value of the vehicle, at the date of loan or lease origination. Response may be rounded.
Securitised Residual ValueStatic9(11).99Residual value amount which has been securitised only. Response may be rounded.
Updated Residual Value of VehicleDynamic9(11).99Most recent estimated residual value of vehicle at end of contract. Response may be rounded.
Date of Updated Residual Valuation of VehicleDynamicYYYY-MMThe date that the most recent updated estimation of the residual value of the vehicle was calculated. If no update has been performed, enter the date of the original valuation.
Customer TypeStaticListLegal form of customer.
Payment methodDynamicListUsual method of payment (can be based upon last payment received).
Date Removed from the PoolDynamicYYYY-MMDate that the loan or lease was removed from the pool, e.g. on repurchase, redemption, prepayment or end of recovery process.
Interest Cap RateDynamic9(4).9(8)If there is a cap to the interest rate that can be charged on this account, enter this cap here — do not include the % symbol.
Interest Floor RateDynamic9(4).9(8)If there is a floor to the interest rate that can be charged on this account, enter this floor here — do not include the % symbol.
Arrears BalanceDynamic9(11).99Current balance of arrears.
Number of Months in ArrearsDynamic9(5).99Number of months the loan or lease is in arrears as of the pool cut-off date.
Default DateDynamicYYYY-MMThe date of default.
Gross Default AmountDynamic9(11).99Gross default amount on this account.
Sale PriceDynamic9(11).99
Loss on SaleDynamic9(11).99Gross default amount less sale proceeds (excluding prepayment charge if subordinate to principal recoveries).
Cumulative RecoveriesDynamic9(11).99Cumulative recoveries on this account, net of costs.
Redemption DateDynamicYYYY-MMDate on which account redeemed or date that the recovery process was completed for defaulted loans.
Residual Value LossesDynamic9(11).99Residual value loss arising on turn-in of vehicle.
Account StatusDynamicListCurrent status of account

BOND INFO:

Field NameStatic/DynamicData TypeField Definition and Criteria
Bond-Level Information
Report DateDynamicYYYY-MM-DDThe date on which the transaction report was issued, i.e. the submission date of the completed loan-level data template to the data repository.
IssuerStaticTextName of issuer and issue series, if applicable.
All Reserve Accounts at Target BalanceDynamicY/NAre all reserve accounts (cash reserve, commingling reserve, set-off reserve etc.) at their required levels?
Drawings under Liquidity FacilityDynamicY/NHas the liquidity facility been used to cover shortfalls in the period ending on the last interest payment date?
Trigger Measurements/RatiosDynamicY/NHas any trigger event occurred?
Annualised Constant Prepayment RateDynamic9(3).99The annualised Constant Prepayment Rate (CPR) of the underlying receivables based upon the most recent periodic CPR. Periodic CPR is equal to the total unscheduled principal received in the most recent period divided by the start of period principal balance.
Total Receivables Sold to SPVDynamic9(11).99Sum of principal amount of receivables sold to SPV (i.e. at closing and during the replenishment period if applicable) to date.
Cumulative Gross Defaults – PoolDynamic9(11).99Sum of all gross defaults since closing, in currency amount.
Cumulative Recoveries - PoolDynamic9(11).99Sum of all recoveries since closing, net of costs, in currency amount.
Revolving Period End DateDynamicYYYY-MMThe date that the revolving period is expected to end, or actually ended.
Transaction Report Contact Information
Point ContactStaticText/NumericName of the department and the point person(s) of the information sources.
Contact InformationStaticText/NumericTelephone number and e-mail address.

BOND INFO BY TRANCHE:

Field NameStatic/DynamicData TypeField Definition and Criteria
Tranche Level Information
Bond Class NameStaticText/NumericThe designation (typically a letter and/or number) given to this tranche of bonds which exhibit the same rights, priorities and characteristics as defined in the prospectus, i.e. Series 1 Class A1a etc.
International Securities Identification NumberStaticText/NumericThe international security identification code or codes, or if no ISIN, then any other unique securities code such as a CUSIP, assigned to this tranche by an exchange or other entity. If more than one code, enter comma- delimited.
Interest Payment DateDynamicYYYY-MM-DDThe first occurring date, after the pool cut-off date being reported, upon which interest payments are scheduled to be distributed to bondholders of this tranche.
Principal Payment DateDynamicYYYY-MM-DDThe first occurring date, after the pool cut-off date being reported, upon which principal payments are scheduled to be distributed to bondholders of this tranche.
Bond CurrencyStaticListThe denomination of this tranche.
Reference RateStaticListThe base reference interest index as defined in the offering document (e.g. three months Euribor) applicable to this specific tranche.
Legal MaturityStaticYYYY-MM-DDThe date before which this specific tranche must be repaid in order not to be in default.
Bond Issue DateStaticYYYY-MM-DDDate the bonds were issued.
Interest Payment FrequencyStaticListThe frequency with which interest is due to be paid on this tranche.

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