ANNEX XI
Underlying exposures template — Asset-backed commercial paper
FIELD CODE |
FIELD NAME |
FORMAT |
Underlying exposures information section |
||
IVAL1 |
Unique Identifier — ABCP Programme |
{ALPHANUM-28} |
IVAL2 |
Unique Identifier — ABCP Transaction |
{ALPHANUM-36} |
IVAL3 |
Original Underlying Exposure Identifier |
{ALPHANUM-1000} |
IVAL4 |
New Underlying Exposure Identifier |
{ALPHANUM-1000} |
IVAL5 |
Underlying Exposure Type |
{LIST} |
IVAL6 |
Data Cut-Off Date |
{DATEFORMAT} |
IVAL7 |
Geographic Region — Largest Exposure Concentration 1 |
{NUTS} |
IVAL8 |
Geographic Region — Largest Exposure Concentration 2 |
{NUTS} |
IVAL9 |
Geographic Region — Largest Exposure Concentration 3 |
{NUTS} |
IVAL10 |
Geographic Region Classification |
{YEAR} |
IVAL11 |
Current Principal Balance |
{MONETARY} |
IVAL12 |
Number Of Underlying Exposures |
{INTEGER-999999999} |
IVAL13 |
EUR Exposures |
{MONETARY} |
IVAL14 |
GBP Exposures |
{MONETARY} |
IVAL15 |
USD Exposures |
{MONETARY} |
IVAL16 |
Other Exposures |
{MONETARY} |
IVAL17 |
Maximum Residual Maturity |
{INTEGER-9999} |
IVAL18 |
Average Residual Maturity |
{INTEGER-9999} |
IVAL19 |
Current Loan-To-Value |
{PERCENTAGE} |
IVAL20 |
Debt To Income Ratio |
{PERCENTAGE} |
IVAL21 |
Amortisation Type |
{MONETARY} |
IVAL22 |
Scheduled Principal Payment Frequency Above One Month |
{MONETARY} |
IVAL23 |
Scheduled Interest Payment Frequency Above One Month |
{MONETARY} |
IVAL24 |
Floating Rate Receivables |
{MONETARY} |
IVAL25 |
Financed Amount |
{MONETARY} |
IVAL26 |
Dilutions |
{MONETARY} |
IVAL27 |
Repurchased Exposures |
{MONETARY} |
IVAL28 |
Defaulted Or Credit-Impaired Exposures At Securitisation |
{MONETARY} |
IVAL29 |
Defaulted Exposures |
{MONETARY} |
IVAL30 |
Defaulted Exposures CRR |
{MONETARY} |
IVAL31 |
Gross Charge Offs In The Period |
{MONETARY} |
IVAL32 |
Arrears 1-29 Days |
{PERCENTAGE} |
IVAL33 |
Arrears 30-59 Days |
{PERCENTAGE} |
IVAL34 |
Arrears 60-89 Days |
{PERCENTAGE} |
IVAL35 |
Arrears 90-119 Days |
{PERCENTAGE} |
IVAL36 |
Arrears 120-149 Days |
{PERCENTAGE} |
IVAL37 |
Arrears 150-179 Days |
{PERCENTAGE} |
IVAL38 |
Arrears 180+ Days |
{PERCENTAGE} |
IVAL39 |
Restructured Exposures |
{PERCENTAGE} |
IVAL40 |
Restructured Exposures (0-1 years before transfer) |
{MONETARY} |
IVAL41 |
Restructured Exposures (1-3 years before transfer) |
{MONETARY} |
IVAL42 |
Restructured Exposures (> 3 years before transfer) |
{MONETARY} |
IVAL43 |
Restructured Exposures (Interest Rate) |
{MONETARY} |
IVAL44 |
Restructured Exposures (Repayment Schedule) |
{MONETARY} |
IVAL45 |
Restructured Exposures (Maturity) |
{MONETARY} |
IVAL46 |
Restructured Exposures (0-1 years before transfer and No New Arrears) |
{MONETARY} |
IVAL47 |
Restructured Exposures (No New Arrears) |
{MONETARY} |
IVAL48 |
Restructured Exposures (New Arrears) |
{MONETARY} |
IVAL49 |
Restructured Exposures (Other) |
{MONETARY} |