Rows | Legal references and instructions |
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0010 | Reserve of assetsThe amount/market value of the assets in the reserve of assets referred to in Article 36 of Regulation (EU) 2023/1114 taking into account the unwind mechanism as defined in Article 6 of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114. |
0020 | Unadjusted reserve of assetsThe amount/market value of the assets in the reserve of assets referred to in Article 36 of Regulation (EU) 2023/1114 before taking into account the unwind mechanism as defined in Article 6 of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114. |
0030 | Coins and banknotesTotal amount of coins and banknotes. |
0040 | Deposits with credit institutionsThe amount of deposits with credit institutions shall be reported here. |
0050 | CommoditiesThe market value of commodities or shares in funds that invest in commodities with the aim to track the price of commodities shall be reported here. |
0060 | of which: based on goldCommodities as reported in row 0050 which are based on gold. |
0070 | of which: based on other precious metalsCommodities as reported in row 0050 which are based on other precious metals than gold, including platinum or silver. |
0080 | of which: based on industry metalsCommodities as reported in row 0050 which are based on industry metals, including Aluminium, Copper, Lead Nickel, Tin or Zinc. |
0090 | of which: based on energyCommodities as reported in row 0050 which are based on energy, including Crude Oil (WTI and Brent), Natural Gas, RBOB Gasoline, Low Sulphur Gas Oil or ULS Diesel. |
0100 | of which: based on livestockCommodities as reported in row 0050 which are based on livestock, including Live Cattle or Lean Hogs. |
0110 | of which: based on grainsCommodities as reported in row 0050 which are based on grains, including Corn Soybeans, Soybean Oil, Soybean Meal or Wheat (Chicago and KC HRW). |
0120 | of which: based on softsCommodities as reported in row 0050 which are based on softs, including Cocoa, Coffee, Cotton or Sugar. |
0130 | Assets representing claims on or guaranteed by central banksThe market value of highly liquid financial instruments as defined in Articles 2 and 3 of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114 representing claims on or guaranteed by central banks referred to in Articles 10(1), points (b) and (d), of Commission Delegated Regulation (EU) 2015/61. |
0140 | Assets representing claims on or guaranteed by central governmentsThe market value of highly liquid financial instruments as defined in Articles 2 and 3 of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114 representing claims on or guaranteed by central governments referred to in Article 10(1), points (c) and (d), of Delegated Regulation (EU) 2015/61. |
0150 | Assets representing claims on or guaranteed by regional governments / local authoritiesThe market value of highly liquid financial instruments as defined in Articles 2 and 3 of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114 representing claims on or guaranteed by regional governments or local authorities referred to in Article 10(1), point (c), of Delegated Regulation (EU) 2015/61. |
0160 | Assets representing claims on or guaranteed by public sector entitiesThe market value of highly liquid financial instruments as defined in Articles 2 and 3 of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114 representing claims on or guaranteed by public sector entities referred to in Article 10(1), point (c), of Delegated Regulation (EU) 2015/61. |
0170 | Assets representing claims on or guaranteed by credit institutions (protected by Member State government, promotional lender)The market value of highly liquid financial instruments as defined in Articles 2 and 3 of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114 issued by credit institutions referred to in Article 10(1), point (e), of Delegated Regulation (EU) 2015/61. |
0180 | Assets representing claims on or guaranteed by multilateral development banks and international organisationsThe market value of highly liquid financial instruments as defined in Articles 2 and 3 of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114 representing claims on or guaranteed by the multilateral development banks and the international organisations referred to in Article 10(1), point (g), of Delegated Regulation (EU) 2015/61. |
0190 | Qualifying CIU unitsThe market value of shares or units in CIUs referred to in Article 15(2), point (a), of Delegated Regulation (EU) 2015/61. The market value of units in UCITS referred to in Article 38(2) of Regulation (EU) 2023/1114 shall be reported here too. |
0200 | Extremely high-quality covered bondsThe market value of highly liquid financial instruments as defined in Articles 2 and 3 of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114 representing exposures in the form of extremely high-quality covered bonds referred to in Article 10(1), point (f), of Delegated Regulation (EU) 2015/61. |
0210 | Other highly liquid financial instruments, used as assets referencedThe market value of highly liquid financial instruments used as assets referenced falling under Article 2(1), point (a), point (iii), of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114. |
0220 | of which: Crypto assetsHighly liquid financial instruments as reported in row 0210 if they are crypto assets as referred to in Article 2(4), point (a), of Regulation (EU) 2023/1114. |
0230 | OthersThe amount/market value of any other asset in the reserve of assets referred to in Article 36 of Regulation (EU) 2023/1114. |
0240 | AdjustmentsThe impact of the adjustments related to the assets in the reserve of assets referred to in Article 36 of Regulation (EU) 2023/1114, due to the termination of secured funding, secured lending or collateral swap transactions entered into using reserve assets on at least one leg of the transaction, where the transaction matures within 5 working days, as specified in Article 6 of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114. |
0250 | Reverse repos |
0260 | Cash inflows maturing within the next 5 working daysThe amount of cash inflows from reverse repos where the transaction matures within the next 5 working days after the reporting reference date. |
0270 | Collateral outflows maturing within the next 5 working daysThe market value of the collateral outflows from reverse repos where the transaction matures within the next 5 working days after the reporting reference date shall be reported here if the collateral to be posted is reported under row 0020. |
0280 | of which: Extremely high quality covered bondsThe market value of the collateral outflows as reported in row 0270 in the form of extremely high-quality covered bonds referred to in Article 2(1), point (a), point (ii), of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114. |
0290 | Repos |
0300 | Cash outflows maturing within the next 5 working daysThe amount of cash outflows from repos where the transaction matures within the next 5 working days after the reporting reference date. |
0310 | Collateral inflows maturing within the next 5 working daysThe market value of the collateral inflows from repos where the transaction matures within the next 5 working days after the reporting reference date if the collateral to be received, if unencumbered, would qualify as an asset in the reserve of assets. |
0320 | of which: Extremely high quality covered bondsThe market value of the collateral inflows as reported in row 0310 in the form of extremely high-quality covered bonds referred to in Article 2(1), point (a), point (ii), of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114. |
0330 | Collateral swaps |
0340 | Collateral outflows maturing within the next 5 working daysThe market value of the collateral outflows from collateral swaps where the transaction matures within the next 5 working days after the reference date if the collateral to be posted is reported under row 0020. |
0350 | of which: Extremely high quality covered bondsThe market value of the collateral outflows as reported in row 0340 in the form of extremely high-quality covered bonds referred to in Article 2(1), point (a), point (ii), of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114. |
0360 | Collateral inflows maturing within the next 5 working daysThe market value of the collateral inflows from collateral swaps where the transaction matures within the next 5 working days after the reference date if the collateral to be received, if unencumbered, would qualify as an asset in the reserve of assets. |
0370 | of which: Extremely high quality covered bondsThe market value of the collateral inflows as reported in row 0360 in the form of extremely high-quality covered bonds referred to in Article 2(1), point (a), point (ii), of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 38(5) of Regulation (EU) 2023/1114. |
0380 | Value of the asset referencedThe monetary value or the market value of the asset-referenced by the tokens issued if the token is referenced to official currencies or to other than official currencies, respectively. |
0390 | Mandatory Over-collateralisationThe value of the reserve of assets exceeding the value of the assets referenced and expressed as a percentage of the value of the assets referenced, in accordance with Article 7 of Delegated Regulation establishing regulatory technical standards adopted pursuant to Article 36(4) of Regulation (EU) 2023/1114. |