The reporting entity must make available the information specified in SECN 11 Annex 14R on the following:
- (1)
the tranches/bonds in the securitisation, for each tranche issuance in the securitisation or other instrument to which an ISIN has been assigned and for each subordinated loan in the securitisation;
- (2)
accounts, for each account in the securitisation;
- (3)
counterparties, for each counterparty in the securitisation;
- (4)
where the securitisation is a synthetic non-ABCP securitisation:
- (a)
synthetic coverage, for as many protection arrangements as exist in the securitisation; and
- (b)
issuer collateral, for each individual collateral asset held by the SSPE on behalf of investors that exists for the given protection arrangement; and
- (a)
- (5)
where the securitisation is a collateralised loan obligation (CLO) non-ABCP securitisation:
- (a)
the CLO manager, for each CLO manager in the securitisation; and
- (b)
the CLO securitisation.
- (a)
