2015-10-02
The Prudential Control and Resolution Authority issued Instruction No. 2015-I-20 to establish specific transmission deadlines for market-making indicators from credit institutions and financial holding companies. The directive mandates that covered entities submit annual, quarterly, and supplementary indicators to the Authority's General Secretariat by defined dates, including March 1 for annual data and mid-month deadlines for quarterly reports. These requirements apply to internal units engaged in market-making activities as defined under the Monetary and Financial Code.