2015-12-17
The Prudential Supervision and Resolution Authority issued Instruction No. 2015-I-33 on December 17, 2015, to mandate the submission of quarterly statements by insurance undertakings excluded from the Solvency II regime. This regulatory instruction was subsequently repealed by Instruction No. 2017-I-02. The document serves as a historical record of the specific reporting requirements that were in force prior to its abrogation.