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Commission Implementing Regulation (EU) 2017/2114Show full title

Commission Implementing Regulation (EU) 2017/2114 of 9 November 2017 amending Implementing Regulation (EU) No 680/2014 as regards templates and instructions (Text with EEA relevance)

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Changes and effects yet to be applied to Annex XI Paragraph 1:

ANNEX XXII REPORTING ON AMM MATURITY LADDER

AMM TEMPLATES
Template number Template code Name of the template/group of templates
MATURITY LADDER TEMPLATE
66C 66.00MATURITY LADDER TEMPLATE

C 66.00 - MATURITY LADDER

Total and significant currencies
Code ID Item Contractual Flow Maturity
010020030040050060070080090100110120130140150160170180190200210220
010-380 1 OUTFLOWS Overnight Greater than overnight up to 2 days Greater than 2 days up to 3 days Greater than 3 days up to 4 days Greater than 4 days up to 5 days Greater than 5 days up to 6 days Greater than 6 days up to 7 days Greater than 7 days up to 2 weeks Greater than 2 weeks up to 3 weeks Greater than 3 weeks up to 30 days Greater than 30 days up to 5 weeks Greater than 5 weeks up to 2 months Greater than 2 months up to 3 months Greater than 3 months up to 4 months Greater than 4 months up to 5 months Greater than 5 months up to 6 months Greater than 6 months up to 9 months Greater than 9 months up to 12 months Greater than 12 months up to 2 years Greater than 2 years up to 5 years Greater than 5 years
010 1.1 Liabilities resulting from securities issued (if not treated as retail deposits)
0201.1.1unsecured bonds due
0301.1.2regulated covered bonds
0401.1.3securitisations due
0501.1.4other
060 1.2 Liabilities resulting from secured lending and capital market driven transactions collateralised by:
0701.2.1Level 1 tradable assets
0801.2.1.1Level 1 excluding covered bonds
0901.2.1.1.1Level 1 central bank
1001.2.1.1.2Level 1 (CQS 1)
1101.2.1.1.3Level 1 (CQS2, CQS3)
1201.2.1.1.4Level 1 (CQS4+)
1301.2.1.2Level 1 covered bonds (CQS1)
1401.2.2Level 2A tradable assets
1501.2.2.1Level 2A corporate bonds (CQS1)
1601.2.2.2Level 2A covered bonds (CQS1, CQS2)
1701.2.2.3Level 2A public sector (CQS1, CQS2)
1801.2.3Level 2B tradable assets
1901.2.3.1Level 2B Asset Backed Securities (ABS) (CQS1)
2001.2.3.2Level 2B covered bonds (CQS1-6)
2101.2.3.3Level 2B: corporate bonds (CQ1-3)
2201.2.3.4Level 2B shares
2301.2.3.5Level 2B public sector (CQS 3-5)
2401.2.4other tradable assets
2501.2.5other assets
260 1.3 Liabilities not reported in 1.2, resulting from deposits received (excluding deposits received as collateral)
2701.3.1stable retail deposits
2801.3.2other retail deposits
2901.3.3operational deposits
3001.3.4non-operational deposits from credit institutions
3101.3.5non-operational deposits from other financial customers
3201.3.6non-operational deposits from central banks
3301.3.7non-operational deposits from non-financial corporates
3401.3.8non-operational deposits from other counterparties
350 1.4 FX-swaps maturing
360 1.5 Derivatives amount payables other than those reported in 1.4
370 1.6 Other outflows
380 1.7 Total outflows000000000000000000000
390-720 2 INFLOWS Overnight Greater than overnight up to 2 days Greater than 2 days up to 3 days Greater than 3 days up to 4 days Greater than 4 days up to 5 days Greater than 5 days up to 6 days Greater than 6 days up to 7 days Greater than 7 days up to 2 weeks Greater than 2 weeks up to 3 weeks Greater than 3 weeks up to 30 days Greater than 30 days up to 5 weeks Greater than 5 weeks up to 2 months Greater than 2 months up to 3 months Greater than 3 months up to 4 months Greater than 4 months up to 5 months Greater than 5 months up to 6 months Greater than 6 months up to 9 months Greater than 9 months up to 12 months Greater than 12 months up to 2 years Greater than 2 years up to 5 years Greater than 5 years
390 2.1 Monies due from secured lending and capital market driven transactions collateralised by:
4002.1.1Level 1 tradable assets
4102.1.1.1Level 1 excluding covered bonds
4202.1.1.1.1Level 1 central bank
4302.1.1.1.2Level 1 (CQS 1)
4402.1.1.1.3Level 1 (CQS2, CQS3)
4502.1.1.1.4Level 1 (CQS4+)
4602.1.1.2Level 1 covered bonds (CQS1)
4702.1.2Level 2A tradable assets
4802.1.2.1Level 2A corporate bonds (CQS1)
4902.1.2.2Level 2A covered bonds (CQS1, CQS2)
5002.1.2.3Level 2A public sector (CQS1, CQS2)
5102.1.3Level 2B tradable assets
5202.1.3.1Level 2B ABS (CQS1)
5302.1.3.2Level 2B covered bonds (CQS1-6)
5402.1.3.3Level 2B: corporate bonds (CQ1-3)
5502.1.3.4Level 2B shares
5602.1.3.5Level 2B public sector (CQS 3-5)
5702.1.4other tradable assets
5802.1.5other assets
590 2.2 Monies due not reported in 2.1 resulting from loans and advances granted to:
6002.2.1retail customers
6102.2.2non-financial corporates
6202.2.3credit institutions
6302.2.4other financial customers
6402.2.5central banks
6502.2.6other counterparties
660 2.3 FX-swaps maturing
670 2.4 Derivatives amount receivables other than those reported in 2.3
680 2.5 Paper in own portfolio maturing
690 2.6 Other inflows
700 2.7 Total inflows000000000000000000000
710 2.8 Net contractual gap000000000000000000000
720 2.9 Cumulated net contractual gap000000000000000000000
730-1080 3 COUNTERBALANCING CAPACITY Initial stock Overnight Greater than overnight up to 2 days Greater than 2 days up to 3 days Greater than 3 days up to 4 days Greater than 4 days up to 5 days Greater than 5 days up to 6 days Greater than 6 days up to 7 days Greater than 7 days up to 2 weeks Greater than 2 weeks up to 3 weeks Greater than 3 weeks up to 30 days Greater than 30 days up to 5 weeks Greater than 5 weeks up to 2 months Greater than 2 months up to 3 months Greater than 3 months up to 4 months Greater than 4 months up to 5 months Greater than 5 months up to 6 months Greater than 6 months up to 9 months Greater than 9 months up to 12 months Greater than 12 months up to 2 years Greater than 2 years up to 5 years Greater than 5 years
730 3.1 coins and bank notes
740 3.2 Withdrawable central bank reserves
750 3.3 Level 1 tradable assets
7603.3.1Level 1 excluding covered bonds
7703.3.1.1Level 1 central bank
7803.3.1.2Level 1 (CQS 1)
7903.3.1.3Level 1 (CQS2, CQS3)
8003.3.1.4Level 1 (CQS4+)
8103.3.2Level 1 covered bonds (CQS1)
820 3.4 Level 2A tradable assets
8303.4.1Level 2A corporate bonds (CQS1)
8403.4.3Level 2A covered bonds (CQS1, CQS2)
8503.4.4Level 2A public sector (CQS1, CQS2)
860 3.5 Level 2B tradable assets
8703.5.1Level 2B ABS (CQS1)
8803.5.2Level 2B covered bonds (CQS1-6)
8903.5.3Level 2B corporate bonds (CQ1-3)
9003.5.4Level 2B shares
9103.5.5Level 2B public sector (CQS 3-5)
920 3.6 other tradable assets
9303.6.1central government (CQS1)
9403.6.2central government (CQS 2 & 3)
9503.6.3shares
9603.6.4covered bonds
9703.6.5ABS
9803.6.6other tradable assets
990 3.7 non tradable assets eligible for central banks
1000 3.8 undrawn committed facilities received
10103.8.1Level 1 facilities
10203.8.2Level 2B restricted use facilities
10303.8.3Level 2B IPS facilities
10403.8.4other facilities
10503.8.4.1from intragroup counterparties
10603.8.4.2from other counterparties
1070 3.9 Net change of Counterbalancing Capacity000000000000000000000
1080 3.10 Cumulated Counterbalancing Capacity0000000000000000000000
1090-1130 4 CONTINGENCIES Overnight Greater than overnight up to 2 days Greater than 2 days up to 3 days Greater than 3 days up to 4 days Greater than 4 days up to 5 days Greater than 5 days up to 6 days Greater than 6 days up to 7 days Greater than 7 days up to 2 weeks Greater than 2 weeks up to 3 weeks Greater than 3 weeks up to 30 days Greater than 30 days up to 5 weeks Greater than 5 weeks up to 2 months Greater than 2 months up to 3 months Greater than 3 months up to 4 months Greater than 4 months up to 5 months Greater than 5 months up to 6 months Greater than 6 months up to 9 months Greater than 9 months up to 12 months Greater than 12 months up to 2 years Greater than 2 years up to 5 years Greater than 5 years
1090 4.1 Outflows from committed facilities
11004.1.1Committed credit facilities
11104.1.1.1considered as Level 2B by the receiver
11204.1.1.2other
11304.1.2Liquidity facilities
1140 4.2 Outflows due to downgrade triggers
1150-1290 MEMORANDUM ITEMS Initial stock Overnight Greater than overnight up to 2 days Greater than 2 days up to 3 days Greater than 3 days up to 4 days Greater than 4 days up to 5 days Greater than 5 days up to 6 days Greater than 6 days up to 7 days Greater than 7 days up to 2 weeks Greater than 2 weeks up to 3 weeks Greater than 3 weeks up to 30 days Greater than 30 days up to 5 weeks Greater than 5 weeks up to 2 months Greater than 2 months up to 3 months Greater than 3 months up to 4 months Greater than 4 months up to 5 months Greater than 5 months up to 6 months Greater than 6 months up to 9 months Greater than 9 months up to 12 months Greater than 12 months up to 2 years Greater than 2 years up to 5 years Greater than 5 years
1200 10 Intragroup or IPS outflows (excluding FX)
1210 11 Intragroup or IPS inflows (excluding FX and maturing securities)
1220 12 Intragroup or IPS inflows from maturing securities
1230 13 HQLA central bank eligible
1240 14 non-HQLA central bank eligible
1270 17 Behavioural outflows from deposits
1280 18 Behavioural inflows from loans and advances
1290 19 Behavioural draw-downs of committed facilities

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