Decision (EU) 2016/810 of the European Central Bank of 28 April 2016 on a second ... (32016D0010) 
                
                
            INHALT
Decision (EU) 2016/810 of the European Central Bank of 28 April 2016 on a second series of targeted longer-term refinancing operations (ECB/2016/10)
- DECISION (EU) 2016/810 OF THE EUROPEAN CENTRAL BANK
 - of 28 April 2016
 - on a second series of targeted longer-term refinancing operations (ECB/2016/10)
 - Article 1
 - Definitions
 - Article 2
 - The second series of targeted longer-term refinancing operations
 - Article 3
 - Participation
 - Article 4
 - Borrowing allowance, bid limit and benchmarks
 - Article 5
 - Interest
 - Article 6
 - Early repayment
 - Article 7
 - Reporting requirements
 - Article 8
 - Non-compliance with reporting requirements
 - Article 9
 - Entry into force
 - ANNEX I
 - CONDUCT OF THE SECOND SERIES OF TARGETED LONGER-TERM REFINANCING OPERATIONS
 - 1.
 - Calculation of borrowing allowance and bid limit
 - 2.
 - Calculation of benchmarks
 - 3.
 - Calculation of interest rate
 - ANNEX II
 - THE SECOND SERIES OF TARGETED LONGER-TERM REFINANCING OPERATIONS — GUIDELINES FOR COMPILING DATA REQUIRED BY THE REPORTING TEMPLATE
 - 1.
 - Introduction
 - (1)
 - 2.
 - General information
 - 3.
 - General reporting instructions
 - (a) Structure of the reporting template
 - (b) Definition of the ‘reporting period’
 - (c) Reporting in respect of TLTRO-II groups
 - (d) Transmission of the data reports
 - (e) Unit of the data
 - 4.
 - Definitions
 - (a) Outstanding amounts of eligible loans (1 and 4)
 - (i) Outstanding amounts on the balance sheet (1.1 and 4.1)
 - (ii) Outstanding amounts of loans that are securitised or otherwise transferred but not derecognised from the balance sheet (1.2 and 4.2)
 - (iii) Outstanding provisions against eligible loans (1.3 and 4.3)
 - (b) Eligible net lending (2)
 - (i) Gross lending (2.1)
 - (ii) Repayments (2.2)
 - (c) Adjustments to the outstanding amounts
 - (i) Loan sales and purchases and other loan transfers during the reporting period (3.1)
 - — Net flows of securitised loans with an impact on loan stocks (3.1 A)
 - — Net flows of loans that are otherwise transferred with an impact on loan stocks (3.1B)
 - — Net flows of loans that are securitised or otherwise transferred without any impact on loan stocks (3.1C)
 - (ii) Other adjustments (3.2)
 - — Revaluations owing to changes in exchange rates (3.2 A)
 - — Write-offs/write-downs (3.2B)
 - — Reclassifications (3.2C)