2017-02-16

Instruction No. 2017-I-03 of February 16, 2017 regarding annual prudential documents to be communicated by entities subject to ACPR supervision not falling under the Solvency II regime (repealed)

The ACPR issued Instruction No. 2017-I-03 on February 16, 2017, to establish the requirements for annual prudential reporting by entities not subject to the Solvency II regime. This instruction was subsequently repealed by Instruction No. 2018-I-16. The document also references the repeal of the previous Instruction No. 2016-I-15 and provides access to associated annexes.

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Autorite de Controle Prudentiel et de Resolution

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