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Commission Implementing Regulation (EU) 2020/429Show full title

Commission Implementing Regulation (EU) 2020/429 of 14 February 2020 amending Implementing Regulation (EU) No 680/2014 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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Commission Implementing Regulation (EU) 2020/429, ANNEX VIII is up to date with all changes known to be in force on or before 23 July 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

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ANNEX VIIIU.K.

ANNEX XXIV REPORTING ON LIQUIDITY

LIQUIDITY TEMPLATES
Template number Template code Name of the template /group of templates
LIQUIDITY COVERAGE TEMPLATES
PART I – LIQUID ASSETS
72C 72.00LIQUIDITY COVERAGE – LIQUID ASSETS
PART II – OUTFLOWS
73C 73.00LIQUIDITY COVERAGE – OUTFLOWS
PART III – INFLOWS
74C 74.00LIQUIDITY COVERAGE – INFLOWS
PART IV – COLLATERAL SWAPS
75C 75.01LIQUIDITY COVERAGE – COLLATERAL SWAPS
PART V – CALCULATIONS
76C 76.00LIQUIDITY COVERAGE – CALCULATIONS
PART VI – PERIMETER OF CONSOLIDATION
77C 77.00LIQUIDITY COVERAGE – PERIMETER

C 72.00 – LIQUIDITY COVERAGE – LIQUID ASSETS

Currency

Row ID Item Amount/Market value Standard weight Applicable weight Value in accordance with Article 9
010 020 030 040
0101 TOTAL UNADJUSTED LIQUID ASSETS
0201.1 Total unadjusted level 1 assets
0301.1.1Total unadjusted LEVEL 1 assets excluding extremely high quality covered bonds
0401.1.1.1Coins and banknotes1,0
0501.1.1.2Withdrawable central bank reserves1,0
0601.1.1.3Central bank assets1,0
0701.1.1.4Central government assets1,0
0801.1.1.5Regional government / local authorities assets1,0
0901.1.1.6Public Sector Entity assets1,0
1001.1.1.7Recognisable domestic and foreign currency central government and central bank assets1,0
1101.1.1.8Credit institution (protected by Member State government, promotional lender) assets1,0
1201.1.1.9Multilateral development bank and international organisations assets1,0
1301.1.1.10Qualifying CIU shares/units: underlying is coins/banknotes and/or central bank exposure1,0
1401.1.1.11Qualifying CIU shares/units: underlying is Level 1 assets excluding extremely high quality covered bonds0,95
1501.1.1.12Alternative Liquidity Approaches: Central bank credit facility1,0
1601.1.1.13Central institutions: Level 1 assets excl. EHQ CB which are considered liquid assets for the depositing credit institution
1701.1.1.14Alternative Liquidity Approaches: Level 2A assets recognised as Level 10,8
1801.1.2Total unadjusted LEVEL 1 extremely high quality covered bonds
1901.1.2.1Extremely high quality covered bonds0,93
2001.1.2.2Qualifying CIU shares/units: underlying is extremely high quality covered bonds0,88
2101.1.2.3Central institutions: Level 1 EHQ covered bonds which are considered liquid assets for the depositing credit institution
2201.2 Total unadjusted level 2 assets
2301.2.1Total unadjusted LEVEL 2A assets
2401.2.1.1Regional government / local authorities or Public Sector Entity assets (Member State, RW20 %)0,85
2501.2.1.2Central bank or central / regional government or local authorities or Public Sector Entity assets (Third Country, RW20 %)0,85
2601.2.1.3High quality covered bonds (CQS2)0,85
2701.2.1.4High quality covered bonds (Third Country, CQS1)0,85
2801.2.1.5Corporate debt securities (CQS1)0,85
2901.2.1.6Qualifying CIU shares/units: underlying is Level 2A assets0,8
3001.2.1.7Central institutions: Level 2A assets which are considered liquid assets for the depositing credit institution
3101.2.2Total unadjusted LEVEL 2B assets
3201.2.2.1Asset-backed securities (residential, CQS1)0,75
3301.2.2.2Asset-backed securities (auto, CQS1)0,75
3401.2.2.3High quality covered bonds (RW35 %)0,7
3501.2.2.4Asset-backed securities (commercial or individuals, Member State, CQS1)0,65
3601.2.2.5Corporate debt securities (CQS2/3)0,5
3701.2.2.6Corporate debt securities – non-interest bearing assets (held by credit institutions for religious reasons) (CQS1/2/3)0,5
3801.2.2.7Shares (major stock index)0,5
3901.2.2.8Non-interest bearing assets (held by credit institutions for religious reasons) (CQS3-5)0,5
4001.2.2.9Restricted-use central bank committed liquidity facilities1,0
4101.2.2.10Qualifying CIU shares/units: underlying is asset-backed securities (residential or auto, CQS1)0,7
4201.2.2.11Qualifying CIU shares/units: underlying is High quality covered bonds (RW35 %)0,65
4301.2.2.12Qualifying CIU shares/units: underlying is asset-backed securities (commercial or individuals, Member State, CQS1)0,6
4401.2.2.13Qualifying CIU shares/units: underlying is corporate debt securities (CQS2/3), shares (major stock index) or non-interest bearing assets (held by credit institutions for religious reasons) (CQS3-5)0,45
4501.2.2.14Deposits by network member with central institution (no obligated investment)0,75
4601.2.2.15Liquidity funding available to network member from central institution (non-specified collateralisation)0,75
4701.2.2.16Central institutions: Level 2B assets which are considered liquid assets for the depositing credit institution
MEMORANDUM ITEMS
485 2 Deposits by network member with central institution (obligated investment)
580 3 Level 1/2A/2B assets excluded due to currency reasons
590 4 Level 1/2A/2B assets excluded for operational reasons except for currency reasons

C 73.00 – LIQUIDITY COVERAGE – OUTFLOWS

Currency

Amount Market value of collateral extended Value of collateral extended in accordance with Article 9 Standard Weight Applicable Weight Outflow
Row ID Item010020030040050060
010 1 OUTFLOWS
020 1.1 Outflows from unsecured transactions/deposits
0301.1.1Retail deposits
0351.1.1.1deposits exempted from the calculation of outflows0,0
0401.1.1.2deposits where the payout has been agreed within the following 30 days1,0
0501.1.1.3deposits subject to higher outflows
0601.1.1.3.1category 10,1-0,15
0701.1.1.3.2category 20,15-0,2
0801.1.1.4stable deposits0,05
0901.1.1.5derogated stable deposits0,03
1001.1.1.6deposits in third countries where a higher outflow is applied
1101.1.1.7other retail deposits0,1
1201.1.2Operational deposits
1301.1.2.1maintained for clearing, custody, cash management or other comparable services in the context of an established operational relationship
1401.1.2.1.1covered by DGS0,05
1501.1.2.1.2not covered by DGS0,25
1601.1.2.2maintained in the context of IPS or a cooperative network
1701.1.2.2.1not treated as liquid assets for the depositing institution0,25
1801.1.2.2.2treated as liquid assets for the depositing credit institution1,0
1901.1.2.3maintained in the context of an established operational relationship (other) with non-financial customers0,25
2001.1.2.4maintained to obtain cash clearing and central credit institution services within a network0,25
2031.1.3Excess operational deposits
2041.1.3.1deposits by financial customers1,0
2051.1.3.2deposits by other customers
2061.1.3.2.1covered by DGS0,2
2071.1.3.2.2not covered by DGS0,4
2101.1.4Non-operational deposits
2201.1.4.1correspondent banking and provisions of prime brokerage deposits1,0
2301.1.4.2deposits by financial customers1,0
2401.1.4.3deposits by other customers
2501.1.4.3.1covered by DGS0,2
2601.1.4.3.2not covered by DGS0,4
2701.1.5Additional outflows
2801.1.5.1collateral other than Level 1 assets collateral posted for derivatives0,2
2901.1.5.2Level 1 EHQ Covered Bonds assets collateral posted for derivatives0,1
3001.1.5.3material outflows due to deterioration of own credit quality1,0
3101.1.5.4impact of an adverse market scenario on derivatives transactions1,0
3401.1.5.5outflows from derivatives1,0
3501.1.5.6short positions
3601.1.5.6.1covered by collateralized SFT0,0
3701.1.5.6.2other1,0
3801.1.5.7callable excess collateral1,0
3901.1.5.8due collateral1,0
4001.1.5.9liquid asset collateral exchangable for non-liquid asset collateral1,0
4101.1.5.10loss of funding on structured financing activites
4201.1.5.10.1structured financing instruments1,0
4301.1.5.10.2financing facilites1,0
4501.1.5.11internal netting of client's positions0,5
4601.1.6Committed facilities
4701.1.6.1credit facilities
4801.1.6.1.1to retail customers0,05
4901.1.6.1.2to non-financial customers other than retail customers0,1
5001.1.6.1.3to credit institutions
5101.1.6.1.3.1for funding promotional loans of retail customers0,05
5201.1.6.1.3.2for funding promotional loans of non-financial customers0,1
5301.1.6.1.3.3other0,4
5401.1.6.1.4to regulated financial institutions other than credit institutions0,4
5501.1.6.1.5within a group or an IPS if subject to preferential treatment
5601.1.6.1.6within IPS or cooperative network if treated as liquid asset by the depositing institution0,75
5701.1.6.1.7to other financial customers1,0
5801.1.6.2liquidity facilities
5901.1.6.2.1to retail customers0,05
6001.1.6.2.2to non-financial customers other than retail customers0,3
6101.1.6.2.3to personal investment companies0,4
6201.1.6.2.4to SSPEs
6301.1.6.2.4.1to purchase assets other than securities from non-financial customers0,1
6401.1.6.2.4.2other1,0
6501.1.6.2.5to credit institutions
6601.1.6.2.5.1for funding promotional loans of retail customers0,05
6701.1.6.2.5.2for funding promotional loans of non-financial customers0,3
6801.1.6.2.5.3other0,4
6901.1.6.2.6within a group or an IPS if subject to preferential treatment
7001.1.6.2.7within IPS or cooperative network if treated as liquid asset by the depositing institution0,75
7101.1.6.2.8to other financial customers1,0
7201.1.7Other products and services
7311.1.7.1Uncommitted funding facilities
7401.1.7.2undrawn loans and advances to wholesale counterparties
7501.1.7.3mortgages that have been agreed but not yet drawn down
7601.1.7.4credit cards
7701.1.7.5overdrafts
7801.1.7.6planned outflows related to renewal or extension of new retail or wholesale loans
8501.1.7.7derivatives payables
8601.1.7.8trade finance off-balance sheet related products
8701.1.7.9others
8851.1.8Other liabilities and due commitments
8901.1.8.1liabilities resulting from operating expenses0,0
9001.1.8.2in the form of debt securities if not treated as retail deposits1,0
9121.1.8.4the excess of funding to non-financial customers
9131.1.8.4.1the excess of funding to retail customers1,0
9141.1.8.4.2the excess of funding to non financial corporates1,0
9151.1.8.4.3the excess of funding to sovereigns, MLDBs and PSEs1,0
9161.1.8.4.4the excess of funding to other legal entities1,0
9171.1.8.5assets borrowed on an unsecured basis1,0
9181.1.8.6others1,0
920 1.2 Outflows from secured lending and capital market-driven transactions
9301.2.1Counterparty is central bank
9401.2.1.1level 1 excl. EHQ Covered Bonds collateral0,0
9451.2.1.1.1of which collateral extended meets operational requirements
9501.2.1.2level 1 EHQ Covered Bonds collateral0,0
9551.2.1.2.1of which collateral extended meets operational requirements
9601.2.1.3level 2A collateral0,0
9651.2.1.3.1of which collateral extended meets operational requirements
9701.2.1.4level 2B asset-backed securities (residential or automobile, CQS1) collateral0,0
9751.2.1.4.1of which collateral extended meets operational requirements
9801.2.1.5level 2B covered bonds0,0
9851.2.1.5.1of which collateral extended meets operational requirements
9901.2.1.6level 2B asset-backed securities (commercial or individuals, Member State, CQS1) collateral0,0
9951.2.1.6.1of which collateral extended meets operational requirements
10001.2.1.7other Level 2B assets collateral0,0
10051.2.1.7.1of which collateral extended meets operational requirements
10101.2.1.8non-liquid assets collateral0,0
10201.2.2Counterparty is non-central bank
10301.2.2.1level 1 excl. EHQ Covered Bonds collateral0,0
10351.2.2.1.1of which collateral extended meets operational requirements
10401.2.2.2level 1 EHQ Covered Bonds collateral0,07
10451.2.2.2.1of which collateral extended meets operational requirements
10501.2.2.3level 2A collateral0,15
10551.2.2.3.1of which collateral extended meets operational requirements
10601.2.2.4level 2B asset-backed securities (residential or automobile, CQS1) collateral0,25
10651.2.2.4.1of which collateral extended meets operational requirements
10701.2.2.5level 2B covered bonds0,3
10751.2.2.5.1of which collateral extended meets operational requirements
10801.2.2.6level 2B asset-backed securities (commercial or individuals, Member State, CQS1) collateral0,35
10851.2.2.6.1of which collateral extended meets operational requirements
10901.2.2.7other Level 2B assets collateral0,5
10951.2.2.7.1of which collateral extended meets operational requirements
11001.2.2.8non-liquid assets collateral1,0
1130 1.3 Total outflows from collateral swaps
MEMORANDUM ITEMS
1170 2 Liquidity outflows to be netted by interdependent inflows
3 Operational deposits maintained for clearing, custody, cash management or other comparable services in the context of an established operational relationship
11803.1provided by credit institutions
11903.2provided by financial customers other than credit institutions
12003.3provided by sovereigns, central banks, MDBs and PSEs
12103.4provided by other customers
4 Intra group or IPS outflows
12904.1of which: to financial customers
13004.2of which: to non-financial customers
13104.3of which: secured
13204.4of which: credit facilities without preferential treatment
13304.5of which: liquidity facilites without preferential treatment
13404.6of which: operational deposits
13454.7of which: excess operational deposits
13504.8of which: non-operational deposits
13604.9of which: liabilities in the form of debt securities if not treated as retail deposits
1370 5 FX outflows
6 Secured funding waived from Article 17 (2) and (3)
14006.1of which: secured by L1 excl. EHQCB
14106.2of which: secured by L1 EHQCB
14206.3of which: secured by L2A
14306.4of which: secured by L2B
14406.5of which: secured by non-liquid assets

C 74.00 – LIQUIDITY COVERAGE – INFLOWS

Currency

Amount Market value of collateral received Standard Weight Applicable Weight Value of collateral received in accordance with Article 9 Inflow
Subject to the 75 % cap on inflows Subject to the 90 % cap on inflows Exempted from the cap on inflows Subject to the 75 % cap on inflows Subject to the 90 % cap on inflows Exempted from the cap on inflows Subject to the 75 % cap on inflows Subject to the 90 % cap on inflows Exempted from the cap on inflows Subject to the 75 % cap on inflows Subject to the 90 % cap on inflows Exempted from the cap on inflows Subject to the 75 % cap on inflows Subject to the 90 % cap on inflows Exempted from the cap on inflows
Row ID Item 010 020 030 040 050 060 070 080 090 100 110 120 130 140 150 160
010 1 TOTAL INFLOWS
020 1.1 Inflows from unsecured transactions/deposits
0301.1.1monies due from non-financial customers (except for central banks)
0401.1.1.1monies due from non-financial customers (except for central banks) not corresponding to principal repayment1,0
0501.1.1.2other monies due from non-financial customers (except for central banks)
0601.1.1.2.1monies due from retail customers0,5
0701.1.1.2.2monies due from non-financial corporates0,5
0801.1.1.2.3monies due from sovereigns, multilateral development banks and public sector entities0,5
0901.1.1.2.4monies due from other legal entities0,5
1001.1.2monies due from central banks and financial customers
1101.1.2.1monies due from financial customers being classified as operational deposits
1201.1.2.1.1monies due from financial customers being classified as operational deposits where the credit institution is able to establish a corresponding symmetrical inflow rate
1301.1.2.1.2monies due from financial customers being classified as operational deposits where the credit institution is not able to establish a corresponding symmetrical inflow rate0,05
1401.1.2.2monies due from central banks and financial customers not being classified as operational deposits
1501.1.2.2.1monies due from central banks1,0
1601.1.2.2.2monies due from financial customers1,0
1701.1.3inflows corresponding to outflows in accordance with promotional loan commitments referred to in Article 31(9) of Delegated Regulation (EU) 2015/611,0
1801.1.4monies due from trade financing transactions1,0
1901.1.5monies due from securities maturing within 30 days1,0
2011.1.6loans with an undefined contractual end date0,2
2101.1.7monies due from positions in major index equity instruments provided that there is no double counting with liquid assets1,0
2301.1.8inflows from the release of balances held in segregated accounts in accordance with regulatory requirements for the protection of customer trading assets1,0
2401.1.9inflows from derivatives1,0
2501.1.10inflows from undrawn credit or liquidity facilities provided by members of a group or an institutional protection scheme where the competent authorities have granted permission to apply a higher inflow rate
2601.1.11other inflows1,0
263 1.2 Inflows from secured lending and capital market-driven transactions
2651.2.1Counterparty is central bank
2671.2.1.1collateral that qualifies as a liquid asset
2691.2.1.1.1Level 1 collateral excluding extremely high quality covered bonds0,0
2711.2.1.1.1.1of which collateral received meets operational requirements
2731.2.1.1.2Level 1 collateral which is extremely high quality covered bonds0,07
2751.2.1.1.2.1of which collateral received meets operational requirements
2771.2.1.1.3Level 2A collateral0,15
2791.2.1.1.3.1of which collateral received meets operational requirements
2811.2.1.1.4Level 2B asset backed securities (residential or auto) collateral0,25
2831.2.1.1.4.1of which collateral received meets operational requirements
2851.2.1.1.5Level 2B high quality covered bonds collateral0,3
2871.2.1.1.5.1of which collateral received meets operational requirements
2891.2.1.1.6Level 2B asset backed securities (commercial or individuals) collateral0,35
2911.2.1.1.6.1of which collateral received meets operational requirements
2931.2.1.1.7Level 2B collateral not already captured in section 1.2.1.1.4, 1.2.1.1.5 or 1.2.1.1.60,5
2951.2.1.1.7.1of which collateral received meets operational requirements
2971.2.1.2collateral is used to cover a short position
2991.2.1.3collateral that does not qualify as a liquid asset
3011.2.1.3.1collateral is non-liquid equity1,0
3031.2.1.3.2all other non-liquid collateral1,0
3051.2.2Counterparty is non-central bank
3071.2.2.1collateral that qualifies as a liquid asset
3091.2.2.1.1Level 1 collateral excluding extremely high quality covered bonds0,0
3111.2.2.1.1.1of which collateral received meets operational requirements
3131.2.2.1.2Level 1 collateral which is extremely high quality covered bonds0,07
3151.2.2.1.2.1of which collateral received meets operational requirements
3171.2.2.1.3Level 2A collateral0,15
3191.2.2.1.3.1of which collateral received meets operational requirements
3211.2.2.1.4Level 2B asset backed securities (residential or auto) collateral0,25
3231.2.2.1.4.1of which collateral received meets operational requirements
3251.2.2.1.5Level 2B high quality covered bonds collateral0,3
3271.2.2.1.5.1of which collateral received meets operational requirements
3291.2.2.1.6Level 2B asset backed securities (commercial or individuals) collateral0,35
3311.2.2.1.6.1of which collateral received meets operational requirements
3331.2.2.1.7Level 2B collateral not already captured in section 1.2.2.1.4, 1.2.2.1.5 or 1.2.2.1.60,5
3351.2.2.1.7.1of which collateral received meets operational requirements
3371.2.2.2collateral is used to cover a short position
3391.2.2.3collateral that does not qualify as a liquid asset
3411.2.2.3.1margin loans: collateral is non-liquid0,5
3431.2.2.3.2collateral is non-liquid equity1,0
3451.2.2.3.3all other non-liquid collateral1,0
410 1.3 Total inflows from collateral swaps
420 1.4 (Difference between total weighted inflows and total weighted outflows arising from transactions in third countries where there are transfer restrictions or which are denominated in non-convertible currencies)
430 1.5 (Excess inflows from a related specialised credit institution)
MEMORANDUM ITEMS
450 2 FX inflows
460 3 Inflows within a group or an institutional protection scheme
470 3.1Monies due from non-financial customers (except for central banks)
480 3.2Monies due from financial customers
490 3.3Secured transactions
500 3.4Monies due from maturing securities within 30 days
510 3.5Any other inflows within a group or an institutional protection scheme
4 Secured lending waived from Article 17 (2) and (3)
5304.1of which: secured by L1 excl. EHQCB
5404.2of which: secured by L1 EHQCB
5504.3of which: secured by L2A
5604.4of which: secured by L2B
5704.5of which: secured by non-liquid assets

C 75.01 – LIQUIDITY COVERAGE – COLLATERAL SWAPS

Currency

Market value of collateral lent Liquidity value of collateral lent Market value of collateral borrowed Liquidity value of collateral borrowed Standard weight Applicable weight Outflows Inflows subject to the 75 % cap on inflows Inflows subject to the 90 % cap on inflows Inflows exempted from the cap on inflows
Row ID Item 0010 0020 0030 0040 0050 0060 0070 0080 0090 0100
00101 TOTAL COLLATERAL SWAPS (counterparty is central bank)
00201.1 Totals for transactions in which Level 1 assets (excl. EHQ covered bonds) are lent and the following collateral is borrowed:
00301.1.1Level 1 assets (excl. EHQ covered bonds)0,0
00401.1.1.1Of which collateral swapped meets operational requirements
00501.1.2Level 1: extremely high quality covered bonds0,07
00601.1.2.1Of which collateral swapped meets operational requirements
00701.1.3Level 2A assets0,15
00801.1.3.1Of which collateral swapped meets operational requirements
00901.1.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,25
01001.1.4.1Of which collateral swapped meets operational requirements
01101.1.5Level 2B: high quality covered bonds0,3
01201.1.5.1Of which collateral swapped meets operational requirements
01301.1.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,35
01401.1.6.1Of which collateral swapped meets operational requirements
01501.1.7Other Level 2B0,5
01601.1.7.1Of which collateral swapped meets operational requirements
01701.1.8Non-liquid assets1,0
01801.1.8.1Of which collateral swapped meets operational requirements
01901.2 Totals for transactions in which Level 1: extremely high quality covered bonds are lent and the following collateral is borrowed:
02001.2.1Level 1 assets (excl. EHQ covered bonds)0,0
02101.2.1.1Of which collateral swapped meets operational requirements
02201.2.2Level 1: extremely high quality covered bonds0,0
02301.2.2.1Of which collateral swapped meets operational requirements
02401.2.3Level 2A assets0,08
02501.2.3.1Of which collateral swapped meets operational requirements
02601.2.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,18
02701.2.4.1Of which collateral swapped meets operational requirements
02801.2.5Level 2B: high quality covered bonds0,23
02901.2.5.1Of which collateral swapped meets operational requirements
03001.2.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,28
03101.2.6.1Of which collateral swapped meets operational requirements
03201.2.7Other Level 2B0,43
03301.2.7.1Of which collateral swapped meets operational requirements
03401.2.8Non-liquid assets0,93
03501.2.8.1Of which collateral swapped meets operational requirements
03601.3 Totals for transactions in which Level 2A assets are lent and the following collateral is borrowed:
03701.3.1Level 1 assets (excl. EHQ covered bonds)0,0
03801.3.1.1Of which collateral swapped meets operational requirements
03901.3.2Level 1: extremely high quality covered bonds0,0
04001.3.2.1Of which collateral swapped meets operational requirements
04101.3.3Level 2A assets0,0
04201.3.3.1Of which collateral swapped meets operational requirements
04301.3.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,1
04401.3.4.1Of which collateral swapped meets operational requirements
04501.3.5Level 2B: high quality covered bonds0,15
04601.3.5.1Of which collateral swapped meets operational requirements
04701.3.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,2
04801.3.6.1Of which collateral swapped meets operational requirements
04901.3.7Other Level 2B0,35
05001.3.7.1Of which collateral swapped meets operational requirements
05101.3.8Non-liquid assets0,85
05201.3.8.1Of which collateral swapped meets operational requirements
05301.4 Totals for transactions in which Level 2B: asset-backed securities (residential or automobile, CQS1) are lent and the following collateral is borrowed:
05401.4.1Level 1 assets (excl. EHQ covered bonds)0,0
05501.4.1.1Of which collateral swapped meets operational requirements
05601.4.2Level 1: extremely high quality covered bonds0,0
05701.4.2.1Of which collateral swapped meets operational requirements
05801.4.3Level 2A assets0,0
05901.4.3.1Of which collateral swapped meets operational requirements
06001.4.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,0
06101.4.4.1Of which collateral swapped meets operational requirements
06201.4.5Level 2B: high quality covered bonds0,05
06301.4.5.1Of which collateral swapped meets operational requirements
06401.4.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,1
06501.4.6.1Of which collateral swapped meets operational requirements
06601.4.7Other Level 2B0,25
06701.4.7.1Of which collateral swapped meets operational requirements
06801.4.8Non-liquid assets0,75
06901.4.8.1Of which collateral swapped meets operational requirements
07001.5 Totals for transactions in which Level 2B: high quality covered bonds are lent and the following collateral is borrowed:
07101.5.1Level 1 assets (excl. EHQ covered bonds)0,0
07201.5.1.1Of which collateral swapped meets operational requirements
07301.5.2Level 1: extremely high quality covered bonds0,0
07401.5.2.1Of which collateral swapped meets operational requirements
07501.5.3Level 2A assets0,0
07601.5.3.1Of which collateral swapped meets operational requirements
07701.5.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,0
07801.5.4.1Of which collateral swapped meets operational requirements
07901.5.5Level 2B: high quality covered bonds0,0
08001.5.5.1Of which collateral swapped meets operational requirements
08101.5.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,05
08201.5.6.1Of which collateral swapped meets operational requirements
08301.5.7Other Level 2B0,2
08401.5.7.1Of which collateral swapped meets operational requirements
08501.5.8Non-liquid assets0,7
08601.5.8.1Of which collateral swapped meets operational requirements
08701.6 Totals for transactions in which Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1) are lent and the following collateral is borrowed:
08801.6.1Level 1 assets (excl. EHQ covered bonds)0,0
08901.6.1.1Of which collateral swapped meets operational requirements
09001.6.2Level 1: extremely high quality covered bonds0,0
09101.6.2.1Of which collateral swapped meets operational requirements
09201.6.3Level 2A assets0,0
09301.6.3.1Of which collateral swapped meets operational requirements
09401.6.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,0
09501.6.4.1Of which collateral swapped meets operational requirements
09601.6.5Level 2B: high quality covered bonds0,0
09701.6.5.1Of which collateral swapped meets operational requirements
09801.6.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,0
09901.6.6.1Of which collateral swapped meets operational requirements
10001.6.7Other Level 2B0,15
10101.6.7.1Of which collateral swapped meets operational requirements
10201.6.8Non-liquid assets0,65
10301.6.8.1Of which collateral swapped meets operational requirements
10401.7 Totals for transactions in which Other Level 2B assets are lent and the following collateral is borrowed:
10501.7.1Level 1 assets (excl. EHQ covered bonds)0,0
10601.7.1.1Of which collateral swapped meets operational requirements
10701.7.2Level 1: extremely high quality covered bonds0,0
10801.7.2.1Of which collateral swapped meets operational requirements
10901.7.3Level 2A assets0,0
11001.7.3.1Of which collateral swapped meets operational requirements
11101.7.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,0
11201.7.4.1Of which collateral swapped meets operational requirements
11301.7.5Level 2B: high quality covered bonds0,0
11401.7.5.1Of which collateral swapped meets operational requirements
11501.7.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,0
11601.7.6.1Of which collateral swapped meets operational requirements
11701.7.7Other Level 2B0,0
11801.7.7.1Of which collateral swapped meets operational requirements
11901.7.8Non-liquid assets0,5
12001.7.8.1Of which collateral swapped meets operational requirements
12101.8 Totals for transactions in which Non-liquid assets are lent and the following collateral is borrowed:
12201.8.1Level 1 assets (excl. EHQ covered bonds)0,0
12301.8.1.1Of which collateral swapped meets operational requirements
12401.8.2Level 1: extremely high quality covered bonds0,0
12501.8.2.1Of which collateral swapped meets operational requirements
12601.8.3Level 2A assets0,0
12701.8.3.1Of which collateral swapped meets operational requirements
12801.8.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,0
12901.8.4.1Of which collateral swapped meets operational requirements
13001.8.5Level 2B: high quality covered bonds0,0
13101.8.5.1Of which collateral swapped meets operational requirements
13201.8.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,0
13301.8.6.1Of which collateral swapped meets operational requirements
13401.8.7Other Level 2B0,0
13501.8.7.1Of which collateral swapped meets operational requirements
13601.8.8Non-liquid assets
13702 TOTAL COLLATERAL SWAPS (counterparty is non-central bank)
13802.1 Totals for transactions in which Level 1 assets (excl. EHQ covered bonds) are lent and the following collateral is borrowed:
13902.1.1Level 1 assets (excl. EHQ covered bonds)0,0
14002.1.1.1Of which collateral swapped meets operational requirements
14102.1.2Level 1: extremely high quality covered bonds0,07
14202.1.2.1Of which collateral swapped meets operational requirements
14302.1.3Level 2A assets0,15
14402.1.3.1Of which collateral swapped meets operational requirements
14502.1.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,25
14602.1.4.1Of which collateral swapped meets operational requirements
14702.1.5Level 2B: high quality covered bonds0,3
14802.1.5.1Of which collateral swapped meets operational requirements
14902.1.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,35
15002.1.6.1Of which collateral swapped meets operational requirements
15102.1.7Other Level 2B0,5
15202.1.7.1Of which collateral swapped meets operational requirements
15302.1.8Non-liquid assets1,0
15402.1.8.1Of which collateral swapped meets operational requirements
15502.2 Totals for transactions in which Level 1: extremely high quality covered bonds are lent and the following collateral is borrowed:
15602.2.1Level 1 assets (excl. EHQ covered bonds)0,07
15702.2.1.1Of which collateral swapped meets operational requirements
15802.2.2Level 1: extremely high quality covered bonds0,0
15902.2.2.1Of which collateral swapped meets operational requirements
16002.2.3Level 2A assets0,08
16102.2.3.1Of which collateral swapped meets operational requirements
16202.2.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,18
16302.2.4.1Of which collateral swapped meets operational requirements
16402.2.5Level 2B: high quality covered bonds0,23
16502.2.5.1Of which collateral swapped meets operational requirements
16602.2.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,28
16702.2.6.1Of which collateral swapped meets operational requirements
16802.2.7Other Level 2B0,43
16902.2.7.1Of which collateral swapped meets operational requirements
17002.2.8Non-liquid assets0,93
17102.2.8.1Of which collateral swapped meets operational requirements
17202.3 Totals for transactions in which Level 2A assets are lent and the following collateral is borrowed:
17302.3.1Level 1 assets (excl. EHQ covered bonds)0,15
17402.3.1.1Of which collateral swapped meets operational requirements
17502.3.2Level 1: extremely high quality covered bonds0,08
17602.3.2.1Of which collateral swapped meets operational requirements
17702.3.3Level 2A assets0,0
17802.3.3.1Of which collateral swapped meets operational requirements
17902.3.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,1
18002.3.4.1Of which collateral swapped meets operational requirements
18102.3.5Level 2B: high quality covered bonds0,15
18202.3.5.1Of which collateral swapped meets operational requirements
18302.3.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,2
18402.3.6.1Of which collateral swapped meets operational requirements
18502.3.7Other Level 2B0,35
18602.3.7.1Of which collateral swapped meets operational requirements
18702.3.8Non-liquid assets0,85
18802.3.8.1Of which collateral swapped meets operational requirements
18902.4 Totals for transactions in which Level 2B: asset-backed securities (residential or automobile, CQS1) are lent and the following collateral is borrowed:
19002.4.1Level 1 assets (excl. EHQ covered bonds)0,25
19102.4.1.1Of which collateral swapped meets operational requirements
19202.4.2Level 1: extremely high quality covered bonds0,18
19302.4.2.1Of which collateral swapped meets operational requirements
19402.4.3Level 2A assets0,1
19502.4.3.1Of which collateral swapped meets operational requirements
19602.4.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,0
19702.4.4.1Of which collateral swapped meets operational requirements
19802.4.5Level 2B: high quality covered bonds0,05
19902.4.5.1Of which collateral swapped meets operational requirements
20002.4.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,1
20102.4.6.1Of which collateral swapped meets operational requirements
20202.4.7Other Level 2B0,25
20302.4.7.1Of which collateral swapped meets operational requirements
20402.4.8Non-liquid assets0,75
20502.4.8.1Of which collateral swapped meets operational requirements
20602.5 Totals for transactions in which Level 2B: high quality covered bonds are lent and the following collateral is borrowed:
20702.5.1Level 1 assets (excl. EHQ covered bonds)0,3
20802.5.1.1Of which collateral swapped meets operational requirements
20902.5.2Level 1: extremely high quality covered bonds0,23
21002.5.2.1Of which collateral swapped meets operational requirements
21102.5.3Level 2A assets0,15
21202.5.3.1Of which collateral swapped meets operational requirements
21302.5.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,05
21402.5.4.1Of which collateral swapped meets operational requirements
21502.5.5Level 2B: high quality covered bonds0,0
21602.5.5.1Of which collateral swapped meets operational requirements
21702.5.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,05
21802.5.6.1Of which collateral swapped meets operational requirements
21902.5.7Other Level 2B0,2
22002.5.7.1Of which collateral swapped meets operational requirements
22102.5.8Non-liquid assets0,7
22202.5.8.1Of which collateral swapped meets operational requirements
22302.6 Totals for transactions in which Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1) are lent and the following collateral is borrowed:
22402.6.1Level 1 assets (excl. EHQ covered bonds)0,35
22502.6.1.1Of which collateral swapped meets operational requirements
22602.6.2Level 1: extremely high quality covered bonds0,28
22702.6.2.1Of which collateral swapped meets operational requirements
22802.6.3Level 2A assets0,2
22902.6.3.1Of which collateral swapped meets operational requirements
23002.6.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,1
23102.6.4.1Of which collateral swapped meets operational requirements
23202.6.5Level 2B: high quality covered bonds0,05
23302.6.5.1Of which collateral swapped meets operational requirements
23402.6.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,0
23502.6.6.1Of which collateral swapped meets operational requirements
23602.6.7Other Level 2B0,15
23702.6.7.1Of which collateral swapped meets operational requirements
23802.6.8Non-liquid assets0,65
23902.6.8.1Of which collateral swapped meets operational requirements
24002.7 Totals for transactions in which Other Level 2B assets are lent and the following collateral is borrowed:
24102.7.1Level 1 assets (excl. EHQ covered bonds)0,5
24202.7.1.1Of which collateral swapped meets operational requirements
24302.7.2Level 1: extremely high quality covered bonds0,43
24402.7.2.1Of which collateral swapped meets operational requirements
24502.7.3Level 2A assets0,35
24602.7.3.1Of which collateral swapped meets operational requirements
24702.7.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,25
24802.7.4.1Of which collateral swapped meets operational requirements
24902.7.5Level 2B: high quality covered bonds0,2
25002.7.5.1Of which collateral swapped meets operational requirements
25102.7.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,15
25202.7.6.1Of which collateral swapped meets operational requirements
25302.7.7Other Level 2B0,0
25402.7.7.1Of which collateral swapped meets operational requirements
25502.7.8Non-liquid assets0,5
25602.7.8.1Of which collateral swapped meets operational requirements
25702.8 Totals for transactions in which Non-liquid assets are lent and the following collateral is borrowed:
25802.8.1Level 1 assets (excl. EHQ covered bonds)1,0
25902.8.1.1Of which collateral swapped meets operational requirements
26002.8.2Level 1: extremely high quality covered bonds0,93
26102.8.2.1Of which collateral swapped meets operational requirements
26202.8.3Level 2A assets0,85
26302.8.3.1Of which collateral swapped meets operational requirements
26402.8.4Level 2B: asset-backed securities (residential or automobile, CQS1)0,75
26502.8.4.1Of which collateral swapped meets operational requirements
26602.8.5Level 2B: high quality covered bonds0,7
26702.8.5.1Of which collateral swapped meets operational requirements
26802.8.6Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)0,65
26902.8.6.1Of which collateral swapped meets operational requirements
27002.8.7Other Level 2B0,5
27102.8.7.1Of which collateral swapped meets operational requirements
27202.8.8Non-liquid assets
MEMORANDUM ITEMS
2730 23 Total collateral swaps (all counterparties) where borrowed collateral has been used to cover short positions
2740 34 Total collateral swaps with intragroup counterparties
5 Collateral swaps waived from Article 17 (2) and (3)
27505.1of which: collateral borrowed is L1 excl. EHQCB
27605.2of which: collateral borrowed is L1 EHQCB
27705.3of which: collateral borrowed is L2A
27805.4of which: collateral borrowed is L2B
27905.5of which: collateral lent is L1 excl. EHQCB
28005.6of which: collateral lent is L1 EHQCB
28105.7of which: collateral lent is L2A
28205.8of which: collateral lent is L2B

C 76.00 – LIQUIDITY COVERAGE – CALCULATIONS

Currency

Value / Percentage
Row ID Item 010
CALCULATIONS
Numerator, denominator, ratio
0101Liquidity buffer
0202Net liquidity outflow
0303Liquidity coverage ratio (%)
Numerator calculations
0404L1 excl. EHQCB liquidity buffer (value in accordance with Article 9): unadjusted
0505L1 excl. EHQCB collateral 30 day outflows
0606L1 excl. EHQCB collateral 30 day inflows
0707Secured cash 30 day ouflows
0808Secured cash 30 day inflows
0919L1 excl. EHQCB “adjusted amount”
10010L1 EHQCB value in accordance with Article 9: unadjusted
11011L1 EHQCB collateral 30 day outflows
12012L1 EHQCB collateral 30 day inflows
13113L1 EHQCB “adjusted amount”
16014L2A value in accordance with Article 9: unadjusted
17015L2A collateral 30 day outflows
18016L2A collateral 30 day inflows
19117L2A “adjusted amount”
22018L2B value in accordance with Article 9: unadjusted
23019L2B collateral 30 day outflows
24020L2B collateral 30 day inflows
25121L2B “adjusted amount”
28022Excess liquid asset amount
29023Liquidity buffer
Denominator calculations
30024Total Outflows
31025Fully Exempt Inflows
32026Inflows Subject to 90 % Cap
33027Inflows Subject to 75 % Cap
34028Reduction for Fully Exempt Inflows
35029Reduction for Inflows Subject to 90 % Cap
36030Reduction for Inflows Subject to 75 % Cap
37031Net liquidity outflow
Pillar 2
38032Pillar 2 requirement as set out in Article 105 CRD

C 77.00 – LIQUIDITY COVERAGE – PERIMETER

Parent or subsidiary Name Code LEI code Country code Type of entity
005010020030040050

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