2013-11-12
The Prudential Supervision and Resolution Authority issued Instruction No. 2013-I-14 to amend the definitions and calculation methods for activity aggregates used to determine regulatory reporting blocks. The document replaces the previous annex with a detailed table specifying thresholds for interbank, client, securities, and foreign currency activities. These updated criteria, effective from 31 December 2013, establish specific quantitative limits for assessing establishments' exposure across various financial activity sectors.