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ANNEX VI - DISCLOSURE ON OWN FUNDS TEMPLATES

ANNEX VI

DISCLOSURE ON OWN FUNDS TEMPLATES

INVESTMENT FIRMS DISCLOSURE

Template number

Template code

Name

Legislative reference

 

 

OWN FUNDS

 

1

I CC1

COMPOSITION OF REGULATORY OWN FUNDS

Art 49(1)(c)

2

I CC2

OWN FUNDS RECONCILIATION WITH AUDITED FINANCIAL STATEMENTS

Art 49(1)(a)

3

I CCA

OWN FUNDS MAIN FEATURES

Art 49(1)(b)

Template EU IF CC1.01 - Composition of regulatory own funds (Iinvestment firms other than small and non-interconnected )

 

 

(a)

(b)

 

 

Amounts

Source based on reference numbers/letters of the balance sheet in the audited financial statements

Common Equity Tier 1 (CET1) capital: instruments and reserves

1

OWN FUNDS

 

 

2

TIER 1 CAPITAL

 

 

3

COMMON EQUITY TIER 1 CAPITAL

 

 

4

Fully paid up capital instruments

 

 

5

Share premium

 

 

6

Retained earnings

 

 

7

Accumulated other comprehensive income

 

 

8

Other reserves

 

 

9

Minority interest given recognition in CET1 capital

 

 

10

Adjustments to CET1 due to prudential filters

 

 

11

Other funds

 

 

12

(-)TOTAL DEDUCTIONS FROM COMMON EQUITY TIER 1

 

 

13

(-) Own CET1 instruments

 

 

14

(-) Direct holdings of CET1 instruments

 

 

15

(-) Indirect holdings of CET1 instruments

 

 

16

(-) Synthetic holdings of CET1 instruments

 

 

17

(-) Losses for the current financial year

 

 

18

(-) Goodwill

 

 

19

(-) Other intangible assets

 

 

20

(-) Deferred tax assets that rely on future profitability and do not arise from temporary differences net of associated tax liabilities

 

 

21

(-) Qualifying holding outside the financial sector which exceeds 15% of own funds

 

 

22

(-) Total qualifying holdings in undertaking other than financial sector entities which exceeds 60% of its own funds

 

 

23

(-) CET1 instruments of financial sector entites where the institution does not have a significant investment

 

 

24

(-) CET1 instruments of financial sector entities where the institution has a significant investment

 

 

25

(-)Defined benefit pension fund assets

 

 

26

(-) Other deductions

 

 

27

CET1: Other capital elements, deductions and adjustments

 

 

28

ADDITIONAL TIER 1 CAPITAL

 

 

29

Fully paid up, directly issued capital instruments

 

 

30

Share premium

 

 

31

(-) TOTAL DEDUCTIONS FROM ADDITIONAL TIER 1

 

 

32

(-) Own AT1 instruments

 

 

33

(-) Direct holdings of AT1 instruments

 

 

34

(-) Indirect holdings of AT1 instruments

 

 

35

(-) Synthetic holdings of AT1 instruments

 

 

36

(-) AT1 instruments of financial sector entities where the institution does not have a significant investment

 

 

37

(-) AT1 instruments of financial sector entities where the institution has a significant investment

 

 

38

(-) Other deductions

 

 

39

Additional Tier 1: Other capital elements, deductions and adjustments

 

 

40

TIER 2 CAPITAL

 

 

41

Fully paid up, directly issued capital instruments

 

 

42

Share premium

 

 

43

(-) TOTAL DEDUCTIONS FROM TIER 2

 

 

44

(-) Own T2 instruments

 

 

45

(-) Direct holdings of T2 instruments

 

 

46

(-) Indirect holdings of T2 instruments

 

 

47

(-) Synthetic holdings of T2 instruments

 

 

48

(-) T2 instruments of financial sector entities where the institution does not have a significant investment

 

 

49

(-) T2 instruments of financial sector entities where the institution has a significant investment

 

 

50

Tier 2: Other capital elements, deductions and adjustments

 

 

Template EU IF CC1.02 - Composition of regulatory own funds (Small and non-interconnected investment firms)

 

 

(a)

(b)

 

 

Amounts

Source based on reference numbers/letters of the balance sheet in the audited financial statements

Common Equity Tier 1 (CET1) capital: instruments and reserves

1

OWN FUNDS

 

 

2

TIER 1 CAPITAL

 

 

3

COMMON EQUITY TIER 1 CAPITAL

 

 

4

Fully paid up capital instruments

 

 

5

Share premium

 

 

6

Retained earnings

 

 

7

Accumulated other comprehensive income

 

 

8

Other reserves

 

 

9

Adjustments to CET1 due to prudential filters

 

 

10

Other funds

 

 

11

(-)TOTAL DEDUCTIONS FROM COMMON EQUITY TIER 1

 

 

12

(-) Losses for the current financial year

 

 

13

(-) Goodwill

 

 

14

(-) Other intangible assets

 

 

15

(-) Deferred tax assets that rely on future profitability and do not arise from temporary differences net of associated tax liabilities

 

 

16

(-) Qualifying holding outside the financial sector which exceeds 15% of own funds

 

 

17

(-) Total qualifying holdings in undertaking other than financial sector entities which exceeds 60% of its own funds

 

 

18

(-) Other deductions

 

 

19

CET1: Other capital elements, deductions and adjustments

 

 

20

ADDITIONAL TIER 1 CAPITAL

 

 

21

Fully paid up, directly issued capital instruments

 

 

22

Share premium

 

 

23

(-) TOTAL DEDUCTIONS FROM ADDITIONAL TIER 1

 

 

24

Additional Tier 1: Other capital elements, deductions and adjustments

 

 

25

TIER 2 CAPITAL

 

 

26

Fully paid up, directly issued capital instruments

 

 

27

Share premium

 

 

28

(-) TOTAL DEDUCTIONS FROM TIER 2

 

 

29

Tier 2: Other capital elements, deductions and adjustments

 

 

Template EU IF CC1.03 - Composition of regulatory own funds (Group capital test)

 

 

(a)

(b)

 

 

Amounts

Source based on reference numbers/letters of the balance sheet in the audited financial statements

Common Equity Tier 1 (CET1) capital: instruments and reserves

1

OWN FUNDS

 

 

2

TIER 1 CAPITAL

 

 

3

COMMON EQUITY TIER 1 CAPITAL

 

 

4

Fully paid up capital instruments

 

 

5

Share premium

 

 

6

Retained earnings

 

 

7

Previous years retained earnings

 

 

8

Profit or loss eligible

 

 

9

Accumulated other comprehensive income

 

 

10

Other reserves

 

 

11

Adjustments to CET1 due to prudential filters

 

 

12

Other funds

 

 

13

(-)TOTAL DEDUCTIONS FROM COMMON EQUITY TIER 1

 

 

14

(-) Own CET1 instruments

 

 

15

(-) Losses for the current financial year

 

 

16

(-) Goodwill

 

 

17

(-) Other intangible assets

 

 

18

(-) Deferred tax assets that rely on future profitability and do not arise from temporary differences net of associated tax liabilities

 

 

19

(-) Qualifying holding outside the financial sector which exceeds 15% of own funds

 

 

20

(-) Total qualifying holdings in undertaking other than financial sector entities which exceeds 60% of its own funds

 

 

21

(-) CET1 instruments of financial sector entites where the institution does not have a significant investment

 

 

22

(-) Defined benefit pension fund assets

 

 

23

(-) Other deductions

 

 

24

CET1: Other capital elements, deductions and adjustments

 

 

25

ADDITIONAL TIER 1 CAPITAL

 

 

26

Fully paid up, directly issued capital instruments

 

 

27

Share premium

 

 

28

(-) TOTAL DEDUCTIONS FROM ADDITIONAL TIER 1

 

 

29

(-) Own AT1 instruments

 

 

30

(-) AT1 instruments of financial sector entities where the institution does not have a significant investment

 

 

31

(-) Other deductions

 

 

32

Additional Tier 1: Other capital elements, deductions and adjustments

 

 

33

TIER 2 CAPITAL

 

 

34

Fully paid up, directly issued capital instruments

 

 

35

Share premium

 

 

36

(-) TOTAL DEDUCTIONS FROM TIER 2

 

 

37

(-) Own T2 instruments

 

 

38

(-) T2 instruments of financial sector entities where the institution does not have a significant investment

 

 

39

Tier 2: Other capital elements, deductions and adjustments

 

 

Template EU ICC2: Own funds: reconciliation of regulatory own funds to balance sheet in the audited financial statements

Flexible template.

Rows have to be reported in line with the balance sheet included in the audited financial statements of the investment firm.

Columns shall be kept fixed, unless the investment firm has the same accounting and regulatory scope of consolidation, in which case the volumes have to be entered in column (a) only.

 

 

a

b

c

 

 

Balance sheet as in published/audited financial statements

Under regulatory scope of consolidation

Cross reference to EU IF CC1

 

 

As at period end

As at period end

 

Assets - Breakdown by asset classes according to the balance sheet in the published/audited financial statements

1

 

 

 

 

2

 

 

 

 

3

 

 

 

 

4

 

 

 

 

5

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

xxx

Total Assets

 

 

 

Liabilities - Breakdown by liability classes according to the balance sheet in the published/auditied financial statements

1

 

 

 

 

2

 

 

 

 

3

 

 

 

 

4

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

xxx

Total Liabilities

 

 

 

Shareholders' Equity

1

 

 

 

 

2

 

 

 

 

3

 

 

 

 

 

 

 

 

 

xxx

Total Shareholders' equity

 

 

 

Template EU I CCA: Own funds: main features of own instruments issued by the firm

 

 

a

 

 

Free text

1

Issuer

 

2

Unique identifier (e.g. CUSIP, ISIN or Bloomberg identifier for private placement)

 

3

Public or private placement

 

4

Governing law(s) of the instrument

 

5

Instrument type (types to be specified by each jurisdiction)

 

6

Amount recognised in regulatory capital (Currency in million, as of most recent reporting date)

 

7

Nominal amount of instrument

 

8

Issue price

 

9

Redemption price

 

10

Accounting classification

 

11

Original date of issuance

 

12

Perpetual or dated

 

13

Original maturity date

 

14

Issuer call subject to prior supervisory approval

 

15

Optional call date, contingent call dates and redemption amount

 

16

Subsequent call dates, if applicable

 

 

Coupons / dividends

 

17

Fixed or floating dividend/coupon

 

18

Coupon rate and any related index

 

19

Existence of a dividend stopper

 

20

Fully discretionary, partially discretionary or mandatory (in terms of timing)

 

21

Fully discretionary, partially discretionary or mandatory (in terms of amount)

 

22

Existence of step up or other incentive to redeem

 

23

Noncumulative or cumulative

 

24

Convertible or non-convertible

 

25

If convertible, conversion trigger(s)

 

26

If convertible, fully or partially

 

27

If convertible, conversion rate

 

28

If convertible, mandatory or optional conversion

 

29

If convertible, specify instrument type convertible into

 

30

If convertible, specify issuer of instrument it converts into

 

31

Write-down features

 

32

If write-down, write-down trigger(s)

 

33

If write-down, full or partial

 

34

If write-down, permanent or temporary

 

35

If temporary write-down, description of write-up mechanism

 

36

Non-compliant transitioned features

 

37

If yes, specify non-compliant features

 

38

Link to the full term and conditions of the intrument (signposting)

 

(1) Insert ‘N/A’ if the question is not applicable