Reporting entities must assign item codes to the information made available to securitisation repositories. For this purpose, reporting entities must assign the item code specified in Table 3 of SECN 11 Annex 1R that best corresponds to that information.
You are viewing SECN 11.6 Item codes as of . SECN 11.6 Item codes was last updated on 01/11/2024.
SECN 11.6 Item codes
01/11/2024R
