Updated 22/12/2024
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Version from: 12/09/2021
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Article 6 - Criteria for establishing qualitative credit risk indicators in realtion to the issuer of the instrument, as referred to in Article 20(2)(b) of Regulation (EU) 2017/1131

Article 6

Criteria for establishing qualitative credit risk indicators in realtion to the issuer of the instrument, as referred to in Article 20(2)(b) of Regulation (EU) 2017/1131

Insofar as is possible, managers of MMFs shall assess the following qualitative credit risk criteria for an issuer of an instrument:

(a) 

the financial situation of the issuer, or, where applicable, of the guarantor;

(b) 

the sources of liquidity of the issuer, or, where applicable, of the guarantor;

(c) 

the ability of the issuer to react to future market-wide or issuer-specific events, including the ability to repay debt in a highly adverse situation;

(d) 

the strength of the issuer's industry within the economy relative to economic trends and the issuer's competitive positon in its industry.