Einde inhoudsopgave
Implementing Regulation (EU) 2015/2450 laying down implementing technical standards with regard to the templates for the submission of information to the supervisory authorities according to Directive 2009/138/EC
Article 36 Quantitative templates for groups — intra-group transactions and risk concentrations
Geldend
Geldend vanaf 01-01-2016
- Bronpublicatie:
02-12-2015, PbEU 2015, L 347 (uitgifte: 31-12-2015, regelingnummer: 2015/2450)
- Inwerkingtreding
01-01-2016
- Bronpublicatie inwerkingtreding:
02-12-2015, PbEU 2015, L 347 (uitgifte: 31-12-2015, regelingnummer: 2015/2450)
- Vakgebied(en)
Financieel recht / Europees financieel recht
Financieel recht / Financieel toezicht (juridisch)
Verzekeringsrecht / Europees verzekeringsrecht
Verzekeringsrecht / Bijzondere onderwerpen
Participating insurance and reinsurance undertakings, insurance holding companies and mixed financial holding companies shall report:
- (a)
significant and very significant intra-group transactions referred to in the first and second subparagraphs of Article 245(2) of Directive 2009/138/EC and intra-group transactions to be reported in all circumstances referred to in Article 245(3) of that Directive using, as appropriate, templates S.36.01.01, S.36.02.01, S.36.03.01 and S.36.04.01 of Annex I to this Regulation, following the instructions set out in section S.36.01 to S.36.04 of Annex III to this Regulation;
- (b)
significant risk concentrations referred to in Article 244(2) of Directive 2009/138/EC and risk concentrations to be reported in all circumstances referred to in Article 244(3) of that Directive using template S.37.01.04 of Annex I to this Regulation, following the instructions set out in section S.37.01 of Annex III to this Regulation.