COMMISSION DELEGATED REGULATION (EU) 2019/979
of 14 March 2019
supplementing Regulation (EU) 2017/1129 of the European Parliament and of the Council with regard to regulatory technical standards on key financial information in the summary of a prospectus, the publication and classification of prospectuses, advertisements for securities, supplements to a prospectus, and the notification portal, and repealing Commission Delegated Regulation (EU) No 382/2014 and Commission Delegated Regulation (EU) 2016/301
(Text with EEA relevance)
CHAPTER I
KEY FINANCIAL INFORMATION IN THE PROSPECTUS SUMMARY
SECTION 1
Content of the key financial information in the prospectus summary
Article 1
Minimum content of the key financial information in the summary of a prospectus
Article 2
Key financial information for non-financial entities issuing equity securities
Article 3
Key financial information for non-financial entities issuing non-equity securities
Article 4
Key financial information for credit institutions
Article 5
Key financial information for insurance companies
Article 6
Key financial information for special purpose vehicles issuing asset backed securities
Article 7
Key financial information for closed end funds
Article 8
Key financial information for guarantors
SECTION 2
Format of the key financial information in the prospectus summary
Article 9
Format of the key financial information in the summary of a prospectus
CHAPTER II
PUBLICATION OF THE PROSPECTUS
Article 10
Publication of the prospectus
CHAPTER III
MACHINE READABLE DATA FOR THE CLASSIFICATION OF PROSPECTUSES
Article 11
Data for classification of prospectuses
Article 12
Practical arrangements to ensure the machine readability of the data
CHAPTER IV
ADVERTISEMENTS
Article 13
Identification of the prospectus
Article 14
Required content
Article 15
Dissemination of advertisements
Article 16
Information concerning offers of securities
Article 17
Procedure for the cooperation between competent authorities
CHAPTER V
SUPPLEMENTS TO THE PROSPECTUS
Article 18
Publication of a supplement to the prospectus
CHAPTER VI
TECHNICAL ARRANGEMENTS FOR THE FUNCTIONING OF THE NOTIFICATION PORTAL
Article 19
Upload of documents and accompanying data
Article 20
Processing and notification of documents and accompanying data
Article 21
Download of documents and accompanying data
CHAPTER VII
FINAL PROVISIONS
Article 22
Repeal
Article 23
Entry into force
ANNEX I
NON-FINANCIAL ENTITIES (EQUITY SECURITIES)
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Year |
Year -1 |
Year -2 |
Interim |
Comparative interim from same period in prior year |
*Total revenue |
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*Operating profit/loss or another similar measure of financial performance used by the issuer in the financial statements |
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*Net profit or loss (for consolidated financial statements net profit or loss attributable to equity holders of the parent) |
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#Year on year revenue growth |
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#Operating profit margin |
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#Net profit margin |
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#Earnings per share |
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Year |
Year -1 |
Year -2 |
Interim |
*Total assets |
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*Total equity |
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#Net financial debt (long term debt plus short term debt minus cash) |
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Year |
Year -1 |
Interim |
Comparative interim from same period in prior year |
*Relevant net Cash flows from operating activities and/or cash flows from investing activities and/or cash from financing activities |
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ANNEX II
NON-FINANCIAL ENTITIES (NON-EQUITY SECURITIES)
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Year |
Year -1 |
Interim |
Comparative interim from same period in prior year |
*Operating profit/loss or another similar measure of financial performance used by the issuer in the financial statements |
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Year |
Year -1 |
Interim |
*Net financial debt (long term debt plus short term debt minus cash) |
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#Current ratio (current assets/current liabilities) |
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#Debt to equity ratio (total liabilities/total shareholder equity) |
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#Interest cover ratio (operating income/interest expense) |
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Year |
Year -1 |
Interim |
Comparative interim from same period in prior year |
*Net Cash flows from operating activities |
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*Net Cash flows from financing activities |
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*Net Cash flow from investing activities |
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ANNEX III
CREDIT INSTITUTIONS (EQUITY AND NON-EQUITY SECURITIES)
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Year |
Year -1 |
Year -2(1) |
Interim |
Comparative interim from same period in prior year |
*Net interest income (or equivalent) |
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*Net fee and commission income |
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*Net impairment loss on financial assets |
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*Net trading income |
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*Measure of financial performance used by the issuer in the financial statements such as operating profit |
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*Net profit or loss (for consolidated financial statements net profit or loss attributable to equity holders of the parent) |
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#Earnings per share (for equity issuers only) |
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Year |
Year -1 |
Year -2(2) |
Interim |
#Value as outcome from the most recent Supervisory Review and Evaluation Process (‘SREP’) |
*Total assets |
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*Senior debt |
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*Subordinated debt |
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*Loans and receivables from customers (net) |
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*Deposits from customers |
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*Total equity |
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#Non performing loans (based on net carrying amount)/Loans and receivables) |
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#Common Equity Tier 1 capital (CET1) ratio or other relevant prudential capital adequacy ratio depending on the issuance |
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#Total Capital Ratio |
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#Leverage Ratio calculated under applicable regulatory framework |
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ANNEX IV
INSURANCE COMPANIES (EQUITY AND NON-EQUITY SECURITIES)
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Year |
Year -1 |
Year -2(1) |
Interim |
Comparative interim from same period in prior year |
*Net premiums |
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*Net benefits and claims |
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*Earnings before tax |
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*Operating profit (distinguishing between life and non-life insurance) |
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*Net profit or loss (for consolidated financial statements net profit or loss attributable to equity holders of the parent) |
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#Year on year revenue growth (net premiums) |
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#Earnings per share (for equity issuers only) |
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Year |
Year -1 |
Year -2(2) |
Interim |
*Investments including financial assets related to unit linked contracts |
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*Total assets |
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*Insurance contract liabilities |
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*Financial liabilities |
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*Total liabilities |
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*Total equity |
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#Solvency Cover Ratio (Solvency II ratio — SII ratio) or other relevant other relevant prudential capital requirement ratio depending on the issuance |
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#Loss ratio |
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#Combined ratio (claims + expenses/premiums for the period) |
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ANNEX V
SPECIAL PURPOSE VEHICLES (‘SPVS’) ISSUING ASSET BACKED SECURITIES
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Year |
Year -1 |
*Net profit or loss |
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Year |
Year -1 |
*Total Assets |
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*Total Liabilities |
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*Financial Assets designated at fair value through profit or loss |
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*Derivative financial assets |
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*Non-financial assets if material to the entity’s business |
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*Financial Liabilities designated at fair value through profit or loss |
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*Derivative financial liabilities |
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ANNEX VI
CLOSED END FUNDS
Share Class |
Total NAV |
No. of shares/units |
~NAV/share or Market price/share/unit |
#Historical performance of the fund |
A |
XXX |
XX |
X |
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Overall Total |
Overall Total |
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Year |
Year -1 |
Year -2 |
Interim |
Comparative interim from same period in prior year |
*Total net Income/Net investment Income or total income before operating expenses |
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*Net Profit/(Loss) |
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*Performance fee (accrued/paid) |
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*Investment management fee (accrued/paid) |
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*Any other material fees (accrued/paid) to service providers |
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#Earnings per share |
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Year |
Year -1 |
Year -2 |
Interim |
*Total Net Assets |
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#Leverage ratio |
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ANNEX VII
MACHINE-READABLE DATA TO BE PROVIDED TO ESMA
Number |
Field |
Content to be reported |
Format and Standard to be used for reporting |
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1. |
National identifier |
Unique identifier of the uploaded record, assigned by the sending NCA |
{ALPHANUM-50} |
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2. |
Related national identifier |
Unique identifier of the record to which the uploaded record relates, assigned by the sending NCA Not reported in case the related national identifier is not applicable |
{ALPHANUM-50} |
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3. |
Sending Member State |
Country code of the Member State which approved the uploaded record or with which the uploaded record was filed |
{COUNTRYCODE_2} |
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4. |
Receiving Member State(s) |
Country code of the Member State(s) to which uploaded record is to be notified or communicated When multiple Member States shall be communicated, field 4 shall be reported as many times as necessary |
{COUNTRYCODE_2} |
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5. |
Document type |
The type of uploaded document(s) |
Choice from list of predefined fields:
When multiple documents shall be communicated, field [5] shall be reported as many times as necessary to describe each document composing the record |
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6. |
Structure type |
The format chosen for the prospectus |
Choice from list of predefined fields:
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7. |
Approval or filing date |
The date on which the uploaded record was approved or filed |
{DATEFORMAT} |
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8. |
Language |
The EU language in which the uploaded record is drafted |
{LANGUAGE} |
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9. |
Offeror standardised name |
Name and surname of the offeror in case the offeror is a natural person When multiple offerors shall be communicated, field [9] shall be reported as many times as necessary |
{ALPHANUM-280} |
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10. |
Guarantor standardised name |
Name and surname of the guarantor in case the guarantor is a natural person When multiple guarantors shall be communicated, field [10] shall be reported as many times as necessary |
{ALPHANUM-280} |
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11. |
Issuer LEI |
Legal Entity Identifier of the issuer When multiple issuers shall be communicated, field [11] shall be reported as many times as necessary |
{LEI} |
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12. |
Offeror LEI |
Legal Entity Identifier of the offeror When multiple offerors shall be communicated, field [12] shall be reported as many times as necessary |
{LEI} |
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13. |
Guarantor LEI |
Legal Entity Identifier of the guarantor When multiple guarantors shall be communicated, field [13] shall be reported as many times as necessary |
{LEI} |
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14. |
Offeror residency |
Offeror’s residency in case the offeror is a natural person When multiple offerors shall be communicated, field [14] shall be reported as many times as necessary |
{COUNTRYCODE_2} |
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15. |
Guarantor residency |
Guarantor’s residency in case the guarantor is a natural person When multiple guarantors shall be communicated, field [15] shall be reported as many times as necessary |
{COUNTRYCODE_2} |
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16. |
FISN |
Financial Instrument Short Name of the security This field should be repeated for each ISIN |
{FISN} |
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17. |
ISIN |
International Securities Identification Number |
{ISIN} |
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18. |
CFI |
Classification of Financial Instrument code This field should be repeated for each ISIN |
{CFI_CODE} |
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19. |
Issuance currency |
Code representing the currency in which the nominal or notional value is denominated This field should be repeated for each ISIN |
{CURRENCYCODE_3} |
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20. |
Denomination per unit |
Nominal value or notional value per unit in the issuance currency This field should be repeated for each ISIN Field applicable to securities with defined denomination |
{DECIMAL-18/5} |
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21. |
Identifier or name of the underlying |
ISIN code of the underlying security/index or name of the underlying security/index if an ISIN does not exist When basket of securities, to be identified accordingly Field applicable to securities with defined underlying. This field should be repeated for each ISIN of such securities |
For unique underlying:
For multiple underlyings (more than one): ‘BSKT’ |
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22. |
Maturity or expiry date |
Date of maturity or expiry date of the security, when applicable This field should be repeated for each ISIN Field applicable to securities with defined maturity |
{DATEFORMAT} For perpetual debt securities field 22 should be populated with the value 9999-12-31. |
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23. |
Volume offered |
Number of securities offered Field applicable only to equity This field should be repeated for each applicable ISIN |
{INTEGER-18} Either as single value, range of values, maximum |
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24. |
Price offered |
Price per security offered, in monetary value. The currency of the price is the issuance currency Field applicable only to equity This field should be repeated for each applicable ISIN |
{DECIMAL-18/5} Either as single value, range of values, maximum ‘PNDG’ in case the price offered is not available but pending ‘NOAP’ in case the price offered is not applicable |
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25. |
Consideration offered |
Total amount offered, in monetary value of the issuance currency This field should be repeated for each ISIN |
{DECIMAL-18/5} Either as single value, range of values, maximum ‘PNDG’ in case the consideration offered is not available but pending ‘NOAP’ in case the consideration offered is not applicable |
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26. |
Type of security |
Classification of categories of equity and non-equity securities This field should be repeated for each ISIN |
Choice from list of predefined fields: Equity
Debt
‘ABSE’: ABS ‘DERV’: Derivative security |
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27. |
Type of offer/admission |
Taxonomy according to PR and MiFID/MIFIR |
Choice from list of predefined fields:
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28. |
Characteristics of the trading venue where the security is initially admitted to trading |
Taxonomy according to PR and MiFID/MIFIR |
Choice from list of predefined fields:
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29. |
Disclosure regime |
The annex number in accordance with which the prospectus is drafted under the Commission Delegated Regulation (EU) [] When multiple annexes shall be communicated, field 29 shall be reported as many times as necessary |
{INTEGER-2} From 1 to [29] |
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30. |
EU Growth prospectus category |
Reason based on which an EU Growth prospectus has been used |
Choice from list of predefined fields:
|
Symbol |
Data Type |
Definition |
{ALPHANUM-n} |
Up to n alphanumerical characters |
Free text field |
{CFI_CODE} |
6 characters |
CFI code, as defined in ISO 10962 |
{COUNTRYCODE_2} |
2 alphanumerical characters |
2 letter country code, as defined by ISO 3166-1 alfa-2 country code |
{DATEFORMAT} |
Dates in the following format: YYYY-MM-DD Dates shall be reported in UTC |
ISO 8601 date format |
{LANGUAGE} |
2 letter code |
ISO 639-1 |
{LEI} |
20 alphanumerical characters |
Legal entity identifier as defined in ISO 17442 |
{FISN} |
35 alphanumerical characters with the following structure |
FISN code, as defined in ISO 18774 |
{ISIN} |
12 alphanumerical characters |
ISIN code, as defined in ISO 6166 |
{CURRENCYCODE_3} |
3 alphanumerical characters |
3 letter currency code, as defined by ISO 4217 currency codes |
{DECIMAL-n/m} |
Decimal number of up to n digit in total, of which up to m digits can be fraction digits |
Numerical field Decimal separator is ‘.’ (full stop) Values are rounded and not truncated |
{INTEGER-n} |
Integer number of up to n digits in total |
Numerical field |
{INDEX} |
4 alphabetic characters |
‘EONA’ — EONIA ‘EONS’ — EONIA SWAP ‘EURI’ — EURIBOR ‘EUUS’ — EURODOLLAR ‘EUCH’ — EuroSwiss ‘GCFR’ — GCF REPO ‘ISDA’ — ISDAFIX ‘LIBI’ — LIBID ‘LIBO’ — LIBOR ‘MAAA’ — Muni AAA ‘PFAN’ — Pfandbriefe ‘TIBO’ — TIBOR ‘STBO’ — STIBOR ‘BBSW’ — BBSW ‘JIBA’ — JIBAR ‘BUBO’ — BUBOR ‘CDOR’ — CDOR ‘CIBO’ — CIBOR ‘MOSP’ – MOSPRIM ‘NIBO’ — NIBOR ‘PRBO’ — PRIBOR ‘TLBO’ — TELBOR ‘WIBO’ — WIBOR ‘TREA’ — Treasury ‘SWAP’ — SWAP ‘FUSW’ — Future SWA |