Home Technical Standards 2014 | Commission Implementing Regulation (EU) No 680/2014 ANNEX XII
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ANNEX XII

ANNEX XII

01/01/2021EU

C 60.00 — STABLE FUNDING — ITEMS REQUIRING STABLE FUNDING 

 amount extremely high liquidity and credit qualityamount high liquidity and credit qualityamount other assets
within three monthsbetween three and 6 monthsbetween 6 and 9 monthsbetween 9 and 12 monthsafter 12 monthswithin three monthsbetween three and 6 monthsbetween 6 and 9 monthsbetween 9 and 12 monthsafter 12 monthswithin three monthsbetween three and 6 monthsbetween 6 and 9 monthsbetween 9 and 12 monthsafter 12 months
RowIDItemLegal references010020030040050060070080090100110120130140150
010-13301ITEMS REQUIRING STABLE FUNDING                
010-4701.1assets referred to in Article 416Article 428(1)(a) of CRR               
0101.1.1cashArticle 416(1)(a) of CRR               
0201.1.2exposures to central bank                
0301.1.2.1Of which: exposures that can be withdrawn in times of stressArticle 416(1)(a) of CRR               
040-0501.1.3transferable assets representing claims on or guaranteed by the central government of a Member State, a region with fiscal autonomy to raise and collect taxes, or of a third country in the domestic currency of the central or regional government, if the institution incurs a liquidity risk in that Member State or third country that it covers by holding those liquidity assetsArticle 416(1)(c)(i) of CRR               
0401.1.3.1representing claimsArticle 416(1)(c)(i)               
0501.1.3.2guaranteed byArticle 416(1)(c)(i)               
060-0701.1.4transferable assets representing claims on or guaranteed by central banks and non-central government public sector entities in the domestic currency of the central bank and public sector entityArticle 416(c)(ii) of CRR               
0601.1.4.1representing claimsArticle 416(c)(ii)               
0701.1.4.2guaranteed byArticle 416(c)(ii)               
080-1501.1.5transferable assets representing claims on or guaranteed by the Bank for International Settlements, the International Monetary Fund, the European Commission and multilateral development banksArticle 416(c)(iii) of CRR               
0801.1.5.1.a)representing claimsArticle 416(c)(iii)               
0901.1.5.2.a)guaranteed byArticle 416(c)(iii)               
1001.1.5.1.b)amount unencumbered                
1101.1.5.2.b)amount encumbered for a period within three months                
1201.1.5.3.b)amount encumbered for a period between three and 6 months                
1301.1.5.4.b)amount encumbered for a period between 6 and 9 months                
1401.1.5.5.b)amount encumbered for a period between 9 and 12 months                
1501.1.5.6.b)amount encumbered for a period greater than 12 months                
152-1531.1.6transferable assets representing claims on or guaranteed by the European Financial Stability Facility and the European Stability MechanismArticle 416(1)(c)(iv) of CRR               
1521.1.6.1representing claims                
1531.1.6.2guaranteed by                
160-2301.1.7total shares or units in CIUs with underlying assets specified in Article 416Article 418(2) of CRR               
1601.1.7.1.aunderlying assets in point (a) of Article 416(1)Article 418(2)(a) of CRR               
1701.1.7.2.aunderlying assets in point (b) and (c) of Article 416(1)Article 418 (2)(b) and (c) of CRR               
1751.1.7.3.aunderlying assets in point (d) of Article 416(1)Article 418(2)(c) of CRR               
1801.1.7.1.bamount unencumbered                
1901.1.7.2.bamount encumbered for a period within three months                
2001.1.7.3.bamount encumbered for a period between three and 6 months                
2101.1.7.4.bamount encumbered for a period between 6 and 9 months                
2201.1.7.5.bamount encumbered for a period between 9 and 12 months                
2301.1.7.6.bamount encumbered for a period greater than 12 months                
232-2331.1.8deposits with the central credit institution and other statutory or contractually available liquid funding from a central credit institution or institutions that are members of a network referred to in Article 113(7) or eligible for the waiver provided in Article 10 CRR, to the extent that this funding is not collateralized by liquid assetsArticle 416(1)(f) of CRR               
2321.1.8.1deposits                
2331.1.8.2contractually available liquid funding                
2341.1.9Assets issued by a credit institution which has been set up by a Member State central or regional government where at least one of the conditions in Article 416(2)(a)(iii) is metArticle 416(2)(a)(iii) of CRR               
240-2901.1.10Other transferable assets not specified elsewhere                
2401.1.10.1amount unencumbered                
2501.1.10.2amount encumbered for a period within three months                
2601.1.10.3amount encumbered for a period between three and 6 months                
2701.1.10.4amount encumbered for a period between 6 and 9 months                
2801.1.10.5amount encumbered for a period between 9 and 12 months                
2901.1.10.6amount encumbered for a period greater than 12 months                
300-3501.1.11non financial corporate bondsArticle 416(1)(b) or (d) of CRR               
3001.1.11.1amount unencumbered                
3101.1.11.2amount encumbered for a period within three months                
3201.1.11.3amount encumbered for a period between three and 6 months                
3301.1.11.4amount encumbered for a period between 6 and 9 months                
3401.1.11.5amount encumbered for a period between 9 and 12 months                
3501.1.11.6amount encumbered for a period greater than 12 months                
352-3571.1.12non residential mortgage backed instruments issued by a credit institution if demostrated to be of the hihgest credit quality as established by EBA pursuant to the criteria in Art. 509 (3),(4) and (5) CRRArticle 416(2)(a)(i) of CRR               
3521.1.12.1amount unencumbered                
3531.1.12.2amount encumbered for a period within three months                
3541.1.12.3amount encumbered for a period between three and 6 months                
3551.1.12.4amount encumbered for a period between 6 and 9 months                
3561.1.12.5amount encumbered for a period between 9 and 12 months                
3571.1.12.6amount encumbered for a period greater than 12 months                
359-3641.1.13residential mortgage backed instruments issued by a credit institution if demonstrated to be of the hihgest credit quality as established by EBA pursuant to the criteria in Art. 509 (3),(4) and (5) CRRArticle 416(2)(a)(i) of CRR               
3591.1.13.1amount unencumbered                
3601.1.13.2amount encumbered for a period within three months                
3611.1.13.3amount encumbered for a period between three and 6 months                
3621.1.13.4amount encumbered for a period between 6 and 9 months                
3631.1.13.5amount encumbered for a period between 9 and 12 months                
3641.1.13.6amount encumbered for a period greater than 12 months                
366-4101.1.14bonds eligible for the treatment set out in Art. 129(4) or (5), which meet the criteria in Art. 416(2)(a) CRR                
3661.1.14.1amount unencumbered                
3701.1.14.2amount encumbered for a period within three months                
3801.1.14.3amount encumbered for a period between three and 6 months                
3901.1.14.4amount encumbered for a period between 6 and 9 months                
4001.1.14.5amount encumbered for a period between 9 and 12 months                
4101.1.14.6amount encumbered for a period greater than 12 months                
420-4701.1.15bonds as defined in Article 52(4) of Directive 2009/65/EC other than those referred to in 1.1.9Article 416(2)(a)(ii) of CRR               
4201.1.15.1amount unencumbered                
4301.1.15.2amount encumbered for a period within three months                
4401.1.15.3amount encumbered for a period between three and 6 months                
4501.1.15.4amount encumbered for a period between 6 and 9 months                
4601.1.15.5amount encumbered for a period between 9 and 12 months                
4701.1.15.6amount encumbered for a period greater than 12 months                
480-5301.2securities and money market instruments not reported in 1.1 qualifying for credit step 1 under Article 122Article 428(1)(b)(i) of CRR               
4801.2.1amount unencumbered                
4901.2.2amount encumbered for a period within three months                
5001.2.3amount encumbered for a period between three and 6 months                
5101.2.4amount encumbered for a period between 6 and 9 months                
5201.2.5amount encumbered for a period between 9 and 12 months                
5301.2.6amount encumbered for a period greater than 12 months                
540-5901.3securities and money market instruments not reported in 1.1 qualifying for credit step 2 under Article 122Article 428(1)(b)(ii) of CRR               
5401.3.1amount unencumbered                
5501.3.2amount encumbered for a period within three months                
5601.3.3amount encumbered for a period between three and 6 months                
5701.3.4amount encumbered for a period between 6 and 9 months                
5801.3.5amount encumbered for a period between 9 and 12 months                
5901.3.6amount encumbered for a period greater than 12 months                
600-6501.4other securities and money market instruments not reported elsewhereArticle 415(1)(b)(iii) of CRR               
6001.4.1amount unencumbered                
6101.4.2amount encumbered for a period within three months                
6201.4.3amount encumbered for a period between three and 6 months                
6301.4.4amount encumbered for a period between 6 and 9 months                
6401.4.5amount encumbered for a period between 9 and 12 months                
6501.4.6amount encumbered for a period greater than 12 months                
660-7101.5equity securities of non-financial entities listed on a major index in a recognised exchangeArticle 428(1)(c) of CRR               
6601.5.1amount unencumbered                
6701.5.2amount encumbered for a period within three months                
6801.5.3amount encumbered for a period between three and 6 months                
6901.5.4amount encumbered for a period between 6 and 9 months                
7001.5.5amount encumbered for a period between 9 and 12 months                
7101.5.6amount encumbered for a period greater than 12 months                
720-7701.6other equity securitiesArticle 428(1)(d) of CRR               
7201.6.1amount unencumbered                
7301.6.2amount encumbered for a period within three months                
7401.6.3amount encumbered for a period between three and 6 months                
7501.6.4amount encumbered for a period between 6 and 9 months                
7601.6.5amount encumbered for a period between 9 and 12 months                
7701.6.6amount encumbered for a period greater than 12 months                
780-8301.7goldArticle 428(1)(e) of CRR               
7801.7.1amount unencumbered                
7901.7.2amount encumbered for a period within three months                
8001.7.3amount encumbered for a period between three and 6 months                
8101.7.4amount encumbered for a period between 6 and 9 months                
8201.7.5amount encumbered for a period between 9 and 12 months                
8301.7.6amount encumbered for a period greater than 12 months                
840-8901.8other precious metalsArticle 428(1)(f) of CRR               
8401.8.1amount unencumbered                
8501.8.2amount encumbered for a period within three months                
8601.8.3amount encumbered for a period between three and 6 months                
8701.8.4amount encumbered for a period between 6 and 9 months                
8801.8.5amount encumbered for a period between 9 and 12 months                
8901.8.6amount encumbered for a period greater than 12 months                
 Total amount          
900-12501.9non-renewable loans and receivablesArticle 428(1)(g) of CRR               
900-9501.9.1the borrowers of which are natural persons other than commercial sole proprietors and partnershipsArticle 428(1)(g)(i) of CRR               
9001.9.1.1amount unencumbered                
9101.9.1.2amount encumbered for a period within three months                
9201.9.1.3amount encumbered for a period between three and 6 months                
9301.9.1.4amount encumbered for a period between 6 and 9 months                
9401.9.1.5amount encumbered for a period between 9 and 12 months                
9501.9.1.6amount encumbered for a period greater than 12 months                
960-10101.9.2SMEs that qualify for the retail exposure under the Standardised or IRB approaches for credit risk or to a company which is eligible for the treatment mentioned in Article 153(4) and where the aggregate deposit placed by the client or group of connected clients is less than EUR 1 millionArticle 428(1)(g)(ii) of CRR               
9601.9.2.1amount unencumbered                
9701.9.2.2amount encumbered for a period within three months                
9801.9.2.3amount encumbered for a period between three and 6 months                
9901.9.2.4amount encumbered for a period between 6 and 9 months                
10001.9.2.5amount encumbered for a period between 9 and 12 months                
10101.9.2.6amount encumbered for a period greater than 12 months                
1020-10701.9.3the borrowers of which are sovereigns, central banks and public sector entitiesArticle 428(1)(g)(iii) of CRR               
10201.9.3.1amount unencumbered                
10301.9.3.2amount encumbered for a period within three months                
10401.9.3.3amount encumbered for a period between three and 6 months                
10501.9.3.4amount encumbered for a period between 6 and 9 months                
10601.9.3.5amount encumbered for a period between 9 and 12 months                
10701.9.3.6amount encumbered for a period greater than 12 months                
1080-11301.9.4the borrowers of which are not reported in item 1.9.1, 1.9.2 or 1.9.3 other than financial customersArticle 428(1)(g)(iv) of CRR               
10801.9.4.1amount unencumbered                
10901.9.4.2amount encumbered for a period within three months                
11001.9.4.3amount encumbered for a period between three and 6 months                
11101.9.4.4amount encumbered for a period between 6 and 9 months                
11201.9.4.5amount encumbered for a period between 9 and 12 months                
11301.9.4.6amount encumbered for a period greater than 12 months                
1140-11901.9.5the borrowers of which are credit institutionsArticle 428(1)(g)(vi) of CRR               
11401.9.5.1amount unencumbered                
11501.9.5.2amount encumbered for a period within three months                
11601.9.5.3amount encumbered for a period between three and 6 months                
11701.9.5.4amount encumbered for a period between 6 and 9 months                
11801.9.5.5amount encumbered for a period between 9 and 12 months                
11901.9.5.6amount encumbered for a period greater than 12 months                
1200-12501.9.6the borrowers of which are financial customers (not referred to in 1.9.1, 1.9.2) other than credit institutionsArticle 428(1)(g)(vi) of CRR               
12001.9.6.1amount unencumbered                
12101.9.6.2amount encumbered for a period within three months                
12201.9.6.3amount encumbered for a period between three and 6 months                
12301.9.6.4amount encumbered for a period between 6 and 9 months                
12401.9.6.5amount encumbered for a period between 9 and 12 months                
12501.9.6.6amount encumbered for a period greater than 12 months                
1260-12801.10non-renewable loans and receivables reported in 1.9 that are collateralised by real estateArticle 428(1)(h) of CRR               
12601.10.1collateralised by commercial real estate (CRE)Article 428(1)(h)(i) of CRR               
12701.10.2collateralised by residential real estate (PRE)Article 428(1)(h)(ii) of CRR               
12801.10.3match funded (pass-through) via bond eligible for treatment set out in article 129 (4) or (5) as defined in Article 52(4) of Directive 2009/65/ECArticle 428(1)(h)(iii) of CRR               
12901.11derivatives receivablesArticle 428(1)(i) of CRR               
13001.12any other assetsArticle 428(1)(j) of CRR               
13101.13assets deducted from own funds not requiring stable fundingArticle 428(1) of CRR               
13201.14undrawn committed credit facilities that qualify as "medium risk" or "medium/low risk" under Annex I.Article 428(1)(k) of CRR               



 

LIQUIDITY TEMPLATES
Template numberTemplate codeName of the template/group of templates
LIQUIDITY COVERAGE TEMPLATES
  PART I — LIQUID ASSETS
51C 51.00LIQUIDITY COVERAGE — LIQUID ASSETS
  PART II — OUTFLOWS
52C 52.00LIQUIDITY COVERAGE — OUTFLOWS
  PART III — INFLOWS
53C 53.00LIQUIDITY COVERAGE — INFLOWS
  PART IV — COLLATERAL SWAPS
54C 54.00LIQUIDITY COVERAGE — COLLATERAL SWAPS
STABLE FUNDING TEMPLATES
  PART V — STABLE FUNDING
60C 60.00STABLE FUNDING — ITEMS REQUIRING STABLE FUNDING
61C 61.00STABLE FUNDING — ITEMS PROVIDING STABLE FUNDING



 

C 51.00 — LIQUIDITY COVERAGE — LIQUID ASSETS 

 Market valueValue according to Article 418 of CRRAmountUndrawn amount of line
RowIDItemLegal references010020030040
RowIDItemLegal referencesExtremely high liquidity and credit quality assetsHigh liquidity and credit quality assets
Market valueValue according to Article 418 of CRRMarket valueValue according to Article 418 of CRR
RowIDItemLegal referencesMarket valueValue according to Article 418 of CRRAmountUndrawn amount of line
010-3901ASSETS WHICH MEET THE REQUIREMENTS OF ARTICLES 416 AND 417 OF CRRArticle 416 and 417 of CRR    
0101,1cashArticle 416(1)(a) of CRR    
0201,2exposures to central bankArticle 416(1)(a) of CRR    
0301.2.1of which: exposures that can be withdrawn in times of stressArticle 416(1)(a) of CRR    
040-1101,3Other transferable assets representing claims on or guaranteed byArticle 416(1)(c) of CRR    
040-0501.3.1transferable assets representing claims on or guaranteed by the central government of a Member State, on a region with fiscal autonomy to raise and collect taxes, or of a third country in the domestic currency of the central or regional government, if the institution incurs a liquidity risk in that Member State or third country that it covers by holding those liquid assetsArticle 416(1)(c)(i) of CRR    
0401.3.1.1representing claimsArticle 416(1)(c)(i) of CRR    
0501.3.1.2guaranteed byArticle 416(1)(c)(i) of CRR    
060-0701.3.2transferable assets representing claims on or guaranteed by central banks and non-central government public sector entities-in the domestic currency of the central bank and public sector entityArticle 416(1)(c)(ii) of CRR    
0601.3.2.1representing claims onArticle 416(1)(c)(ii) of CRR    
0701.3.2.2guaranteed byArticle 416(1)(c)(ii) of CRR    
080-0901.3.3transferable assets representing claims on or guaranteed by the Bank for International Settlements, the International Monetary Fund, the Commission and multilateral development banks;Article 416(1)(c)(iii) of CRR    
0801.3.3.1representing claims onArticle 416(1)(c)(iii) of CRR    
0901.3.3.2guaranteed byArticle 416(1)(c)(iii) of CRR    
100-1101.3.4transferable assets representing claims on or guaranteed by the European Financial Stability Facility and the European Stability MechanismArticle 416(1)(c)(iv) of CRR    
1001.3.4.1representing claims onArticle 416(1)(c)(iv) of CRR    
1101.3.4.2guaranteed byArticle 416(1)(c)(iv) of CRR    
120-1401,4total shares or units in CIUs with underlying assets specified in Article 416Article 416(6) and 418(2) CRR    
1201.4.1underlying assets in point (a) of article 416(1)Article 418(2)(a) of CRR    
1301.4.2underlying assets in point (b) and (c) of article 416(1)Article 418(2)(b) of CRR    
1401.4.3underlying assets in point (d) of article 416(1)Article 418(2)(c) of CRR    
1501,5standby credit facilities granted by central banks within the scope of monetary policy to the extent that these facilities are not collateralised by liquid assets and excluding emergency liquidity assistanceArticle 416(1) (e) CRR    
160-1701,6deposits with the central credit institution and other statutory or contractually available liquid funding from a central credit institution or institutions that are members of a network referred to in Article 113(7) or eligible for the waiver provided in Article 10 CRR, to the extent that this funding is not collateralized by liquid assetsArticle 416(1) (f) CRR    
1601.6.1depositsArticle 416(1) (f) CRR    
1701.6.2contractually available liquid fundingArticle 416(1) (f) CRR    
1801,7assets issued by a credit institution which has been set up by a Member State central or regional government where at least one of the conditions in Article 416 (2)(a)(iii) is metArticle 416(2)(a)(iii) of CRR    
190-2101,8non financial corporate bondsArticle 416(1)(b) or (d) of CRR    
1901.8.1credit quality step 1Article 122 CRR    
2001.8.2credit quality step 2Article 122 CRR    
2101.8.3credit quality step 3Article 122 CRR    
220-2401,9bonds issued by a credit institution eligible for the treatment set out in Article 129(4) or (5)Article 416(2)(a)(i) of CRR    
2201.9.1credit quality step 1Article 129(4) or 129(5) of CRR    
2301.9.2credit quality step 2Article 129(4) or 129(5) of CRR    
2401.9.3credit quality step 3Article 129(4) or 129(5) of CRR    
250-2701.10non residential mortgage backed instruments issued by a credit institution if demostrated to be of the hihgest credit quality as established by EBA pursuant to the criteria in Art. 509 (3),(4) and (5) CRRArticle 416(2)(a)(i) of CRR    
2501.10.1credit quality step 1Chapter 5,Title 2, and Article 123, 124, 125, 126 of CRR    
2601.10.2credit quality step 2Chapter 5,Title 2, and Article 123, 124, 125, 126 of CRR    
2701.10.3credit quality step 3Chapter 5,Title 2, and Article 123, 124, 125, 126 of CRR    
280-3001,11residential mortgage backed instruments issued by a credit institution if demostrated to be of the hihgest credit quality as established by EBA pursuant to the criteria in Art. 509 (3),(4) and (5) CRRArticle 416(2)(a)(i) of CRR    
2801.11.1credit quality step 1Chapter 5 Title 2 of part V and Article 125 of CRR    
2901.11.2credit quality step 2Chapter 5,Title 2 of part V and Article 125 of CRR    
3001.11.3credit quality step 3Chapter 5,Title 2, and Article 125 of CRR    
310-3301.12bonds issued by a credit institution as defined in Article 52(4) of Directive 2009/65/EC other than those referred to in 1.9Article 416(2)(a)(ii) of CRR    
3101.12.1credit quality step 1Article 129(4) or 129(5) of CRR    
3201.12.2credit quality step 2Article 129(4) or 129(5) of CRR    
3301.12.3credit quality step 3Article 129(4) or 129(5) of CRR    
340-3601,13other transferable assets that are of extremely high liquidity and credit qualityArticle 416(1)(b) of CRR    
3401.13.1credit quality step 1Chapter 2,Title 2, Part III of CRR    
3501.13.2credit quality step 2Chapter 2,Title 2, Part III of CRR    
3601.13.3credit quality step 3Chapter 2,Title 2, Part III of CRR    
370-3901,14other transferable assets that are of high liquidity and credit qualityArticle 416(1)(d) of CRR    
3701.14.1credit quality step 1Chapter 2,Title 2, Part III of CRR    
3801.14.2credit quality step 2Chapter 2,Title 2, Part III of CRR    
3901.14.3credit quality step 3Chapter 2,Title 2, Part III of CRR    
400-4102ASSETS WHICH MEET THE REQUIREMENTS OF ART. 416 (1) (b) AND (d) BUT DO NOT MEET THE REQUIREMENTS OF ART. 417 (b)AND (c) CRR Market valueValue according to Article 418 of CRRAmountUndrawn amount of line
4002,1assets not controlled by a liquidity management functionArticle 417 (c) of CRR    
4102,2assets not legally and practically readily available at any time during the next 30 days to be liquidated via outright sale via a simple repurchase agreements on an approved repurchase marketsArticle 417 (b) of CRR    
420-6103ITEMS SUBJECT TO SUPPLEMENTARY REPORTING OF LIQUID ASSETS     
4203,1CashAnnex III, article 1 CRR    
4303,2Central bank exposures, to the extent that these exposures can be drawn down in times of stressAnnex III, article 2 CRR    
440-4803,3transferable securities with a 0% risk weight and not an obligation of an institution or any of its affiliated entitiesAnnex III, article 3 CRR    
4403.3.1representing claims on sovereignsAnnex III, article 3 CRR    
4503.3.2claims guaranteed by sovereignsAnnex III, article 3 CRR    
4603.3.3representing claims on or claims guaranteed by central banksAnnex III, article 3 CRR    
4703.3.4representing claims on or claims guaranteed by non-central government public sector entities, regions with fiscal autonomy to raise and collect taxes and local authoritiesAnnex III, article 3 CRR    
4803.3.5representing claims on or claims guaranteed by Bank for International Settlements, the International Monetary Fund, the European Union, the European Financial Stability Facility, the European Stability Mechanism or multilateral development banksAnnex III, article 3 CRR    
4903,4Transferable securities other than those referred to in 3.3 representing claims on or claims guaranteed by sovereigns or central banks issued in domestic currencies by the sovereign or central bank in the currency and country in which the liquidity risk is being taken or issued in foreign currencies, to the extent that holding of such debt matches the liquidity needs of the bank’s operations in that third countryAnnex III, article 4 CRR    
500-5503,5transferable securities with a 20% risk weight and not an obligation of an institution or any of its affiliated entitiesAnnex III, article 5 CRR    
5003.5.1representing claims on sovereignsAnnex III, article 5 CRR    
5103.5.2claims guaranteed by sovereignsAnnex III, article 5 CRR    
5203.5.3representing claims on or claims guaranteed by central banksAnnex III, article 5 CRR    
5303.5.4representing claims on or claims guaranteed by non-central government public sector entities, regions with fiscal autonomy to raise and collect taxes and local authoritiesAnnex III, article 5 CRR    
5403.5.5representing claims on or claims guaranteed by multilateral development banksAnnex III, article 5 CRR    
5503,6transferable securities other than those referred to in point 3.3 to 3.5 of the LCR-Assets's template that fulfil all the conditions specifed in Art. 5 of Annex III CRRAnnex III, article 6 CRR    
5603,7transferable securities other than those referred to in 3.3 to 3.6 that qualify for a 50 % or better risk weight under Chapter 2, Title II of Part Three or are internally rated as having an equivalent credit quality, and do not represent a claim on an SSPE, an institution or any of its affiliated entitiesAnnex III, article 7 CRR    
5703,8transferable securities other than those referred to in 3.3 to 3.7 that are collateralised by assets that qualify for a 35 % or better risk weight under Chapter 2, Title II of Part Three or are internally rated as having an equivalent credit quality, and are fully and completely secured by mortgages on residential property in accordance with Article 125Annex III, article 8 CRR    
5803,9standby credit facilities granted by central banks within the scope of monetary policy to the extent that these facilities are not collateralised by liquid assets and excluding emergency liquidity assistanceAnnex III, article 9 CRR    
5903.10Legal or statutory minimum deposits with the central credit institution and other statutory or contractually available liquid funding from the central credit institution or institutions that are members of the network referred to in Article 113(7), or eligible for the waiver provided in Article 10, to the extent that this funding is not colateralised by liqduid assets, if the credit institution belongs to a network in accordance with legal or statutory provisions.Annex III, article 10 CRR    
6003,11exchange traded, centrally cleared common equity shares, that are a constituent of a major stock index, denominated in the domestic currency of the Member State and not issued by an institution or any of its affiliatesAnnex III, article 11 CRR    
6103,12gold listed on a recognised exchange, held on an allocated basisAnnex III, article 12 CRR    
620-8504ASSETS WHICH DO NOT MEET THE REQUIREMENTS OF ARTICLE 416 (1) - (3) OF CRR BUT STILL MEET THE REQUIREMENTS OF ART. 417 (b) AND (c ) CRR     
620-6404,1financial corporate bondsArticle 416 (2) of CRR    
6204.1.1credit quality step 1Article 120(1) of CRR    
6304.1.2credit quality step 2Article 120(1) of CRR    
6404.1.3credit quality step 3Article 120(1) of CRR    
650-6704,2own issuancesArticle 416.3(b) -of CRR    
6504.2.1credit quality step 1Article 120(1) of CRR    
6604.2.2credit quality step 2Article 120(1) of CRR    
6704.2.3credit quality step 3Article 120(1) of CRR    
680-7004,3unsecured credit institution issuancesArticle 416 of CRR    
6804.3.1credit quality step 1Article 120(1) of CRR    
6904.3.2credit quality step 2Article 120(1) of CRR    
7004.3.3credit quality step 3Article 120(1) of CRR    
710-7304,4non residential mortgage backed instruments not already reported in 1.10Article 416 (4)(b) CRR    
7104.4.1credit quality step 1Chapter 5,Title 2, and Article 123, 124, 125, 126 of CRR    
7204.4.2credit quality step 2Chapter 5,Title 2, and Article 123, 124, 125, 126 of CRR    
7304.4.3credit quality step 3Chapter 5,Title 2, and Article 123, 124, 125, 126 of CRR    
740-7604,5residential mortgage backed instruments not already reported in 1.11Article 509(3)(a) CRR    
7404.5.1credit quality step 1Chapter 5,Title 2 of Part III and Article 125 of CRR    
7504.5.2credit quality step 2Chapter 5,Title 2 of Part III and Article 125 of CRR    
7604.5.3credit quality step 3Chapter 5,Title 2 of Part III and Article 125 of CRR    
7704,6equities listed on a recognised exchange and major index linked equity instruments, not self issued or issued by financial institutionsArticle 509(3)(c) and 416(4)(a) of CRR    
7804,7goldArticle 509(3)(c) and 416(4)(a) of CRR    
7904,8guaranteed bonds not already reported aboveArticle 509(3)(c) of CRR    
8004,9covered bonds not already reported aboveArticle 509(3)(c) of CRR    
8104.10corporate bonds not already reported aboveArticle 509(3)(c) of CRR    
8204.11funds based on the assets reported in 4.5 -4.10Article 509(3)(c) of CRR    
830-8504.12other categories of central bank eligible securities or loansArticle 509(3)(b) of CRR    
8304.12.1local government bondsArticle 509(3)(b) of CRR    
8404.12.2commercial paperArticle 509(3)(b) of CRR    
8504.12.3credit claimsArticle 416(4)(c) of CRR    
860-8705TREATMENT FOR JURISDICTIONS WITH INSUFFICIENT HQLAArticle 419(2)(a) of CRR    
8605,1Use of derogation A (foreign currency)Article 419(2)(a) of CRR    
8705,2Use of derogation B (credit line from the relevant central bank)Article 419(2)(b) of CRR    
880-9006REPORTING OF SHAR'IAH COMPLIANT ASSETS AS ALTERNATIVE ASSETS UNDER 509(2)(i). Shar'iah -compliant financial products as alternative to assetss that would qualify as liquid assets for the purposes of Article 416, for the use of Shar'iah compliant banksArticle 509(2)(i) of CRR    
8806.1credit quality step 1     
8906.2credit quality step 2     
9006.3credit quality step 3     



 

C 52.00 — LIQUIDITY COVERAGE — OUTFLOWS 

 AmountOutflow 
RowIDItemLegal references010020030040050060070080090100110120
RowIDItemLegal referencesMarket valueWhere the counterparty is not a central bankWhere the counterparty is a central bankWhere the counterparty is the central government, a public sector entity of the Member state in which the credit istitution has been authorised or has establised a branch, or a multilateral development bank (Art.422.2(d))
extremely high liquidity and credit quality assetshigh liquidity and credit qualityother liquidity and credit qualityextremely high liquidity and credit quality assetshigh liquidity and credit qualityother liquidity and credit qualityAssets which do not qualify as liquid assets in accordance with Article 416
Amount dueValue according to Art. 418 CRRAmount dueValue according to Art. 418 CRRAmount dueAmount dueValue according to Art. 418 CRRAmount dueValue according to Art. 418 CRRAmount dueAmount due
RowIDItemLegal ReferencesAmount deposited by clients that are financial customersOutflowAmount deposited by clients that are not financial customersOutflowAmount       
RowIDItemLegal ReferencesAmountOutflow          
RowIDItemLegal ReferencesAmountOutflowMarket valueValue according to Article 418 of the CRR        
RowIDItemLegal ReferencesAmountOutflow          
020-13701OUTFLOWS             
020-1001,1retail depositsArticle 421 of CRR            
020-0401.1.1covered by a Deposit Guarantee Scheme in accordance with Directive 94/19/EC or an equivalent deposit guarantee scheme in a third countryArticle 421(1) of CRR            
0201.1.1.1part of an established relationship making withdrawal highly unlikelyArticle 421(1)(a) of CRR            
0301.1.1.2held in transactional accounts, including accounts to which salaries are regularly creditedArticle 421(1)(b) of CRR            
0401.1.2covered by a Deposit Guarantee Scheme according to Directive 94/19/EC or an equivalent deposit guarantee scheme in a third country which do not qualify to be reported in items 1.1.1.1 or 1.1.1.2Article 421(2) of CRR            
0501.1.3uninsured retail depositsArticle 421(2) of CRR            
060-0801.1.4deposits subject to different outflows than specified in Article 421(1) or 421(2)Article 421(3) of CRR            
0601.1.4.1Category 1             
0701.1.4.2Category 2             
0801.1.4.3Category 3             
0901.1.5deposits in third countries where a higher outflow is appliedArticle 421(4) of CRR            
1001.1.6deposits exempted from the calculation of outflows where the conditions of Art. 421(5)(a) and (b) have been metArticle 421(5) of CRR            
110-11301,2outflows on other liabilities             
1101.2.1liabilities resulting from the institution's own operating expensesArticle 422(1) of CRR            
120-9501.2.2Liabilities resulting from secured lending and capital market driven transactions as defined in Article 192:Article 422(2) of CRR            
120-1901.2.2.1Other transferable assets representing claims on or guaranteed byArticle 416(1)(c) of CRR            
120-1301.2.2.1.1transferable assets representing claims on or guaranteed by the central government of a Member State, a region with fiscal autonomy to raise and collect taxes, or of a third country in the domestic currency of the central or regional government, if the institution incurs a liquidity risk in that Member State or third country that it covers by holding those liquidity assetsArticle 416(1)(c)(i) of CRR            
1201.2.2.1.1.1representing claimsArticle 416(1)(c)(i) of CRR            
1301.2.2.1.1.2guaranteed byArticle 416(1)(c)(i) of CRR            
140-1501.2.2.1.2transferable assets representing claims on or guaranteed by central banks and non-central government public sector entities in the domestic currency of the central bank and public sector entityArticle 416(1)(c)(ii) of CRR            
1401.2.2.1.2.1representing claims onArticle 416(1)(c)(ii) of CRR            
1501.2.2.1.2.2guaranteed byArticle 416(1)(c)(ii) of CRR            
160-1701.2.2.1.3transferable assets representing claims on or guaranteed by the Bank for International Settlements, the International Monetary Fund, the Commission and multilateral development banks;Article 416(1)(c)(iii) of CRR            
1601.2.2.1.3.1representing claims onArticle 416(1)(c)(iii) of CRR            
1701.2.2.1.3.2guaranteed byArticle 416(1)(c)(iii) of CRR            
180-1901.2.2.1.4transferable assets representing claims on or guaranteed by the European Financial Stability Facility and the European Stability MechanismArticle 416(1)(c)(iv) of CRR            
1801.2.2.1.4.1representing claims onArticle 416(1)(c)(iv) of CRR            
1901.2.2.1.4.2guaranteed byArticle 416(1)(c)(iv) of CRR            
200-2201.2.2.2total shares or units in CIUs with underlying assets specified in Article 416Article 416(6) and 418(2) CRR            
2001.2.2.2.1underlying assets in point (a) of article 416(1)Article 418(2)(a) of CRR            
2101.2.2.2.2underlying assets in point (b) and (c) of article 416(1)Article 418(2)(b) of CRR            
2201.2.2.2.3underlying assets in point (d) of article 416(1)Article 418(2)(c) of CRR            
2301.2.2.3assets issued by a credit institution which has been set up by a Member State central or regional government where at least one of the conditions in Article 416 (2)(a)(iii) is metArticle 416(2)(a)(iii) of CRR            
240-2601.2.2.4non financial corporate bondsArticle 416(1)(b) or (d) of CRR            
2401.2.2.4.1credit quality step 1Article 122 CRR            
2501.2.2.4.2credit quality step 2Article 122 CRR            
2601.2.2.4.3credit quality step 3Article 122 CRR            
270-2901.2.2.5bonds issued by a credit institution eligible for the treatment set out in Article 129(4) or (5)Article 416(2)(a)(i) of CRR            
2701.2.2.5.1credit quality step 1Article 129(4) or 129(5) of CRR            
2801.2.2.5.2credit quality step 2Article 129(4) or 129(5) of CRR            
2901.2.2.5.3credit quality step 3Article 129(4) or 129(5) of CRR            
300-3201.2.2.6non residential mortgage backed instruments issued by a credit institution if demostrated to be of the hihgest credit quality as established by EBA pursuant to the criteria in Art. 509 (3),(4) and (5) CRRArticle 416(2)(a)(i) of CRR            
3001.2.2.6.1credit quality step 1Chapter 5, Title 2, and Article 123, 124, 125, 126 of CRR            
3101.2.2.6.2credit quality step 2Chapter 5, Title 2, and Article 123, 124, 125, 126 of CRR            
3201.2.2.6.3credit quality step 3Chapter 5, Title 2, and Article 123, 124, 125, 126 of CRR            
330-3501.2.2.7residential mortgage backed instruments issued by a credit institution if demostrated to be of the hihgest credit quality as established by EBA pursuant to the criteria in Art. 509 (3),(4) and (5) CRRArticle 416(2)(a)(i) of CRR            
3301.2.2.7.1credit quality step 1Chapter 5 Title 2 of part V and Article 125 of CRR            
3401.2.2.7.2credit quality step 2Chapter 5, Title 2 of part V and Article 125 of CRR            
3501.2.2.7.3credit quality step 3Chapter 5, Title 2, and Article 125 of CRR            
360-3801.2.2.8bonds issued by a credit institution as defined in Art. 52(4) of Directive 2009/65/EC other than those referred to in 1.9 of LCR-Assets' templateArticle 416(2)(a)(ii) of CRR            
3601.2.2.8.1credit quality step 1Article 129(4) or 129(5) of CRR            
3701.2.2.8.2credit quality step 2Article 129(4) or 129(5) of CRR            
3801.2.2.8.3credit quality step 3Article 129(4) or 129(5) of CRR            
390-4101.2.2.9other transferable assets that are of extremely high liquidity and credit qualityArticle 416(1)(b) of CRR            
3901.2.2.9.1credit quality step 1Chapter 2, Title 2, Part III of CRR            
4001.2.2.9.2credit quality step 2Chapter 2, Title 2, Part III of CRR            
4101.2.2.9.3credit quality step 3Chapter 2, Title 2, Part III of CRR            
420-4401.2.2.10other transferable assets that are of high liquidity and credit qualityArticle 416(1)(d) of CRR            
4201.2.2.10.1credit quality step 1Chapter 2, Title 2, Part III of CRR            
4301.2.2.10.2credit quality step 2Chapter 2, Title 2, Part III of CRR            
4401.2.2.10.3credit quality step 3Chapter 2, Title 2, Part III of CRR            
450-4601.2.2.11Assets which meet the requirements of article 416 point (1) (b) and (d) but do not meet the requirements of Article 417 (b) and (c) CRR             
4501.2.2.11.1assets not controlled by a liquidity management functionArticle 417 (c) of CRR            
4601.2.2.11.2assets not legally and practically readily available at any time during the next 30 days to be liquidated via outright sale via a simple repurchase agreements on an approved repurchase marketsArticle 417 (b) of CRR            
480-6801.2.2.12Items subject to supplementary reporting of liquid assets             
4801.2.2.12.1CashAnnex III, article 1 CRR            
4901.2.2.12.2Central bank exposures, to the extent that these exposures can be drawn down in times of stressAnnex III, article 2 CRR            
500-5401.2.2.12.3transferable securities with a 0% risk weight and not an obligation of an institution or any of its affiliated entitiesAnnex III, article 3 CRR            
5001.2.2.12.3.1representing claims on sovereignsAnnex III, article 3 CRR            
5101.2.2.12.3.2claims guaranteed by sovereignsAnnex III, article 3 CRR            
5201.2.2.12.3.3representing claims on or claims guaranteed by central banksAnnex III, article 3 CRR            
5301.2.2.12.3.4representing claims on or claims guaranteed by non-central government public sector entities, regions with fiscal autonomy to raise and collect taxes and local authoritiesAnnex III, article 3 CRR            
5401.2.2.12.3.5representing claims on or claims guaranteed by Bank for International Settlements, the International Monetary Fund, the European Union, the European Financial Stability Facility, the European Stability Mechanism or multilateral development banksAnnex III, article 3 CRR            
5501.2.2.12.4Transferable securities other than those referred to in 3.3 of the LCR-Assets' template representing claims on or claims guaranteed by sovereigns or central banks issued in domestic currencies by the sovereign or central bank in the currency and country in which the liquidity risk is being taken or issued in foreign currencies, to the extent that holding of such debt matches the liquidity needs of the bank’s operations in that third countryAnnex III, article 4 CRR            
570-6101.2.2.12.5transferable securities with a 20 % risk weight and not an obligation of an institution or any of its affiliated entitiesAnnex III, article 5 CRR            
5701.2.2.12.5.1representing claims on sovereignsAnnex III, article 5 CRR            
5801.2.2.12.5.2claims guaranteed by sovereignsAnnex III, article 5 CRR            
5901.2.2.12.5.3representing claims on or claims guaranteed by central banksAnnex III, article 5 CRR            
6001.2.2.12.5.4representing claims on or claims guaranteed by non-central government public sector entities, regions with fiscal autonomy to raise and collect taxes and local authoritiesAnnex III, article 5 CRR            
6101.2.2.12.5.5representing claims on or claims guaranteed by multilateral development banksAnnex III, article 5 CRR            
6201.2.2.12.6transferable securities other than those referred to in point 3.3 to 3.5 of the LCR-Assets's template that fulfil all the conditions specifed in Point 6 of Annex III CRRAnnex III, article 6 CRR            
6301.2.2.12.7transferable securities other than those referred to in 3.3 to 3.6 of the LCR-Assets' template that qualify for a 50 % or better risk weight under Chapter 2, Title II of Part Three or are internally rated as having an equivalent credit quality, and do not represent a claim on an SSPE, an institution or any of its affiliated entitiesAnnex III, article 7 CRR            
6401.2.2.12.8transferable securities other than those referred to in 3.3 to 3.7 of the LCR-Assets' template that are collateralised by assets that qualify for a 35 % or better risk weight under Chapter 2, Title II of Part Three or are internally rated as having an equivalent credit quality, and are fully and completely secured by mortgages on residential property in accordance with Art. 125 CRRAnnex III, article 8 CRR            
6501.2.2.12.9standby credit facilities granted by central banks within the scope of monetary policy to the extent that these facilities are not collateralised by liquid assets and excluding emergency liquidity assistanceAnnex III, article 9 CRR            
6601.2.2.12.10Legal or statutory minimum deposits with the central credit institution and other statutory or contractually available liquid funding from the central credit institution or institutions that are members of the network referred to in Article 113(7), or eligible for the waiver provided in Article 10, to the extent that this funding is not colateralised by liqduid assets, if the credit institution belongs to a network in accordance with legal or statutory provisions.Annex III, article 10 CRR            
6701.2.2.12.11exchange traded, centrally cleared common equity shares, that are a constituent of a major stock index, denominated in the domestic currency of the Member State and not issued by an institution or any of its affiliatesAnnex III, article 11 CRR            
6801.2.2.12.12gold listed on a recognised exchange, held on an allocated basisAnnex III, article 12 CRR            
690-9201.2.2.13ASSETS WHICH DO NOT MEET THE REQUIREMENTS OF ARTICLE 416 (1)-(3) OF CRR but still meet the requirements of Article 417 (b) and (c) CRR.             
690-7101.2.2.13.1financial corporate bondsArticle 416 (2) of CRR            
6901.2.2.13.1.1credit quality step 1Article 120(1) of CRR            
7001.2.2.13.1.2credit quality step 2Article 120(1) of CRR            
7101.2.2.13.1.3credit quality step 3Article 120(1) of CRR            
720-7401.2.2.13.2own issuancesArticle 416.3(b) of CRR            
7201.2.2.13.2.1credit quality step 1Article 120(1) of CRR            
7301.2.2.13.2.2credit quality step 2Article 120(1) of CRR            
7401.2.2.13.2.3credit quality step 3Article 120(1) of CRR            
750-7701.2.2.13.3unsecured credit institution issuancesArticle 416 of CRR            
7501.2.2.13.3.1credit quality step 1Article 120(1) of CRR            
7601.2.2.13.3.2credit quality step 2Article 120(1) of CRR            
7701.2.2.13.3.3credit quality step 3Article 120(1) of CRR            
780-8001.2.2.13.4asset backed securities not already reported in 1.10 to 1.11.3Article 416 (4)(b) CRR            
7801.2.2.13.4.1credit quality step 1Chapter 5, Title 2, and Article 123, 124, 125, 126 of CRR            
7901.2.2.13.4.2credit quality step 2Chapter 5, Title 2, and Article 123, 124, 125, 126 of CRR            
8001.2.2.13.4.3credit quality step 3Chapter 5, Title 2, and Article 123, 124, 125, 126 of CRR            
810-8301.2.2.13.5residential mortgage backed securities not already reported in 1.10 to 1.11.3Article 509(3)(a) CRR            
8101.2.2.13.5.1credit quality step 1Chapter 5, Title 2 of Part III and Article 125 of CRR            
8201.2.2.13.5.2credit quality step 2Chapter 5, Title 2 of Part III and Article 125 of CRR            
8301.2.2.13.5.3credit quality step 3Chapter 5, Title 2 of Part III and Article 125 of CRR            
8401.2.2.13.6equities listed on a recognised exchange and major index linked equity instruments, not self issued or issued by financial institutionsArticle 509(3)(c) and 416(4)(a) of CRR            
8501.2.2.13.7goldArticle 509(3)(c) and 416(4)(a) of CRR            
8601.2.2.13.8guaranteed bonds not already reported aboveArticle 509(3)(c) of CRR            
8701.2.2.13.9covered bonds not already reported aboveArticle 509(3)(c) of CRR            
8801.2.2.13.10corporate bonds not already reported aboveArticle 509(3)(c) of CRR            
8901.2.2.13.11funds based on the assets reported in 4.5 -4.9Article 509(3)(c) of CRR            
900-9201.2.2.13.12other categories of central bank eligible securities or loansArticle 509(3)(b) of CRR            
9001.2.2.13.12.1local government bondsArticle 509(3)(b) of CRR            
9101.2.2.13.12.2commercial paperArticle 509(3)(b) of CRR            
9201.2.2.13.12.3credit claimsArticle 416(4)(c) of CRR            
930-9501.2.2.14Reporting of Shar'iah compliant assets as an alternative assets under 509(2)(i)             
930-9501.2.2.14.1Shar'iah -compliant financial products as an alternative to assetss that would qualify as liquid assets for the purposes of Article 416, for the use of Shar'iah compliant banksArticle 509(2)(i) of CRR            
9301.2.2.14.1.1credit quality step 1             
9401.2.2.14.1.2credit quality step 2             
9501.2.2.14.1.3credit quality step 3             
960-10301.2.3deposits that have to be maintained by the depositor:Article 422 (3) of CRR            
960-9901.2.3.1.in order to obtain clearing, custody or cash management services or other comparable services (excluding correspondent banking or prime brokerage services)Article 422 (3)(a) of CRR            
960-9701.2.3.1.1which are covered by a Deposit Guarantee Scheme according to Directive 94/19/EC or an equivalent deposit guarantee scheme in a third country             
9601.2.3.1.1.1of which there is evidence that the client is unable to withdraw amounts legally due over a 30 day horizon without compromising its operational functionality             
9701.2.3.1.1.2of which there is no evidence that the client is unable to withdraw amounts legally due over a 30 day horizon without compromising its operational functionality             
980-9901.2.3.1.2which are not covered by a Deposit Guarantee Scheme according to Directive 94/19/EC or an equivalent deposit guarantee scheme in a third country             
9801.2.3.1.2.1of which there is evidence that the client is unable to withdraw amounts legally due over a 30 day horizon without compromising its operational functionality             
9901.2.3.1.2.2of which there is no evidence that the client is unable to withdraw amounts legally due over a 30 day horizon without compromising its operational functionality             
10001.2.3.2in the context of an established operational relationship other than that reported in 1.2.3.1.1 and 1.2.3.1.2Article 422 (3)(c) of CRR            
10101.2.3.2.1of which are correspondent banking or prime brokerage servicesArticle 422 (3)(c) and (4) of CRR            
10201.2.3.3in the context of common task sharing within an institutional protection scheme meeting the requirements of Article 113(7) or as a legal or statutory minimum deposit by another entity being a member of the same institutional protection schemeArticle 422 (3)(b) of CRR            
10301.2.3.4to obtain cash clearing and central credit institution services and where the credit institution belongs to a network in accordance with legal or statutory provisions;Article 422.3(d) of CRR            
10401.2.4Deposits from credit institutions placed at central credit institutions that are considered as liquid assets in accordance with Article 416(1)(f)Article 422(3) of CRR            
10501.2.5liqudity lines for assets specified in Article 416(1)(f)Article 416(1)(f)            
1060-10701.2.6liabilities not reported in 1.2.2 to 1.2.5 resulting from deposits by clients that are not financial customersArticle 422(5) of CRR            
10601.2.6.1which are covered by a Deposit Guarantee Scheme in accordance with Directive 94/19/EC or an equivalent deposit guarantee scheme in a third countryArticle 422(5) of CRR            
10701.2.6.2which are not covered by a Deposit Guarantee Scheme in accordance with Directive 94/19/EC or an equivalent deposit guarantee scheme in a third countryArticle 422(5) of CRR            
10801.2.7net amount payable from the contracts listed in Annex II (net of collateral to be received that qualifies as liquid assets under Article 416Article 422(6) of CRR            
1090-11001.2.8liabilities for which the competent authority has determined a lower outflow in accordance with Article 422(8)Article 422(8) of CRR            
10901.2.8.1where all the conditions of Article 422(8) (a), (b), (c) and (d) are metArticle 422(8) of CRR            
11001.2.8.2where point (d) of Article 422(8)(d) has been waived by the competent authorities and all the conditions of Article 422 (8) (a), (b), and (c) are met for the purposes of applying the intra-group treatment of Article 19 (1)(b) in relation to institutions that are not subject to the waiver of Article 8 liabilities for which the competent authority has determined a lower outflow in accordance with article 422(9)Article 422(9) of CRR            
1110-11201.2.9outflows not captured aboveArticle 420(1)(e) of CRR            
11101.2.9.1liabilities, including any contractual arrangements such as other off balance sheet and contingent funding obligations, including, but not limited to committed funding facilities, un-drawn loans and advances to wholesale counterparties, mortgages that have been agreed but not yet drawn down, credit cards, overdrafts, planned outflows related to renewal or extension of new retail or wholesale loans, planned derivative payablesArticle 420(2) of CRR            
11201.2.9.2trade finance off balance sheet related products, as defined in Article 429 and Annex IArticle 420(2) of CRR            
11301.2.10all other liabilitiesArticle 422(7) of CRR            
1140-12101,3additional Outflows             
11401.3.1for collateral other than assets referred to in Article 416.1(a) to (c) which is posted by the institution for contracts listed in Annex II and credit derivativesArticle 423(1) of CRR            
11501.3.2corresponding to additional collateral needs that would result from a material deterioration in the credit quality of the institutionArticle 423(2) of CRR            
11601.3.3corresponding to additional collateral needs that would result from the impact of an adverse market scenario on the institution's derivatives transaction, financing transactions and other contracts if materialArticle 423 (3) of CRR            
11701.3.4corresponding to the market value of securities or other assets sold short and to be delivered within the 30 days horizon unless the institution owns the securities to be delivered or has borrowed them at terms requiring their return only after the 30 day horizon and the securities do not form part of the institutions liquid assetsArticle 423 (4) of CRR            
11801.3.5corresponding to the excess collateral the institution holds that can be contractually called at any time by the counterpartyArticle 423(5)(a) of CRR            
11901.3.6corresponding to collateral that is due to be returned to a counterpartyArticle 423(5)(b) of CRR            
12001.3.7corresponding to collateral that corresponds to assets that would qualify as liquid assets for the purposes of Article 416 that can be substituted for assets corresponding to assets that would not qualify as liquid assets for the purposes of Article 416 without the consent of the institution.Article 423(5)(c) of CRR            
12101.3.8deposits received as collateralArticle 423(6) of CRR            
1220-13701,4outflows from credit and liquidity facilities             
12201.4.1maximum amount that can be drawn of undrawn committed credit facilities and undrawn committed liquidity facilities for retail clientsArticle 424 (2) of CRR            
1230-12401.4.2maximum amount that can be drawn of undrawn committed credit facilities and undrawn committed liquidity facilities for clients other than retail and financial customersArticle 424(3) of CRR            
12301.4.2.1undrawn committed credit facilities             
12401.4.2.2undrawn committed liquidity facilities             
12501.4.3maximum amount that can be drawn of undrawn liquidity facilities that has been provided to an SSPE for the purpose of enabling such SSPE to purchase assets other than securities from clients that are not financial customers that exceeds the amount of assets currently purchased from clients and where the maximum amount that can be drawn is contractually limited to the amount of assets currently purchasedArticle 424(4) of CRR            
1260-12701.4.4maximum amount that can be drawn of other undrawn committed credit faciltiies and undrawn committed liquidity facilities not reported in 1.4.1, 1.4.2 or 1.4.3Article 424(5) of CRR            
12601.4.4.1granted to SSPEs other than those in 1.4.3Article 424(5) (a) of CRR            
12701.4.4.2arrangements under which the institution is required to buy or swap assets from an SSPEArticle 424 (5)(b) of CRR            
1280-12901.4.4.3extended to credit institutionsArticle 424(5)(c) of CRR            
12801.4.4.3.1undrawn committed credit facilities             
12901.4.4.3.2undrawn committed liquidity facilities             
1300-13101.4.4.4extended to financial institutions and investment firmsArticle 424(5) (d) of CRR            
13001.4.4.4.1undrawn committed credit facilities             
13101.4.4.4.2undrawn committed liquidity facilities             
13201.4.4.5extended to other clients             
13301.4.4.6extended to intra-group entity in accordance with article 424(5)Article 424(5) (d) of CRR            
13401.4.5maximum amount that can be drawn of undrawn credit and liquidity facilities granted for the purpose of funding promotional loansArticle 424(6) of CRR            
13501.4.6maximum amount that can be drawn from all other contingent liabilities             
13601.4.6.1Of which: extended to intra-group entity in accordance with Article 424(5)Article 424(5) CRR            
13701.4.7Outflows according to Article 105 CRDArticle 105 CRD            



 

C 61.00 — STABLE FUNDING — ITEMS PROVIDING STABLE FUNDING 

 Amount
within three monthsbetween three and 6 monthsbetween 6 and 9 monthsbetween 9 and 12 monthsafter 12 months
RowIDItemLegal references010020030040050
010-2601ITEMS PROVIDING STABLE FUNDING      
010-0301.1own funds after deduction have been applied where apropriateArticle 427(1)(a) of CRR     
0101.1.1tier 1 capital instrumentsArticle 427(1)(a)(i)     
0201.1.2tier 2 capital instrumentsArticle 427(1)(a)(ii)     
0301.1.3*Memorandum item: Capital instruments and subordinated loans not eligible having an effective maturity of one year or greaterArticle 427(1)(a)(iii)     
040-2601.2liabilities excluding own fundsArticle 427(1)(b) of CRR     
040-0601.2.1retail deposits:Article 427(1)(b)(i-ii) of CRR     
0401.2.1.1as defined in Article 411(2) that qualify for the treatment in Article 421(1)Article 427(1)(b)(i) of CRR     
0501.2.1.2as defined in Article 411(2) that qualify for the treatment in Article 421(2)Article 427(1)(b)(ii) of CRR     
0601.2.1.3subject to higher outflows than specified in Article 421(1) or 421(2)      
070-1301.2.2liabilities from customers that are not financial customersArticle 427(1)(b)(vii) of CRR     
070-0901.2.2.1liabilities from secured lending and capital market driven transactionsArticle 427(1)(b)(ix) of CRR     
0701.2.2.1.1collateralised by extremely high liquidity and credit quality assetsArticle 427(1)(b)(ix) of CRR     
0801.2.2.1.2collateralised by high liquidity and credit quality assetsArticle 427(1)(b)(ix) of CRR     
0901.2.2.1.3collateralised by any other assetsArticle 427(1)(b)(ix) of CRR     
1001.2.2.2liabilities from unsecured lending transactionsArticle 427(1)(b)(vii) of CRR     
110-1301.2.2.3liabilities that qualify for the treatment in Article 422(3) and (4)Article 427(1)(b)(iii) of CRR     
1101.2.2.3.1liabilities reported in 1.2.2.3 which are covered by a Deposit Guarantee Scheme in accordance with Directive 94/19/EC or an equivalent deposit guarantee scheme in a third countryArticle 427(1)(b)(iv) of CRR     
1201.2.2.3.2liabilities reported in 1.2.2.3 which fall under point (b) of Article 422(3)Article 427(1)(b)(v) of CRR     
1301.2.2.3.3liabilities reported in 1.2.2.3 which fall under point (d) of Article 422(3)Article 427(1)(b)(vi) of CRR     
140-2001.2.3liabilities from customers that are financial customersArticle 427(1)(b)(vii) of CRR     
140-1601.2.3.1liabilities from secured lending and capital market driven transactionsArticle 414(1)(b)(viii) of CRR     
1401.2.3.1.1collateralised by extremely high liquidity and credit quality assetsArticle 414(1)(b)(viii) of CRR     
1501.2.3.1.2collateralised by high liquidity and credit quality assetsArticle 414(1)(b)(viii) of CRR     
1601.2.3.1.3collateralised by any other assetsArticle 414(1)(b)(viii) of CRR     
1701.2.3.2liabilities from unsecured lending transactionsArticle 414(1)(b)(vi) of CRR     
180-2001.2.3.3liabilities that qualify for the treatment in Article 422(3) and (4)Article 414(1)(b)(iii) of CRR     
1801.2.3.3.1liabilities reported in 1.2.3.3 which are covered by a Deposit Guarantee Scheme according to Directive 94/19/EC or an equivalent deposit guarantee scheme in a third countryArticle 414(1)(b)(iv) of CRR     
1901.2.3.3.2liabilities reported in 1.2.3.3 which fall under point (b) of Article 422(3)Article 427(1)(b)(v) of CRR     
2001.2.3.3.3liabilities reported in 1.2.3.3 which fall under point (d) of Article 422(3)Article 427(1)(b)(vi) of CRR     
2101.2.4liabilities resulting from securities issued qualifying for the treatment in Article 129(4) or (5)Article 427(1)(b)(x) of CRR     
2201.2.5liabilities resulting from securities defined in Article 52(4) of Directive 2009/65/ECArticle 427(1)(b)(x) of CRR     
2301.2.6other liabilities resulting from securities issuedArticle 427(1)(b)(xi) of CRR     
2401.2.7liabilities from derivatives payables contracts      
2501.2.8any other liabilitiesArticle 427(1)(b)(xii) of CRR     



 

C 53.00 — LIQUIDITY COVERAGE — INFLOWS 

 AmountInflow 
RowIDItemLegal references010020030040050060
RowIDItemLegal references

extremely high liquidity

and credit quality assets

high liquidity

and credit quality

other liquidity

and credit quality

Amount dueMarket value of the asset securing the transactionAmount dueMarket value of the asset securing the transactionAmount dueMarket value of the asset securing the transaction
RowIDItemLegal referencesAmountInflow  
010-1030 INFLOWSArticle 425 of CRR      
010-9801INFLOWS (CAPPED)Article 425 (1) of CRR      
010-0601.1.Monies due from customers that are not financial customersArticle 425 of CRR      
0101.1.1.Monies due from retail customersArticle 425 of CRR      
0201.1.2monies due from non-financial corporate customers paymentArticle 425 of CRR      
0301.1.2.1Of which: that the institution owing those monies treats according to Article 422 (2) (e)Article 425 (2) (e)      
0401.1.3monies due from central banksArticle 425 (2)(a) of CRR      
0501.1.1.3.1Of which: that the institution owing those monies treats according to Article 422 (3) and (4)Article 425 (2)(e) of CRR      
0601.1.4monies due from other entitiesArticle 425 (2)(a) of CRR      
070-0801.2Monies due from financial customersArticle 425 (2) of CRR      
0701.2.1that the institution owing those monies treats according to Article 422(3) and (4)Article 425 (2)(e) of CRR      
0801.2.2that the competent authority has granted the permission to apply a lower outflow percentage according to Article 422.8Article 422(8) of CRR      
0901.3monies due from trade financing transactions according to Article 425(2) point (b)Article 425 (2)(b) of CRR      
1001.4assets with an undefined contractual end date that are callable within 30 daysArticle 425 (2)(c) of CRR      
1101.5monies due from positions in major index equity instruments provided that there is no double counting with liquid assetsArticle 425 (2)(f) of CRR      
120-9301.6Monies due from secured lending and capital market driven transactions as defined in Article 192:Article 425.2.(d) of CRR      
120-1901.6.1.Other transferable assets representing claims on or guaranteed byArticle 416(1)(c) of CRR      
120-1301.6.1.1transferable assets representing claims on or guaranteed by the central government of a Member State, a region with fiscal autonomy to raise and collect taxes, or of a third country in the domestic currency of the central or regional government, if the institution incurs a liquidity risk in that Member State or third country that it covers by holding those liquidity assetsArticle 416(1)(c)(i) of CRR      
1201.6.1.1.1representing claimsArticle 416(1)(c)(i) of CRR      
1301.6.1.1.2guaranteed byArticle 416(1)(c)(i) of CRR      
140-1501.6.1.2transferable assets representing claims on or guaranteed by central banks and non-central government public sector entities -in the domestic currency of the central bank and public sector entityArticle 416(1)(c)(ii) of CRR      
1401.6.1.2.1representing claims onArticle 416(1)(c)(ii) of CRR      
1501.6.1.2.2guaranteed byArticle 416(1)(c)(ii) of CRR      
160-1701.6.1.3transferable assets representing claims on or guaranteed by the Bank for International Settlements, the International Monetary Fund, the Commission and multilateral development banks;Article 416(1)(c)(iii) of CRR      
1601.6.1.3.1representing claims onArticle 416(1)(c)(iii) of CRR      
1701.6.1.3.2guaranteed byArticle 416(1)(c)(iii) of CRR      
180-1901.6.1.4transferable assets representing claims on or guaranteed by the European Financial Stability Facility and the European Stability MechanismArticle 416(1)(c)(iv) of CRR      
1801.6.1.4.1representing claims onArticle 416(1)(c)(iv) of CRR      
1901.6.1.4.2guaranteed byArticle 416(1)(c)(iv) of CRR      
200-2201.6.2total shares or units in CIUs with underlying assets specified in Article 416Article 416(6) and 418(2) CRR      
2001.6.2.1underlying assets in point (a) of article 416(1)Article 418(2)(a) of CRR      
2101.6.2.2underlying assets in point (b) and (c) of article 416(1)Article 418(2)(b) of CRR      
2201.6.2.3underlying assets in point (d) of article 416(1)Article 418(2)(c) of CRR      
2301.6.3assets issued by a credit institution which has been set up by a Member State central or regional government where at least one of the conditions in Article 416 (2)(a)(iii) is metArticle 416(2)(a)(iii) of CRR      
240-2601.6.4non financial corporate bondsArticle 416(1)(b) or (d) of CRR      
2401.6.4.1credit quality step 1Article 122 CRR      
2501.6.4.2credit quality step 2Article 122 CRR      
2601.6.4.3credit quality step 3Article 122 CRR      
270-2901.6.5bonds issued by a credit institution eligible for the treatment set out in Article 129(4) or (5)Article 416(2)(a)(i) of CRR      
2701.6.5.1credit quality step 1Article 129(4) or 129(5) of CRR      
2801.6.5.2credit quality step 2Article 129(4) or 129(5) of CRR      
2901.6.5.3credit quality step 3Article 129(4) or 129(5) of CRR      
300-3201.6.6non residential mortgage backed instruments issued by a credit institution if demostrated to be of the hihgest credit quality as established by EBA pursuant to the criteria in Art. 509 (3),(4) and (5) CRRArticle 416(2)(a)(i) of CRR      
3001.6.6.1credit quality step 1Chapter 5, Title 2, and Article 123, 124, 125, 126 of CRR      
3101.6.6.2credit quality step 2Chapter 5, Title 2, and Article 123, 124, 125, 126 of CRR      
3201.6.6.3credit quality step 3Chapter 5, Title 2, and Article 123, 124, 125, 126 of CRR      
330-3501.6.7residential mortgage backed instruments issued by a credit institution if demostrated to be of the hihgest credit quality as established by EBA pursuant to the criteria in Art. 509 (3),(4) and (5) CRRArticle 416(2)(a)(i) of CRR      
3301.6.7.1credit quality step 1Chapter 5 Title 2 of part V and Article 125 of CRR      
3401.6.7.2credit quality step 2Chapter 5, Title 2 of part V and Article 125 of CRR      
3501.6.7.3credit quality step 3Chapter 5, Title 2, and Article 125 of CRR      
360-3801.6.8bonds issued by a credit institution as defined in Article 52(4) of Directive 2009/65/EC other than those referred to in 1.9Article 416(2)(a)(ii) of CRR      
3601.6.8.1credit quality step 1Article 129(4) or 129(5) of CRR      
3701.6.8.2credit quality step 2Article 129(4) or 129(5) of CRR      
3801.6.8.3credit quality step 3Article 129(4) or 129(5) of CRR      
390-4101.6.9other transferable assets that are of extremely high liquidity and credit qualityArticle 416(1)(b) of CRR      
3901.6.9.1credit quality step 1Chapter 2, Title 2, Part III of CRR      
4001.6.9.2credit quality step 2Chapter 2, Title 2, Part III of CRR      
4101.6.9.3credit quality step 3Chapter 2, Title 2, Part III of CRR      
420-4401.6.10other transferable assets that are of high liquidity and credit qualityArticle 416(1)(d) of CRR      
4201.6.10.1credit quality step 1Chapter 2, Title 2, Part III of CRR      
4301.6.10.2credit quality step 2Chapter 2, Title 2, Part III of CRR      
4401.6.10.3credit quality step 3Chapter 2, Title 2, Part III of CRR      
450-4601.6.11Assets which meet the requirements of article 416 point (1) (b) and (d) but do not meet the requirements of Article 417 (b) and (c) CRR       
4501.6.11.1assets not controlled by a liquidity management functionArticle 417 (c) of CRR      
4601.6.11.2assets not legally and practically readily available at any time during the next 30 days to be liquidated via outright sale via a simple repurchase agreements on an approved repurchase marketsArticle 417 (b) of CRR      
470-6601.6.12Items subject to supplementary reporting of liquid assets       
4701.6.12.1CashAnnex III, article 1 CRR      
4801.6.12.2Central bank exposures, to the extent that these exposures can be drawn down in times of stressAnnex III, article 2 CRR      
490-5301.6.12.3transferable securities with a 0% risk weight and not an obligation of an institution or any of its affiliated entitiesAnnex III, article 3 CRR      
4901.6.12.3.1representing claims on sovereignsAnnex III, article 3 CRR      
5001.6.12.3.2claims guaranteed by sovereignsAnnex III, article 3 CRR      
5101.6.12.3.3representing claims on or claims guaranteed by central banksAnnex III, article 3 CRR      
5201.6.12.3.4representing claims on or claims guaranteed by non-central government public sector entities, regions with fiscal autonomy to raise and collect taxes and local authoritiesAnnex III, article 3 CRR      
5301.6.12.3.5representing claims on or claims guaranteed by Bank for International Settlements, the International Monetary Fund, the European Union, the European Financial Stability Facility, the European Stability Mechanism or multilateral development banksAnnex III, article 3 CRR      
5401.6.12.4Transferable securities other than those referred to in 3.3 representing claims on or claims guaranteed by sovereigns or central banks issued in domestic currencies by the sovereign or central bank in the currency and country in which the liquidity risk is being taken or issued in foreign currencies, to the extent that holding of such debt matches the liquidity needs of the bank’s operations in that third countryAnnex III, article 4 CRR      
550-5901.6.12.5transferable securities with a 20% risk weight and not an obligation of an institution or any of its affiliated entitiesAnnex III, article 5 CRR      
5501.6.12.5.1representing claims on sovereignsAnnex III, article 5 CRR      
5601.6.12.5.2claims guaranteed by sovereignsAnnex III, article 5 CRR      
5701.6.12.5.3representing claims on or claims guaranteed by central banksAnnex III, article 5 CRR      
5801.6.12.5.4representing claims on or claims guaranteed by non-central government public sector entities, regions with fiscal autonomy to raise and collect taxes and local authoritiesAnnex III, article 5 CRR      
5901.6.12.5.5representing claims on or claims guaranteed by multilateral development banksAnnex III, article 5 CRR      
6001.6.12.6transferable securities other than those referred to in point 3.3 to 3.5 of the LCR-Assets's template that fulfil all the conditions specifed in Art. 5 of Annex III CRRAnnex III, article 6 CRR      
6101.6.12.7transferable securities other than those referred to in 3.3 to 3.6 that qualify for a 50 % or better risk weight under Chapter 2, Title II of Part Three or are internally rated as having an equivalent credit quality, and do not represent a claim on an SSPE, an institution or any of its affiliated entitiesAnnex III, article 7 CRR      
6201.6.12.8transferable securities other than those referred to in 3.3 to 3.7 that are collateralised by assets that qualify for a 35 % or better risk weight under Chapter 2, Title II of Part Three or are internally rated as having an equivalent credit quality, and are fully and completely secured by mortgages on residential property in accordance with Article 125Annex III, article 8 CRR      
6301.6.12.9standby credit facilities granted by central banks within the scope of monetary policy to the extent that these facilities are not collateralised by liquid assets and excluding emergency liquidity assistanceAnnex III, article 9 CRR      
6401.6.12.10Legal or statutory minimum deposits with the central credit institution and other statutory or contractually available liquid funding from the central credit institution or institutions that are members of the network referred to in Article 113(7), or eligible for the waiver provided in Article 10, to the extent that this funding is not colateralised by liqduid assets, if the credit institution belongs to a network in accordance with legal or statutory provisions.Annex III, article 10 CRR      
6501.6.12.11exchange traded, centrally cleared common equity shares, that are a constituent of a major stock index, denominated in the domestic currency of the Member State and not issued by an institution or any of its affiliatesAnnex III, article 11 CRR      
6601.6.12.12gold listed on a recognised exchange, held on an allocated basisAnnex III, article 12 CRR      
670-9201.6.13ASSETS WHICH DO NOT MEET THE REQUIREMENTS OF ARTICLE 416 (1) - (3) OF CRR but still meet the requirements of Article 417 (b) and (c) CRR.       
670-6901.6.13.1financial corporate bondsArticle 416 (2) of CRR      
6701.6.13.1.1credit quality step 1Article 120(1) of CRR      
6801.6.13.1.2credit quality step 2Article 120(1) of CRR      
6901.6.13.1.3credit quality step 3Article 120(1) of CRR      
700-7201.6.13.2own issuancesArticle 416.3(b) of CRR      
7001.6.13.2.1credit quality step 1Article 120(1) of CRR      
7101.6.13.2.2credit quality step 2Article 120(1) of CRR      
7201.6.13.2.3credit quality step 3Article 120(1) of CRR      
730-7501.6.13.3unsecured credit institution issuancesArticle 416 of CRR      
7301.6.13.3.1credit quality step 1Article 120(1) of CRR      
7401.6.13.3.2credit quality step 2Article 120(1) of CRR      
7501.6.13.3.3credit quality step 3Article 120(1) of CRR      
760-7801.6.13.4non residential mortgage backed instruments not already reported in 1.10 of the LCR-Assets' templateArticle 416 (4)(b) CRR      
7601.6.13.4.1credit quality step 1Chapter 5, Title 2, and Article 123, 124, 125, 126 of CRR      
7701.6.13.4.2credit quality step 2Chapter 5, Title 2, and Article 123, 124, 125, 126 of CRR      
7801.6.13.4.3credit quality step 3Chapter 5, Title 2, and Article 123, 124, 125, 126 of CRR      
790-8101.6.13.5residential mortgage backed instruments not already reported in 1.11 of the LCR-Assets' templateArticle 509(3)(a) CRR      
7901.6.13.5.1credit quality step 1Chapter 5, Title 2 of Part III and Article 125 of CRR      
8001.6.13.5.2credit quality step 2Chapter 5, Title 2 of Part III and Article 125 of CRR      
8101.6.13.5.3credit quality step 3Chapter 5, Title 2 of Part III and Article 125 of CRR      
8201.6.13.6equities listed on a recognised exchange and major index linked equity instruments, not self issued or issued by financial institutionsArticle 509(3)(c) and 416(4)(a) of CRR      
8301.6.13.7goldArticle 509(3)(c) and 416(4)(a) of CRR      
8401.6.13.8guaranteed bonds not already reported aboveArticle 509(3)(c) of CRR      
8501.6.13.9covered bonds not already reported aboveArticle 509(3)(c) of CRR      
8601.6.13.10corporate bonds not already reported aboveArticle 509(3)(c) of CRR      
8701.6.13.11funds based on the assets reported in 4.5 - 4.9Article 509(3)(c) of CRR      
880-9001.6.13.12other categories of central bank eligible securities or loansArticle 509(3)(c) of CRR      
8801.6.13.12.1local government bondsArticle 509(3)(c) of CRR      
8901.6.13.12.2commercial paperArticle 509(3)(c) of CRR      
9001.6.13.12.3credit claimsArticle 416(4)(c) of CRR      
910-9301.6.13.13Shar'iah -compliant financial products as an alternative to assetss that would qualify as liquid assets for the purposes of Article 416, for the use of Shar'iah compliant banksArticle 509(2)(i) of CRR      
9101.6.13.13.1credit quality step 1       
9201.6.13.13.2credit quality step 2       
9301.6.13.13.3credit quality step 3       
940-9601.7Undrawn credit and liquidity facilities and other commitments received from intra-group entity in accordance with article 425(4) of CRRArticle 425 (4) of CRR      
9401.7.1where all the conditions of Article 425.4 (a), (b) and (c) are met       
9501.7.2where point (d) of Article 425(4) has been waived by the competent authorities and all the conditions of Article 425(4) (a), (b) and (c) are met for the purposes of applying the intra-group treatment of Article 19(1)(b) in relation to institutions that are not subject to the waiver of Article 7, undrawn credit and liquidity facilities and other commitments received from intra-group entity in accordance with article 425(5)Article 425 (4) (a) and (b) and (c) of CRR      
9601.7.3net receivables expected from the contracts listed in Annex II (net of collateral to be received that qualifies as liquid assets under Article 416)Article 425 (3) of CRR      
9701,8payments due on liquid assets not reflected in the market value of the assetArticle 425 (7) of CRR      
9801,9other inflows       
9902TOTAL CASH INFLOWS EXCLUDED DUE TO THE CAPArticle 425 of CRR      
1000-10303INFLOWS EXEMPT FROM THE CAPArticle 425 (1) of CRR      
10003.1monies due from borrowers and bond investors related to mortgage lending funded by bonds eligible for the treatment set out in Article 129(4), (5) or (6) or in defined in Article 52(4) of Directive 2009/65/ECArticle 425 (1) of CRR      
10103.2inflows from promotional loans that the institution has passed throughArticle 425 (1) of CRR      
10203.3inflows qualifying fro the treatment set out in article 113(6) or 113(7)Article 425 (1) of CRR      
10303.4inflows from intra-group entity approved by competent authorityArticle 425 (1) of CRR      



 

C 54.00 — LIQUIDITY COVERAGE — COLLATERAL SWAPS 

 Other assets
Within 30 daysOver 30 days
NotionalMarket valueNotionalMarket value
RowIDItemLegal references010020030040
010-0601ASSETS     
0101.1cash and exposures to central banksArticle 416(1)(a) CRR    
0201.2other transferable assets according to Article 416(1)(b)Article 416(1)(b) CRR    
030-0601.3other transferable assets representing claims on or guaranteed byArticle 416(1)(c) of CRR    
0301.3.1transferable assets representing claims on or guaranteed by the central government of a Member State, on a region with fiscal autonomy to raise and collect taxes, or of a third country in the domestic currency of the central or regional government, if the Institution incurs a liquidity risk in that Member State or third country that it covers by holding those liquid assetsArticle 416(1)(c)(i) of CRR    
0401.3.2transferable assets representing claims on or guaranteed by central banks and non-central government public sector entities -in the domestic currency of the central bank and public sector entityArticle 416(1)(c)(ii) of CRR    
0501.3.3transferable assets representing claims on or guaranteed by the Bank for International Settlements, the International Monetary Fund, the Commission and multilateral development banksArticle 416(1)(c)(iii) of CRR    
0601.3.4transferable assets representing claims on or guaranteed by the European Financial Stability Facility and the European Stability MechanismArticle 416(1)(c)(iv) of CRR