2011-09-02

Added · Updated

Instruction No. 2011-I-13 of December 2, 2011 amending Instruction No. 2000-07 of September 4, 2000 on the monitoring of large exposures and gross risks

The Prudential Control Authority issued Instruction No. 2011-I-13 to amend the reporting requirements for large exposures and gross risks under Instruction No. 2000-07. The regulation replaces Annex 1 of the original instruction with new GRAN_RISK tables to align with European Union Directive 2010/76/EU and COREP reporting standards. These changes mandate specific data fields for equity, risk thresholds, and detailed breakdowns of credit and counterparty risks for both individual and consolidated reporting.

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Autorite de Controle Prudentiel et de Resolution

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Instruction No. 2000-07 of Sept…2000Instruction No. 2000-07 of September 4, 2000 on the monitoring of large exposures and gross risks, as amended by Instructions No. 2004-04 of October 11, 2004, No. 2005-01 of May 31, 2005 [...] (consolidated version)(repealed) (2000-09-04)Instruction No. 2009-02 of June…2009Instruction No. 2009-02 of June 19, 2009 Repealing or Modifying Several Instructions of the Banking Commission (2009-06-19)I Instruction No. 1 dated 2009-…I Instruction No. 1 dated 2009-11-30Instruction No. 2011-I-13 ofDecember 2, 2011 amending Ins…2011-09-02 · this documentInstruction No. 2011-I-13 of December 2, 2011 amending Instruction No. 2000-07 of September 4, 2000 on the monitoring of large exposures and gross risks (2011-09-02)
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