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Commission Delegated Regulation (EU) 2015/61 of 10 October 2014 to supplement Regulation (EU) No 575/2013

as it stood on 2020-04-30, permalink: /eu-eurlex/32015r0061/2020-04-30

2014-10-102022-07-08

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Outline, 42 provisions

Article 1 Article 2 Article 3 Article 4 Article 5 Article 6 Article 7 Article 8 Article 9 Article 10 Article 11 Article 12 Article 13 Article 14 Article 15 Article 16 Article 17 Article 18 Article 19 Article 20 Article 21 Article 22 Article 23 Article 24 Article 25 Article 26 Article 27 Article 28 Article 29 Article 30 Article 31 Article 31a Article 32 Article 33 Article 34 Article 35 Article 36 Article 37 Article 38 Article 39 ANNEX I ANNEX II

TITLE I / **THE LIQUIDITY COVERAGE RATIO**

Article 1, Subject matter #art_1
Article 2, Scope and application #art_2
Article 3, Definitions #art_3
Article 4, The liquidity coverage ratio #art_4
Article 5, Stress scenarios for the purposes of the liquidity coverage ratio #art_5

*CHAPTER 1* / ***General provisions***

Article 6, Composition of the liquidity buffer #art_6
Article 7, General requirements for liquid assets #art_7
Article 8, Operational requirements #art_8
Article 9, Valuation of Liquid Assets #art_9

*CHAPTER 2* / ***Liquid Assets***

Article 10, Level 1 assets #art_10
Article 11, Level 2A assets #art_11
Article 12, Level 2B assets #art_12
Article 13, Level 2B securitisations #art_13
Article 14, Restricted-use committed liquidity facilities #art_14
Article 15, CIUs #art_15
Article 16, Deposits and other funding in cooperative networks and institutional protection schemes #art_16
Article 17, Composition of the liquidity buffer by asset level #art_17
Article 18, Breach of requirements #art_18
Article 19, Alternative liquidity approaches #art_19

*CHAPTER 1* / ***Net Liquidity outflows***

Article 20, Definition of net liquidity outflows #art_20
Article 21, Netting of derivatives transactions #art_21

*CHAPTER 2* / ***Liquidity outflows***

Article 22, Definition of liquidity outflows #art_22
Article 23, Additional liquidity outflows for other products and services #art_23
Article 24, Outflows from stable retail deposits #art_24
Article 25, Outflows from other retail deposits #art_25
Article 26, Outflows with inter-dependent inflows #art_26
Article 27, Outflows from operational deposits #art_27
Article 28, Outflows from other liabilities #art_28
Article 29, Outflows within a group or an institutional protection scheme #art_29
Article 30, Additional outflows #art_30
Article 31, Outflows from credit and liquidity facilities #art_31
Article 31a, Outflows from liabilities and commitments not covered by other provisions of this Chapter #art_31a

*CHAPTER 3* / ***Liquidity inflows***

Article 32, Inflows #art_32
Article 33, Cap on Inflows #art_33
Article 34, Inflows within a group or an institutional protection scheme #art_34

TITLE IV / **FINAL PROVISIONS**

Article 35, Grandfathering of Member State-guaranteed bank assets #art_35
Article 36, Transitional provision for Member State-sponsored impaired asset management agencies #art_36
Article 37, Transitional provision for securitisations backed by residential loans #art_37
Article 38, Transitional provision for the introduction of the liquidity coverage ratio #art_38
Article 39, Entry into force #art_39
ANNEX I #anx_i
ANNEX II #anx_ii
Provenance and validity dates, identifier, hash
as of2020-04-30 → this version applied
valid2020-04-30 → 2022-07-07 publisher-asserted
typeREG_DEL Commission Delegated Regulation (EU) 2015/61 of 10 October 2014 to supplement Regulation (EU) No 575/2013 of the European Parliament and the Council with regard to liquidity coverage requirement for Credit Institutions (Text with EEA relevance)
languageen
published2020-04-30
lex_ideu-eurlex:32015r0061:2020-04-30
record sha256101f7ac194070a2bc4727c1556a7a1f580d0b4ad6ae98f318eb8e8bcefa8c5e0
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