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ANNEX V |
INSTRUCTIONS |
1. |
PERSONS RESPONSIBLE |
|
1.1. |
All persons responsible for the information given in the prospectus and, as the case may be, for certain parts of it, with, in the latter case, an indication of such parts. In the case of natural persons including members of the issuer’s administrative, management or supervisory bodies indicate the name and function of the person; in case of legal persons indicate the name and registered office. |
Category A |
1.2. |
A declaration by those responsible for the prospectus that, having taken all reasonable care to ensure that such is the case, the information contained in the prospectus is, to the best of their knowledge, in accordance with the facts and contains no omission likely to affect its import. As the case may be, declaration by those responsible for certain parts of the prospectus that the information contained in the part of the prospectus for which they are responsible is, to the best of their knowledge, in accordance with the facts and contains no omission likely to affect its import. |
Category A |
2. |
RISK FACTORS |
|
2.1. |
Prominent disclosure of risk factors that are material to the securities being offered and/or admitted to trading in order to assess the market risk associated with these securities in a section headed ‘Risk Factors’. |
Category A |
3. |
KEY INFORMATION |
|
3.1. |
Interest of natural and legal persons involved in the issue/offer |
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A description of any interest, including conflicting ones, that is material to the issue/offer, detailing the persons involved and the nature of the interest. |
Category C |
3.2. |
Reasons for the offer and use of proceeds |
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Reasons for the offer if different from making profit and/or hedging certain risks. Where applicable, disclosure of the estimated total expenses of the issue/offer and the estimated net amount of the proceeds. These expenses and proceeds shall be broken into each principal intended use and presented by order of priority of such uses. If the issuer is aware that the anticipated proceeds will not be sufficient to fund all the proposed uses, state the amount and sources of other funds needed. |
Category C |
4. |
INFORMATION CONCERNING THE SECURITIES TO BE OFFERED/ADMITTED TO TRADING |
|
4.1. |
(i) A description of the type and the class of the securities being offered and/or admitted to trading, (ii) the ISIN (International Security Identification Number) or other such security identification code. |
Category B Category C |
4.2. |
Legislation under which the securities have been created |
Category A |
4.3. |
(i) An indication of whether the securities are in registered form or bearer form and whether the securities are in certificated form or book-entry form. (ii) In the latter case, name and address of the entity in charge of keeping the records. |
Category A Category C |
4.4. |
Currency of the securities issue |
Category C |
4.5. |
Ranking of the securities being offered and/or admitted to trading, including summaries of any clauses that are intended to affect ranking or subordinate the security to any present or future liabilities of the issuer. |
Category A |
4.6. |
A description of the rights attached to the securities, including any limitations of those rights, and procedure for the exercise of those rights. |
Category B |
4.7. |
(i) Nominal interest rate |
Category C |
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(ii) Provisions relating to interest payable |
Category B |
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(iii) The date from which interest becomes payable |
Category C |
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(iv) The due dates for interest |
Category C |
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(v) The time limit on the validity of claims to interest and repayment of principal |
Category B |
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Where the rate is not fixed, |
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(vi) statement setting out the type of underlying |
Category A |
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(vii) description of the underlying on which it is based |
Category C |
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(viii) and of the method used to relate the two |
Category B |
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(ix) an indication where information about the past and the further performance of the underlying and its volatility can be obtained |
Category C |
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(x) Description of any market disruption or settlement disruption events that affect the underlying |
Category B |
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(xi) Adjustment rules with relation to events concerning the underlying |
Category B |
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(xii) Name of the calculation agent |
Category C |
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(xiii) If the security has a derivative component in the interest payment, provide a clear and comprehensive explanation to help investors understand how the value of their investment is affected by the value of the underlying instrument(s), especially under the circumstances when the risks are most evident. |
Category B |
4.8. |
(i) maturity date (ii) arrangements for the amortisation of the loan, including the repayment procedures. Where advance amortisation is contemplated, on the initiative of the issuer or of the holder, it shall be described, stipulating amortisation terms and conditions |
Category C Category B |
4.9. |
(i) An indication of yield |
Category C |
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(ii) Describe the method whereby that yield is calculated in summary form. |
Category B |
4.10. |
Representation of debt security holders including an identification of the organisation representing the investors and provisions applying to such representation. Indication of where the public may have access to the contracts relating to these forms of representation. |
Category B |
4.11. |
In the case of new issues, a statement of the resolutions, authorisations and approvals by virtue of which the securities have been or will be created and/or issued. |
Category C |
4.12. |
In the case of new issues, the expected issue date of the securities. |
Category C |
4.13. |
A description of any restrictions on the free transferability |
Category A |
4.14. |
In respect of the country of registered office of the issuer and the country(ies) where the offer being made or admission to trading is being sought: • information on taxes on the income from the securities withheld at source • indication as to whether the issuer assumes responsibility for the withholding of taxes at source |
Category A |
5. |
TERMS AND CONDITIONS OF THE OFFER |
|
5.1. |
Conditions, offer statistics, expected timetable and action required to apply for the offer |
|
5.1.1. |
Conditions to which the offer is subject |
Category C |
5.1.2. |
Total amount of the issue/offer; if the amount is not fixed, description of the arrangements and time for announcing to the public the definitive amount of the offer. |
Category C |
5.1.3. |
(i) The time period, including any possible amendments, during which the offer will be open (ii) description of the application process. |
Category C Category C |
5.1.4. |
A description of the possibility to reduce subscriptions and the manner for refunding excess amount paid by applicants. |
Category C |
5.1.5. |
Details of the minimum and/or maximum amount of application, (whether in number of securities or aggregate amount to invest) |
Category C |
5.1.6. |
Method and time limits for paying up the securities and for delivery of the securities |
Category C |
5.1.7. |
A full description of the manner and date in which results of the offer are to be made public. |
Category C |
5.1.8. |
The procedure for the exercise of any right of pre-emption, the negotiability of subscription rights and the treatment of subscription rights not exercised |
Category C |
5.2. |
Plan of distribution and allotment |
|
5.2.1. |
(i) The various categories of potential investors to which the securities are offered |
Category A |
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(ii) If the offer is being made simultaneously in the markets of two or more countries and if a tranche has been or is being reserved for certain of these, indicate any such tranche. |
Category C |
5.2.2. |
Process for notification to applicants of the amount allotted and the indication whether dealing may begin before notification is made |
Category C |
5.3. |
Pricing |
|
5.3.1. |
(i) An indication of the expected price at which the securities will be offered or |
Category C |
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(ii) the method of determining the price and the process for its disclosure |
Category B |
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(iii) Indicate the amount of any expenses and taxes specifically charged to the subscriber or purchaser. |
Category C |
5.4. |
Placing and Underwriting |
|
5.4.1. |
Name and address of the co-ordinator(s) of the global offer and of single parts of the offer and, to the extend known to the issuer or to the offeror, of the placers in the various countries where the offer takes place. |
Category C |
5.4.2. |
Name and address of any paying agents and depository agents in each country |
Category C |
5.4.3. |
Name and address of the entities agreeing to underwrite the issue on a firm commitment basis, and name and address of the entities agreeing to place the issue without a firm commitment or under ‘best efforts’ arrangements. Indication of the material features of the agreements, including the quotas. Where not all of the issue is underwritten, a statement of the portion not covered. Indication of the overall amount of the underwriting commission and of the placing commission. |
Category C |
5.4.4. |
When the underwriting agreement has been or will be reached. |
Category C |
6. |
ADMISSION TO TRADING AND DEALING ARRANGEMENTS |
|
6.1. |
(i) An indication as to whether the securities offered are or will be the object of an application for admission to trading, with a view to their distribution in a regulated market or other equivalent markets with indication of the markets in question. This circumstance must be mentioned, without creating the impression that the admission to trading will necessarily be approved. |
Category B |
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(ii) If known, give the earliest dates on which the securities will be admitted to trading |
Category C |
6.2. |
All regulated markets or equivalent markets on which, to the knowledge of the issuer, securities of the same class of the securities to be offered or admitted to trading are already admitted to trading |
Category C |
6.3. |
Name and address of the entities which have a firm commitment to act as intermediaries in secondary trading, providing liquidity through bid and offer rates and description of the main terms of their commitment. |
Category C |
7. |
ADDITIONAL INFORMATION |
|
7.1. |
If advisors connected with an issue are mentioned in the Securities Note, a statement of the capacity in which the advisors have acted. |
Category C |
7.2. |
An indication of other information in the Securities Note which has been audited or reviewed by statutory auditors and where auditors have produced a report. Reproduction of the report or, with permission of the competent authority, a summary of the report |
Category A |
7.3. |
Where a statement or report attributed to a person as an expert is included in the Securities Note, provide such persons’ name, business address, qualifications and material interest if any in the issuer. If the report has been produced at the issuer’s request a statement to that effect that such statement or report is included, in the form and context in which it is included, with the consent of that person who has authorised the contents of that part of the Securities Note. |
Category A |
7.4. |
Where information has been sourced from a third party, provide a confirmation that this information has been accurately reproduced and that as far as the issuer is aware and is able to ascertain from information published by that third party, no facts have been omitted which would render the reproduced information inaccurate or misleading. In addition, identify the source(s) of the information. |
Category C |
7.5. |
(i) Credit ratings assigned to an issuer at the request or with the co-operation of the issuer in the rating process and brief explanation of the meaning of the rating if this has previously been published by the rating provider |
Category A |
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(ii) Credit ratings assigned to securities at the request or with the co-operation of the issuer in the rating process and brief explanation of the meaning of the rating if this has previously been published by the rating provider |
Category C |
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ANNEX XII |
INSTRUCTIONS |
1. |
PERSONS RESPONSIBLE |
|
1.1. |
All persons responsible for the information given in the prospectus and, as the case may be, for certain parts of it, with, in the latter case, an indication of such parts. In the case of natural persons including members of the issuer’s administrative, management or supervisory bodies indicate the name and function of the person; in case of legal persons indicate the name and registered office. |
Category A |
1.2. |
A declaration by those responsible for the prospectus that, having taken all reasonable care to ensure that such is the case, the information contained in the prospectus is, to the best of their knowledge, in accordance with the facts and contains no omission likely to affect its import. As the case may be, declaration by those responsible for certain parts of the prospectus that, having taken all reasonable care to ensure that such is the case, the information contained in the part of the prospectus for which they are responsible is, to the best of their knowledge, in accordance with the facts and contains no omission likely to affect its import. |
Category A |
2. |
RISK FACTORS |
|
2.1. |
Prominent disclosure of risk factors that are material to the securities being offered and/or admitted to trading in order to assess the market risk associated with these securities in a section headed ‘risk factors’. This must include a risk warning to the effect that investors may lose the value of their entire investment or part of it, as the case may be, and/or, if the investor’s liability is not limited to the value of his investment, a statement of that fact, together with a description of the circumstances in which such additional liability arises and the likely financial effect |
Category A |
3. |
KEY INFORMATION |
|
3.1. |
Interest of natural and legal persons involved in the issue/offer |
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|
A description of any interest, including conflicting ones that is material to the issue/offer, detailing the persons involved and the nature of the interest |
Category C |
3.2. |
Reasons for the offer and use of proceeds when different from making profit and/or hedging certain risks |
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If reasons for the offer and use of proceeds are disclosed provide the total net proceeds and an estimate of the total expenses of the issue/offer. |
Category C |
4. |
INFORMATION CONCERNING THE SECURITIES TO BE OFFERED AND ADMITTED TO TRADING |
|
4.1. |
Information concerning the securities |
|
4.1.1. |
(i) A description of the type and the class of the securities being offered and/or admitted to trading, |
Category B |
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(ii) the ISIN (International Security Identification Number) or other such security identification code. |
Category C |
4.1.2. |
A clear and comprehensive explanation to help investors understand how the value of their investment is affected by the value of the underlying instrument(s), especially under the circumstances when the risks are most evident unless the securities have a denomination per unit of at least EUR 100 000 or can only be acquired for at least EUR 100 000 per security. |
Category B |
4.1.3. |
Legislation under which the securities have been created. |
Category A |
4.1.4. |
(i) An indication of whether the securities are in registered form or bearer form and whether the securities are in certificated form or book-entry form. (ii) In the latter case, name and address of the entity in charge of keeping the records. |
Category A Category C |
4.1.5. |
Currency of the securities issue |
Category C |
4.1.6. |
Ranking of the securities being offered and/or admitted to trading, including summaries of any clauses that are intended to affect ranking or subordinate the security to any present or future liabilities of the issuer. |
Category A |
4.1.7. |
A description of the rights attached to the securities, including any limitations of those rights, and procedure for the exercise of said rights. |
Category B |
4.1.8. |
In the case of new issues, a statement of the resolutions, authorisations and approvals by virtue of which the securities have been or will be created and/or issued. |
Category C |
4.1.9. |
The issue date of the securities |
Category C |
4.1.10 |
A description of any restrictions on the free transferability of the securities |
Category A |
4.1.11 |
(i) The expiration date of the derivative securities (ii) The exercise date or final reference date |
Category C Category C |
4.1.12. |
A description of the settlement procedure of the derivative securities |
Category B |
4.1.13. |
(i) A description of how any return on derivative securities takes place ([see footnote in Regulation) (ii) the payment or delivery date (iii) the way it is calculated |
Category B Category C Category B |
4.1.14 |
In respect of the country of registered office of the issuer and the country(ies) where the offer being made or admission to trading is being sought: • information on taxes on the income from the securities withheld at source • indication as to whether the issuer assumes responsibility for the withholding of taxes at source |
Category A |
4.2. |
Information concerning the underlying |
|
4.2.1. |
The exercise price or the final reference price of the underlying |
Category C |
4.2.2 |
A statement setting out the type of the underlying |
Category A |
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an indication where information about the past and the further performance of the underlying and its volatility can be obtained |
Category C |
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(i) where the underlying is a security |
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• the name of the issuer of the security |
Category C |
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• the ISIN (international security identification number) or other such security identification code |
Category C |
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(ii) where the underlying is an index |
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• the name of the index |
Category C |
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• a description of the index if it is composed by the issuer. |
Category A |
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• Ifthe index is not composed by the issuer, where information about the index can be obtained |
Category C |
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(iii) where the underlying is an interest rate |
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• a description of the interest rate |
Category C |
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(iv) others |
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• Where the underlying does not fall within the categories specified above the securities note shall contain equivalent information. |
Category C |
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(v) where the underlying is a basket of underlyings |
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• disclosure of the relevant weightings of each underlying in the basket |
Category C |
4.2.3. |
A description of any market disruption or settlement disruption events that affect the underlying |
Category B |
4.2.4. |
Adjustment rules with relation to events concerning the underlying. |
Category B |
5. |
TERMS AND CONDITIONS OF THE OFFER |
|
5.1. |
Conditions, offer statistics, expected timetable and action required to apply for the offer |
|
5.1.1. |
Conditions to which the offer is subject |
Category C |
5.1.2. |
Total amount of the issue/offer; if the amount is not fixed, description of the arrangements and time for announcing to the public the definitive amount of the offer. |
Category C |
5.1.3. |
(i) The time period, including any possible amendments, during which the offer will be open (ii) description of the application process. |
Category C Category C |
5.1.4. |
Details of the minimum and/or maximum amount of application, (whether in number of securities or aggregate amount to invest) |
Category C |
5.1.5. |
Method and time limits for paying up the securities and for delivery of the securities |
Category C |
5.1.6. |
A full description of the manner and date in which results of the offer are to be made public. |
Category C |
5.2. |
Plan of distribution and allotment |
|
5.2.1. |
(i) The various categories of potential investors to which the securities are offered (ii) If the offer is being made simultaneously in the markets of two or more countries and if a tranche has been or is being reserved for certain of these, indicate any such tranche. |
Category A Category C |
5.2.2. |
Process for notification to applicants of the amount allotted and the indication whether dealing may begin before notification is made |
Category C |
5.3. |
Pricing |
|
5.3.1. |
(i) An indication of the expected price at which the securities will be offered or |
Category C |
|
(ii) the method of determining the price and the process for its disclosure |
Category B |
|
(iii) indicate the amount of any expenses and taxes specifically charged to the subscriber or purchser. |
Category C |
5.4. |
Placing and Underwriting |
|
5.4.1. |
Name and address of the coordinator(s) of the global offer and of single parts of the offer and, to the extend known to the issuer or to the offeror, of the placers in the various countries where the offer takes place. |
Category C |
5.4.2. |
Name and address of any paying agents and depository agents in each country |
Category C |
5.4.3. |
Entities agreeing to underwrite the issue on a firm commitment basis, and entities agreeing to place the issue without a firm commitment or under ‘best efforts’ arrangements. Where not all of the issue is underwritten, a statement of the portion not covered |
Category C |
5.4.4. |
When the underwriting agreement has been or will be reached. |
Category C |
5.4.5. |
Name and address of a calculation agent. |
Category C |
6. |
ADMISSION TO TRADING AND DEALING ARRANGEMENTS |
|
6.1. |
(i) An indication as to whether the securities offered are or will be the object of an application for admission to trading, with a view to their distribution in a regulated market or other equivalent markets with indication of the markets in question. This circumstance shall be mentioned, without creating the impression that the admission to trading necessarily will be approved. |
Category B |
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(ii) If known, give the earliest dates on which the securities will be admitted to trading |
Category C |
6.2. |
All the regulated markets or equivalent markets on which, to the knowledge of the issuer, securities of the same class of the securities to be offered or admitted to trading are already admitted to trading |
Category C |
6.3. |
Name and address of the entities which have a firm commitment to act as intermediaries in secondary trading, providing liquidity through bid and offer rates and description of the main terms of their commitment. |
Category C |
7. |
ADDITIONAL INFORMATION |
|
7.1. |
If advisors connected with an issue are mentioned in the Securities Note, a statement of the capacity in which the advisors have acted. |
Category C |
7.2. |
An indication of other information in the Securities Note which has been audited or reviewed by statutory auditors and where auditors have produced a report. Reproduction of the report or, with permission of the competent authority, a summary of the report. |
Category A |
7.3. |
Where a statement or report attributed to a person as an expert is included in the Securities Note, provide such person’s name, business address, qualifications and material interest, if any, in the issuer. If the report has been produced at the issuer’s request a statement to that effect that such statement or report is included, in the form and context in which it is included, with the consent of that person who has authorised the contents of that part of the Securities Note. |
Category A |
7.4. |
Where information has been sourced from a third party, provide a confirmation that this information has been accurately reproduced and that as far as the issuer is aware and is able to ascertain from information published by that third party, no facts have been omitted which would render the reproduced information inaccurate or misleading. In addition, the issuer shall identify the source(s) of the information |
Category C |
7.5. |
An indication in the prospectus whether or not the issuer intends to provide post-issuance information. Where the issuer has indicated that it intends to report such information, the issuer shall specify in the prospectus what information will be reported and where such information can be obtained. |
Category C |
|
ANNEX XIII |
|
1. |
PERSONS RESPONSIBLE |
|
1.1. |
All persons responsible for the information given in the prospectus and, as the case may be, for certain parts of it, with, in the latter case, an indication of such parts. In case of natural persons including members of the issuer’s administrative, management or supervisory bodies indicate the name and function of the person; in case of legal persons indicate the name and registered office. |
Category A |
1.2. |
A declaration by those responsible for the prospectus that, having taken all reasonable care to ensure that such is the case, the information contained in the prospectus is, to the best of their knowledge, in accordance with the facts and contains no omission likely to affect its import. As the case may be, declaration by those responsible for certain parts of the prospectus that the information contained in the part of the prospectus for which they are responsible is, to the best of their knowledge, in accordance with the facts and contains no omission likely to affect its import. |
Category A |
2. |
RISK FACTORS |
|
|
Prominent disclosure of risk factors that are material to the securities admitted to trading in order to assess the market risk associated with these securities in a section headed ‘Risk factors’. |
Category A |
3. |
KEY INFORMATION |
|
|
Interest of natural and legal persons involved in the issue |
|
|
A description of any interest, including conflicting ones, that is material to the issue, detailing the persons involved and the nature of the interest. |
Category C |
4. |
INFORMATION CONCERNING THE SECURITIES TO BE ADMITTED TO TRADING |
|
4.1. |
Total amount of securities being admitted to trading. |
Category C |
4.2. |
(i) A description of the type and the class of the securities being offered and/or admitted to trading, |
Category B |
|
(ii) the ISIN (International Security Identification Number) or other such security identification code. |
Category C |
4.3. |
Legislation under which the securities have been created |
Category A |
4.4. |
(i) An indication of whether the securities are in registered form or bearer form and whether the securities are in certificated form or book-entry form. (ii) In the latter case, name and address of the entity in charge of keeping the records. |
Category A Category C |
4.5. |
Currency of the securities issue |
Category C |
4.6. |
Ranking of the securities being offered and/or admitted to trading, including summaries of any clauses that are intended to affect ranking or subordinate the security to any present or future liabilities of the issuer. |
Category A |
4.7. |
A description of the rights attached to the securities, including any limitations of those rights, and procedure for the exercise of those rights. |
Category B |
4.8. |
(i) Nominal interest rate |
Category C |
|
(ii) Provisions relating to interest payable |
Category B |
|
(iii) The date from which interest becomes payable |
Category C |
|
(iv) The due dates for interest |
Category C |
|
(v) The time limit on the validity of claims to interest and repayment of principal |
Category B |
|
Where the rate is not fixed |
|
|
(vi) Statement setting out the type of the underlying |
Category A |
|
(vii) description of the underlying on which it is based |
Category C |
|
(viii) and of the method used to relate the two |
Category B |
|
(ix) Description of any market disruption or settlement disruption events that affect the underlying |
Category B |
|
(x) Adjustment rules with relation to events concerning the underlying |
Category B |
|
(xi) Name of the calculation agent |
Category C |
4.9. |
(i) maturity date (ii) arrangements for the amortisation of the loan, including the repayment procedures. Where advance amortisation is contemplated, on the initiative of the issuer or of the holder, it shall be described, stipulating amortisation terms and conditions |
Category C Category B |
4.10. |
(i) An indication of yield |
Category C |
4.11. |
Representation of debt security holders including an identification of the organisation representing the investors and provisions applying to such representation. Indication of where the public may have access to the contracts relating to these forms of representation. |
Category B |
4.12. |
A statement of the resolutions, authorisations and approvals by virtue of which the securities have been created and/or issued. |
Category C |
4.13. |
The issue date of the securities |
Category C |
4.14. |
A description of any restrictions on the free transferability of the securities |
Category A |
5. |
ADMISSION TO TRADING AND DEALING ARRANGEMENTS |
|
5.1. |
(i) Indication of the market where the securities will be traded and for which prospectus has been published. (ii) If known, give the earliest dates on which the securities will be admitted to trading. |
Category B Category C |
5.2. |
Name and address of any paying agents and depository agents in each country. |
Category C |
6. |
EXPENSE OF THE ADMISSION TO TRADING |
|
|
An estimate of the total expenses related to the admission to trading |
Category C |
7. |
ADDITIONAL INFORMATION |
|
7.1. |
If advisors are mentioned in the Securities Note, a statement of the capacity in which the advisors have acted. |
Category C |
7.2. |
An indication of other information in the Securities Note which has been audited or reviewed by auditors and where auditors have produced a report. Reproduction of the report or, with permission of the competent authority, a summary of the report. |
Category A |
7.3. |
Where a statement or report attributed to a person as an expert is included in the Securities Note, provide such person’s name, business address, qualifications and material interest if any in the issuer. If the report has been produced at the issuer’s request a statement to that effect that such statement or report is included, in the form and context in which it is included, with the consent of that person who has authorised the contents of that part of the Securities Note. |
Category A |
7.4. |
Where information has been sourced from a third party, provide a confirmation that this information has been accurately reproduced and that as far as the issuer is aware and is able to ascertain from information published by that third party, no facts have been omitted which would render the reproduced information inaccurate or misleading. In addition, identify the source(s) of the information |
Category C |
7.5. |
(i) Credit ratings assigned to an issuer at the request or with the co-operation of the issuer in the rating process |
Category A |
|
(ii) Credit ratings assigned to securities at the request or with the co-operation of the issuer in the rating process |
Category C |
|
ANNEX VIII |
INSTRUCTIONS |
1. |
THE SECURITIES |
|
1.1. |
The minimum denomination of an issue. |
Category C |
1.2. |
Where information is disclosed about an undertaking/obligor which is not involved in the issue, provide a confirmation that the information relating to the undertaking/obligor has been accurately reproduced from information published by the undertaking/obligor. So far as the issuer is aware and is able to ascertain from information published by the undertaking/obligor no facts have been omitted which would render the reproduced information misleading. In addition, identify the source(s) of information in the Securities Note that has been reproduced from information published by an undertaking/obligor. |
Category C Category C |
2. |
THE UNDERLYING ASSETS |
|
2.1. |
Confirmation that the securitised assets backing the issue have characteristics that demonstrate capacity to produce funds to service any payments due and payable on the securities. |
Category A |
2.2. |
In respect of a pool of discrete assets backing the issue: |
|
2.2.1. |
The legal jurisdiction by which the pool of assets is governed |
Category C |
2.2.2. |
(a) In the case of a small number of easily identifiable obligors, a general description of each obligor |
Category A |
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(b) In all other cases, a description of: the general characteristics of the obligors; and the economic environment, as well as global statistical data referred to the securitised assets. |
Category B Category C |
2.2.3. |
the legal nature of the assets |
Category C |
2.2.4. |
the expiry or maturity date(s) of the assets |
Category C |
2.2.5. |
the amount of the assets |
Category C |
2.2.6. |
loan to value ratio or level of collateralisation |
Category C |
2.2.7. |
the method of origination or creation of the assets, and for loans and credit agreements, the principal lending criteria and an indication of any loans which do not meet these criteria and any rights or obligations to make further advances |
Category B |
2.2.8. |
an indication of significant representations and collaterals given to the issuer relating to the assets |
Category C |
2.2.9. |
any rights to substitute the assets and a description of the manner in which and the type of assets which may be so substituted; if there is any capacity to substitute assets with a different class or quality of assets a statement to that effect together with a description of the impact of such substitution |
Category B |
2.2.10. |
a description of any relevant insurance policies relating to the assets. Any concentration with one insurer must be disclosed if it is material to the transaction |
Category B |
2.2.11. |
Where the assets comprise obligations of 5 or fewer obligors which are legal persons or where an obligor accounts for 20 % or more of the assets, or where an obligor accounts for a material portion of the assets, so far as the issuer is aware and/or is able to ascertain from information published by the obligor(s) indicate either of the following: |
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(a) information relating to each obligor as if it were an issuer drafting a registration document for debt and derivative securities with an individual denomination of at least EUR 100 000 |
Category A |
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(b) if an obligor or guarantor has securities already admitted to trading on a regulated or equivalent market or the obligations are guaranteed by an entity admitted to trading on a regulated or equivalent market, the name, address, country of incorporation, nature of business and name of the market in which its securities are admitted. |
Category C |
2.2.12. |
If a relationship exists that is material to the issue, between the issuer, guarantor and obligor, details of the principal terms of that relationship |
Category C |
2.2.13. |
Where the assets comprise obligations that are not traded on a regulated or equivalent market, a description of the principal terms and conditions of the obligations |
Category B |
2.2.14. |
Where the assets comprise equity securities that are admitted to trading on a regulated or equivalent market indicate the following: |
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(a) a description of the securities |
Category C |
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(b) a description of the market on which they are traded including its date of establishment, how price information is published, an indication of daily trading volumes, information as to the standing of the market in the country and the name of the market’s regulatory authority |
Category C |
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(c) the frequency with which prices of the relevant securities, are published. |
Category C |
2.2.15. |
Where more than ten (10) per cent of the assets comprise equity securities that are not traded on a regulated or equivalent market, a description of those equity securities and equivalent information to that contained in the schedule for share registration document in respect of each issuer of those securities |
Category A |
2.2.16. |
Where a material portion of the assets are secured on or backed by real property, a valuation report relating to the property setting out both the valuation of the property and cash flow/income streams. Compliance with this disclosure is not required if the issue is of securities backed by mortgage loans with property as security, where there has been no revaluation of the properties for the purpose of the issue, and it is clearly stated that the valuations quoted are as at the date of the original initial mortgage loan origination |
Category A |
2.3. |
In respect of an actively managed pool of assets backing the issue |
|
2.3.1. |
equivalent information to that contained in items 2.1 and 2.2 to allow an assessment of the type, quality, sufficiency and liquidity of the asset types in the portfolio which will secure the issue |
see items 2.1 and 2.2 |
2.3.2. |
the parameters within which investments can be made, the name and description of the entity responsible for such management including a description of that entity’s expertise and experience, a summary of the provisions relating to the termination of the appointment of such entity and the appointment of an alternative management entity, and a description of that entity’s relationship with any other parties to the issue |
Category B |
2.4. |
Where an issuer proposes to issue further securities backed by the same assets, a prominent statement to that effect and unless those further securities are fungible with or are subordinated to those classes of existing debt, a description of how the holders of that class will be informed |
Category C |
3. |
STRUCTURE AND CASH FLOW |
|
3.1. |
Description of the structure of the transaction, including, if necessary, a structure diagram |
Category A |
3.2. |
Description of the entities participating in the issue and description of the functions to be performed by them |
Category A |
3.3. |
Description of the method and date of the sale, transfer, novation or assignment of the assets or of any rights and/or obligations in the assets to the issuer or, where applicable, the manner and time period in which the proceeds from the issue will be fully invested by the issuer |
Category B |
3.4. |
An explanation of the flow of funds including: |
|
3.4.1. |
how the cash flow from the assets will meet the issuer’s obligations to holders of the securities, including, if necessary, a financial service table and a description of the assumptions used in developing the table |
Category B |
3.4.2. |
information on any credit enhancements, an indication of where material potential liquidity shortfalls may occur and the availability of any liquidity supports and indication of provisions designed to cover interest/principal shortfall risks |
Category B |
3.4.3. |
without prejudice to item 3.4.2, details of any subordinated debt finance |
Category C |
3.4.4. |
an indication of any investment parameters for the investment of temporary liquidity surpluses and description of the parties responsible for such investment |
Category B |
3.4.5. |
how payments are collected in respect of the assets |
Category B |
3.4.6. |
the order of priority of payments made by the issuer to the holders of the class of securities in question |
Category A |
3.4.7. |
details of any other arrangements upon which payments of interest and principal to investors are dependent |
Category A |
3.5. |
the name, address and significant business activities of the originators of the securitised assets |
Category C |
3.6. |
Where the return on, and/or repayment of the security is linked to the performance or credit of other assets which are not assets of the issuer, items 2.2 and 2.3 are necessary |
See items 2.2 and 2.3 |
3.7. |
the name, address and significant business activities of the administrator, calculation agent or equivalent, together with a summary of the administrator’s/calculation agents responsibilities, their relationship with the originator or the creator of the assets and a summary of the provisions relating to the termination of the appointment of the administrator/calculation agent and the appointment of an alternative administrator/calculation agent |
Category C |
3.8. |
the names and addresses and brief description of: |
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(a) any swap counterparties and any providers of other material forms of credit/liquidity enhancement |
Category A |
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(b) the banks with which the main accounts relating to the transaction are held. |
Category C |
4. |
POST ISSUANCE REPORTING |
|
4.1. |
Indication in the prospectus whether or not it intends to provide post-issuance transaction information regarding securities to be admitted to trading and the performance of the underlying collateral. Where the issuer has indicated that it intends to report such information, specify in the prospectus what information will be reported, where such information can be obtained, and the frequency with which such information will be reported |
Category C |
|
ANNEX XIV |
INSTRUCTIONS |
1. |
Description of the underlying share |
|
1.1. |
Describe the type and the class of the shares |
Category A |
1.2. |
Legislation under which the shares have been or will be created |
Category A |
1.3. |
Indication whether the securities are in registered form or bearer form and whether the securities are in certificated form or book-entry form. In the latter case, name and address of the entity in charge of keeping the records |
Category A |
1.4. |
Indication of the currency of the shares issue |
Category A |
1.5. |
A description of the rights, including any limitations of these, attached to the securities and procedure for the exercise of those rights: - Dividend rights: - fixed date(s) on which the entitlement arises, - time limit after which entitlement to dividend lapses and an indication of the person in whose favour the lapse operates, - dividend restrictions and procedures for non resident holders, - rate of dividend or method of its calculation, periodicity and cumulative or non-cumulative nature of payments. - Voting rights. - Pre-emption rights in offers for subscription of securities of the same class. - Right to share in the issuer’s profits. - Rights to share in any surplus in the event of liquidation. - Redemption provisions. - Conversion provisions. |
Category A |
1.6. |
In the case of new issues, a statement of the resolutions, authorisations and approvals by virtue of which the shares have been or will be created and/or issued and indication of the issue date. |
Category C |
1.7. |
Where and when the shares will be or have been admitted to trading |
Category C |
1.8. |
Description of any restrictions on the free transferability of the shares |
Category A |
1.9. |
Indication of the existence of any mandatory takeover bids/or squeeze-out and sell-out rules in relation to the shares |
Category A |
1.10. |
Indication of public takeover bids by third parties in respect of the issuer’s equity, which have occurred during the last financial year and the current financial year. The price or exchange terms attaching to such offers and the outcome thereof must be stated |
Category A |
1.11. |
Impact on the issuer of the underlying share of the exercise of the right and potential dilution effect for the shareholders. |
Category C |
2. |
When the issuer of the underlying is an entity belonging to the same group, the information to provide on this issuer is the one required by the share registration document schedule |
Category A |
|
ANNEX VI |
INSTRUCTIONS |
1. |
Nature of the Guarantee |
|
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A description of any arrangement intended to ensure that any obligation material to the issue will be duly serviced, whether in the form of guarantee, surety, Keep well Agreement, Mono-line Insurance policy or other equivalent commitment (hereafter referred to generically as ‘guarantees’ and their provider as ‘guarantor’ for convenience). Without prejudice to the generality of the foregoing, such arrangements encompass commitments to ensure obligations to repay debt securities and/or the payment of interest and the description shall set out how the arrangement is intended to ensure that the guaranteed payments will be duly serviced. |
Category B |
2. |
Scope of the Guarantee |
|
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Details shall be disclosed about the terms and conditions and scope of the guarantee. Without prejudice to the generality of the foregoing, these details should cover any conditionality on the application of the guarantee in the event of any default under the terms of the security and the material terms of any mono-line insurance or keep well agreement between the issuer and the guarantor. Details must also be disclosed of any guarantor’s power of veto in relation to changes to the security holder’s rights, such as is often found in Mono-line Insurance. |
Category B |
3. |
Information to be disclosed about the guarantor |
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The guarantor must disclose information about itself as if it were the issuer of that same type of security that is the subject of the guarantee. |
Category A |
4. |
Documents on display |
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Indication of the places where the public may have access to the material contracts and other documents relating to the guarantee. |
Category A |