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Commission Delegated Regulation (EU) 2015/3Show full title

Commission Delegated Regulation (EU) 2015/3 of 30 September 2014 supplementing Regulation (EC) No 1060/2009 of the European Parliament and of the Council with regard to regulatory technical standards on disclosure requirements for structured finance instruments (Text with EEA relevance)

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Commission Delegated Regulation (EU) 2015/3, ANNEX VI is up to date with all changes known to be in force on or before 02 March 2025. There are changes that may be brought into force at a future date. Changes that have been made appear in the content and are referenced with annotations. Help about Changes to Legislation

EUR 2015 No. 3 may be subject to amendment by EU Exit Instruments made by the Financial Conduct Authority under powers set out in The Financial Regulators' Powers (Technical Standards etc.) (Amendment etc.) (EU Exit) Regulations 2018 (S.I. 2018/1115), regs. 2, 3, Sch. Pt. 1. These amendments are not currently available on legislation.gov.uk. Details of relevant amending instruments can be found on their website/s.

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ANNEX VIU.K. Loan Level Data — Reporting template for structured finance instruments backed by credit card loans

ASSETS:

Field NameStatic/DynamicData TypeField Definition and Criteria
Deal-Specific Information
Pool Cut-Off DateDynamicYYYY-MM-DDPool or portfolio cut-off date. This is the date at which the underlying asset data within the report is referenced.
Pool IdentifierStaticText/NumericPool or portfolio identifier, e.g. Master Issuer plc, or SPV 2012-1 plc.
Servicer NameStaticText/NumericName of the entity servicing the account.
Backup Servicer NameDynamicText/NumericName of the backup servicer.
SellerStaticText/NumericName of Seller.
Type of TransactionStaticListStandalone, Master Trust — Capitalist, Master Trust — Socialist or Other.
Loan Level Information
Account IdentifierStaticText/NumericUnique identifier for a particular account in the pool. It must be encrypted to ensure data protection.
OriginatorStaticText/NumericLender that originated the account. If unknown, please enter Seller.
Borrower IdentifierStaticText/NumericUnique identifier for a particular borrower; must be encrypted to ensure data protection. This may be the same as the Account Identifier.
Currency Denomination Of ReceivableStaticListThe currency in which the receivable is denominated.
Pool Addition DateStaticYYYY-MMDate that the account entered the pool.
Borrower’s Employment StatusStaticListEmployment status of the primary applicant.
Primary Income CurrencyStaticListPrimary income currency denomination.
Income Verification For Primary IncomeStaticListIncome verification for primary income.
Geographic RegionDynamicListThe region where the borrower is located.
EmployeeStaticY/NIs the borrower an employee of the originator or seller?
Account Opening DateStaticYYYY-MMThe date that the account was opened.
Total Current BalanceDynamic9(11).99What is the total current amount owed by the borrower (including all fees and interest) on the account?
Total Credit LimitDynamic9(11).99What is the credit limit of the borrower on the account?
Scheduled Payment FrequencyDynamicListWhat is the minimum frequency with which the borrower are obliged to make payments if they have a balance outstanding.
Next Minimum Contractual PaymentDynamic9(11).99The next minimum scheduled payment due from the borrower.
Current Blended YieldDynamic9(3).99Total weighted average yield including all fees applicable at last billing date (i.e. this is billed, not cash yield) (%).
Current Interest Rate BasisDynamicListCurrent interest rate basis.
Account StatusDynamicListCurrent status of account.
Arrears BalanceDynamic9(11).99Current balance of arrears, defined as the sum of minimum contractual payments due but unpaid by the borrower.
Arrears Balance CapitalisedDynamic9(11).99Sum of arrears capitalised to date.
Date of Most Recent Arrears CapitalisationDynamicYYYY-MMMost recent date that arrears were capitalised on this card.
Number Of Days In ArrearsDynamicNumericNumber of days the account is in arrears as of the pool cut-off date.
Payment MethodDynamicListUsual method of payment (can be based upon last payment received).
Date Of Charge OffDynamicYYYY-MMThe date of default.
Original Charge Off AmountDynamic9(11).99The total balance on the account at the date the account was charged-off.
Cumulative RecoveriesDynamic9(11).99Cumulative recoveries — only relevant for accounts that have charged-off. For accounts that have not been charged-off, enter 0.

POOL AND BOND INFO:

Field NameStatic/DynamicData TypeField Definition and Criteria
Collateral Level Data (To be completed for all structures)
Gross Charge Offs In The PeriodDynamic9(11).99Face value of gross principal charge-offs (i.e. before recoveries) for the period. Charge-off is as per transaction definition, or alternatively per lender’s usual practice.
Recoveries In The periodDynamic9(11).99Gross recoveries received during the period.
Delinquencies 30-59 Days %Dynamic9(3).99Based upon total balance of receivables, not number of accounts (%).
Delinquencies 60-89 Days %Dynamic9(3).99Based upon total balance of receivables, not number of accounts (%).
Delinquencies 90-119 Days %Dynamic9(3).99Based upon total balance of receivables, not number of accounts (%).
Delinquencies 120-149 Days %Dynamic9(3).99Based upon total balance of receivables, not number of accounts (%).
Delinquencies 150-179 Days %Dynamic9(3).99Based upon total balance of receivables, not number of accounts (%).
Delinquencies 180+ Days %Dynamic9(3).99Based upon total balance of receivables, not number of accounts (%).
DilutionsDynamic9(11).99Total reductions in principal receivables during the period, i.e. inclusive of fraud claims.
Revenue Collections In The PeriodDynamic9(11).99Collections treated as revenue in the period.
Principal Collections In The PeriodDynamic9(11).99Collections treated as principal in the period.
Any Trigger OccurrenceDynamicY/NHas any trigger event occurred, that is still outstanding? e.g. any pay-out event, any trigger based upon the originator’s rating, status or value of delinquencies, yield, dilutions, defaults etc.
SPV Size - ValueDynamic9(11).99Face value of all receivables (principal and charges) in which the trust or SPV has a beneficial interest at the cut-off date.
SPV Size - Number Of AccountsDynamic9(11).99Number of accounts in which the trust or SPV has a beneficial interest at the cut-off date.
SPV Size - Value - Principal OnlyDynamic9(11).99Face value of all receivables (principal only) in which the trust or SPV had a beneficial interest at the cut-off date.
Note BalanceDynamic9(11).99Face value of all asset-backed notes, collateralised by the receivables in the trust or SPV.
Transferor Interest %Dynamic9(3).99The actual transferor’s interest in the trust, expressed as a percentage.
Excess Spread AmountDynamic9(11).99The amount remaining after note interest and topping up of any reserve account.
Report DateDynamicYYYY-MM-DDThe date on which the transaction report was issued.
Series Level Information (For master trusts only)
Series NameStaticText/NumericName of series, if part of a master trust.
Investor Interest For This Series At End Of Period %Dynamic9(3).9(5)The investor’s interest of this series in the trust, expressed as a percentage.
Revenue Allocated To This SeriesDynamic9(11).99Revenue amounts allocated to this series from the trust.
Excess Spread AmountDynamic9(11).99The amount remaining after the period’s collections have been fully applied to cover the issuer’s obligations per the revenue waterfall in the transaction documentation.
Transaction Report Contact Information
Point ContactStaticText/NumericName of the department and the point person(s) of the information sources.
Contact InformationStaticText/NumericTelephone number and email address.

BOND INFO BY TRANCHE:

Field NameStatic/DynamicData TypeField Definition and Criteria
Tranche Level Information (For this series only)
Bond Class NameStaticText/NumericThe designation (typically a letter and/or number) given to a tranche of bonds which exhibit the same rights, priorities and characteristics as defined in the prospectus, e.g. 2012 Class A1a etc.
International Securities Identification NumberStaticText/NumericThe international security identification code or codes, or if no ISIN then any other unique securities code such as a CUSIP, assigned to this tranche by an exchange or other entity. If more than one code, enter comma-delimited.
Interest Payment DateDynamicYYYY-MM-DDThe first occurring date, after the pool cut-off date being reported, upon which interest payments are scheduled to be distributed to bondholders of this tranche.
Principal Payment DateDynamicYYYY-MM-DDThe first occurring date, after the pool cut-off date being reported, upon which principal payments are scheduled to be distributed to bondholders of this tranche.
Bond CurrencyStaticListThe denomination of this tranche.
Reference RateStaticListThe base reference interest index as defined in the prospectus or final terms applicable to this specific tranche.
Legal MaturityStaticYYYY-MM-DDThe date by which this specific tranche must be fully repaid in order not to be in default.
Bond Issue DateStaticYYYY-MM-DDDate this bond was issued.
Interest Payment FrequencyStaticListThe frequency with which interest is due to be paid on this specific tranche.
Series nameStaticText/NumericName of series, if part of a master trust. If standalone, use Pool Identifier.

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