The Financial Services Act 2021 gives HM Treasury (HMT) the power to revoke provisions relating to certain matters of the onshored Capital Requirements Regulation (Regulation (EU) No 575/2013) (‘CRR’) and instruments made under the CRR (‘CRR level 2 regulation’).
We are able to make rules in relation to these revoked matters, and in relation to certain standards recommended by the Basel Committee on Banking Supervision. These rules are referred to as ‘CRR rules’.
We are required by the Financial Services Act 2021 (the Act) to publish a document setting out whether and, if so, how our CRR rules correspond to a provision revoked by HMT. The Act also states that any reference to a revoked provision, from before it was revoked, in any enactment should be treated as a reference to the corresponding CRR rule as set out in the table below, which we update from time to time. This table reflects the position on 1 January 2026.
|
Provisions revoked by HM Treasury |
Corresponding CRR rule |
|---|---|
|
Article 6(3) (application of requirements on an individual basis: general principles) of the CRR (except in relation to the leverage ratio) |
No corresponding CRR rule |
|
Article 6(4) (application of requirements on an individual basis: general principles) of the CRR |
No corresponding CRR rule |
|
Article 8(1) (derogation from the application of liquidity requirements on an individual basis) of the CRR |
Rule 2.2 of the Liquidity (CRR) Part |
|
Article 8(5) (derogation from the application of liquidity requirements on an individual basis) of the CRR |
Rule 14.1(2) of the Internal Liquidity Adequacy Assessment Part. |
|
Article 11(4) (application of prudential requirements on a consolidated basis: general treatment) of the CRR |
No corresponding CRR rule |
|
Article 13(1) (application of disclosure requirements on a consolidated basis) of the CRR (except in relation to the leverage ratio) |
Rules 2.3 and 2.4 of Chapter 2 of the Disclosure (CRR) Part |
|
Article 13(2) (application of disclosure requirements on a consolidated basis) of the CRR |
Rule 2.6 of Chapter 2 of the Disclosure (CRR) Part |
|
Article 22 (sub-consolidation in cases of entities in third countries) of the CRR |
No corresponding CRR rule |
|
Article 25 (Tier 1 capital) of the CRR |
Article 25 of the Own Funds (CRR) Part |
|
Article 26 (Common equity tier 1 items) of the CRR |
Article 26 (1) to (3) of the Own Funds (CRR) Part except that Article 26(2) (inclusion of interim or year-end profits) requires a notification to the PRA rather than a permission. No corresponding rule for Article 26 (4). |
|
Article 27 (Capital instruments of mutuals, cooperative societies, savings institutions or similar institutions in Common Equity Tier 1 items) of the CRR |
Article 27 (1) of the Own Funds (CRR) Part Article 27 (2) no corresponding rule |
|
Article 28 (Common Equity Tier 1 instruments) of the CRR |
Article 28 (1) to (4) of the Own Funds (CRR) Part with a modification to 28(1)(j) relating to claims from holders of ordinary shares which rank pari passu with the instruments. No corresponding rule for Article 28 (5) |
|
Article 29 (Capital instruments issued by mutuals, cooperative societies, savings institutions and similar institutions) of the CRR |
Article 29 (1) to (5) of the Own Funds (CRR) Part No corresponding rule for Article 29 (6) |
|
Article 30 (Consequences of the conditions for Common Equity Tier 1 instruments ceasing to be met) of the CRR |
Article 30 of the Own Funds (CRR) Part |
|
Article 31 (Capital instruments subscribed by public authorities in emergency situations) of the CRR |
No corresponding CRR rule |
|
Article 32 (Securitised assets) of the CRR |
Article 32 (1) of the Own Funds (CRR) Part No corresponding rule for Article 32 (2) |
|
Article 33 (Cash flow hedges and changes in the value of own liabilities) of the CRR |
Article 33 (1) to (3) of the Own Funds (CRR) Part No corresponding rule for Article 33 (4) |
|
Article 34 (Additional value adjustments) of the CRR |
Article 34 of the Own Funds (CRR) Part |
|
Article 35 (Unrealised gains and losses measured at fair value) of the CRR |
Article 35 of the Own Funds (CRR) Part |
|
Article 36 (Deductions from Common Equity Tier 1 Items) of the CRR[1] |
Article 36 of the Own Funds (CRR) Part |
|
Article 37 (Deduction of intangible assets) of the CRR |
Article 37 of the Own Funds (CRR) Part |
|
Article 38 (Deduction of deferred tax assets that rely on future profitability) of the CRR |
Article 38 of the Own Funds (CRR) Part |
|
Article 39 (Tax overpayments, tax loss carry backs and deferred tax assets that do not rely on future profitability) of the CRR |
Article 39 of the Own Funds (CRR) Part |
|
Article 40 (Deduction of negative amounts resulting from the calculation of expected loss amounts) of the CRR |
Article 40 of the Own Funds (CRR) Part |
|
Article 41 (Deduction of defined benefit pension fund assets) of the CRR |
Article 41 of the Own Funds (CRR) Part |
|
Article 42 (Deduction of holdings of own Common Equity Tier 1 instruments) of the CRR |
Article 42 of the Own Funds (CRR) Part |
|
Article 43 (Significant investment in a financial sector entity) of the CRR |
Article 43 of the Own Funds (CRR) Part |
|
Article 44 (Deduction of holdings of Common Equity Tier 1 instruments of financial sector entities and where an institution has a reciprocal cross holding designed artificially to inflate own funds) of the CRR |
Article 44 of the Own Funds (CRR) Part |
|
Article 45 (Deduction of holdings of Common Equity Tier 1 instruments of financial sector entities) of the CRR |
Article 45 of the Own Funds (CRR) Part |
|
Article 46 (Deduction of holdings of Common Equity Tier 1 instruments where an institution does not have a significant investment in a financial sector entity) of the CRR |
Article 46 of the Own Funds (CRR) Part |
|
Article 47 (Deduction of holdings of Common Equity Tier 1 instruments where an institution has a significant investment in a financial sector entity) of the CRR |
Article 47 of the Own Funds (CRR) Part |
|
Article 47a (1) and (2) (Non-performing exposures) of the CRR |
No corresponding rule |
|
Article 47C (Deduction for non-performing exposures) of the CRR |
No corresponding rule |
|
Article 48 (Threshold exemptions from deduction from Common Equity Tier 1 items) of the CRR |
Article 48 of the Own Funds (CRR) Part |
|
Article 49 (Exemptions from and alternatives to deduction from Common Equity Tier 1 items) of the CRR |
Article 49(5) of the Own Funds (CRR) Part No corresponding CRR rules for Articles 49(1) to (4), and (6) of the CRR |
|
Article 50 (Common Equity Tier 1 capital) of the CRR |
Article 50 of the Own Funds (CRR) Part |
|
Article 51 (Additional Tier 1 items) of the CRR |
Article 51 of the Own Funds (CRR) Part |
|
Article 52 (Additional Tier 1 instruments) of the CRR |
Article 52(1) of the Own Funds (CRR) Part with modifications
No corresponding rule for Article 52(2) |
|
Article 53 (Restrictions on the cancellation of distributions on Additional Tier 1 instruments and features that could hinder the recapitalisation of the institution) of the CRR |
Article 53 of the Own Funds (CRR) Part |
|
Article 54 (Write down or conversion of Additional Tier 1 instruments) of the CRR |
Article 54 of the Own Funds (CRR) Part |
|
Article 55 (Consequences of the conditions for Additional Tier 1 instruments ceasing to be met) of the CRR |
Article 55 of the Own Funds (CRR) Part |
|
Article 56 (Deductions from Additional Tier 1 items) of the CRR |
Article 56 of the Own Funds (CRR) Part |
|
Article 57 (Deductions of holdings of own Additional Tier 1 instruments) of the CRR |
Article 57 of the Own Funds (CRR) Part |
|
Article 58 (Deduction of holdings of Additional Tier 1 instruments of financial sector entities and where an institution has a reciprocal cross holding designed artificially to inflate own funds) of the CRR |
Article 58 of the Own Funds (CRR) Part |
|
Article 59 (Deduction of holdings of Additional Tier 1 instruments of financial sector entities) of the CRR |
Article 59 of the Own Funds (CRR) Part |
|
Article 60 (Deduction of holdings of Additional Tier 1 instruments where an institution does not have a significant investment in a financial sector entity) of the CRR |
Article 60 of the Own Funds (CRR) Part |
|
Article 61 (Additional Tier 1 capital) of the CRR |
Article 61 of the Own Funds (CRR) Part |
|
Article 62 (Tier 2 items) of the CRR |
Article 62 of the Own Funds (CRR) Part |
|
Article 63 (Tier 2 instruments) of the CRR |
Article 63 of the Own Funds (CRR) Part (with modification to 63(j)) |
|
Article 64 (Amortisation of Tier 2 instruments) of the CRR |
Article 64 of the Own Funds (CRR) Part |
|
Article 65 (Consequences of the conditions for Tier 2 instruments ceasing to be met) of the CRR |
Article 65 of the Own Funds (CRR) Part |
|
Article 66 (Deductions from Tier 2 items) of the CRR |
Article 66 of the Own Funds (CRR) Part |
|
Article 67 (Deductions of holdings of own Tier 2 instruments) of the CRR |
Article 67 of the Own Funds (CRR) Part |
|
Article 68 (Deduction of holdings of Tier 2 instruments of financial sector entities and where an institution has a reciprocal cross holding designed artificially to inflate own funds) of the CRR |
Article 68 of the Own Funds (CRR) Part |
|
Article 69 (Deduction of holdings of Tier 2 instruments of financial sector entities) of the CRR |
Article 69 of the Own Funds (CRR) Part. |
|
Article 70 (Deduction of Tier 2 instruments where an institution does not have a significant investment in a relevant entity) of the CRR |
Article 70 of the Own Funds (CRR) Part |
|
Article 71 (Tier 2 capital) of the CRR |
Article 71 of the Own Funds (CRR) Part |
|
Article 72 (Own funds) of CRR |
Article 72 of the Own Funds (CRR) Part |
|
Article 72A to Article 72L (Eligible liabilities items) of the CRR |
No corresponding rule[2] |
|
Article 73 (Distributions on instruments) of CRR |
Article 73 (1) to (6) of the Own Funds (CRR) Part, in relation to own funds No corresponding rule for Article 73 (7) |
|
Article 74 (Holdings of capital instruments issued by regulated financial sector entities that do not qualify as regulatory capital) of the CRR |
Article 74 of the Own Funds (CRR) Part |
|
Article 75 (Deduction and maturity requirements for short positions) of the CRR |
Article 75 of the Own Funds (CRR) Part |
|
Article 76 of the CRR (Index holdings of capital instruments) |
Article 76(1) and 76(2) of the Own Funds (CRR) Part, corresponds to Article 76 (1) and (2) of the CRR in relation to own funds. No corresponding rule for Article 76 (3) and 76 (4). |
|
Article 77 (Conditions for reducing own funds and eligible liabilities) of the CRR |
Article 77 of the Own Funds (CRR) Part, in relation to own funds |
|
Article 78 (Supervisory permission to reduce own funds) of the CRR |
No corresponding rule[3] |
|
Article 78A (Permission to reduce eligible liabilities instruments) of the CRR |
No corresponding rule[4] |
|
Article 79 (Temporary waiver from deduction from own funds and eligible liabilities) of the CRR |
Article 79 (1) of the Own Funds (CRR) Part, in relation to own funds
No corresponding rule for Article 79 (2) |
|
Article 79A (Assessment of compliance with the conditions for own funds and eligible liabilities instruments) of the CRR |
Article 79A of the Own Funds (CRR) Part, in relation to own funds |
|
Article 80 (Continuing review of the quality of own funds and eligible liabilities instruments) of the CRR |
No corresponding rule |
|
Article 81 (Minority interests that qualify for inclusion in consolidated Common Equity Tier 1 capital) of the CRR |
Article 81 (1)(a)(i) to (iic), (b), (c) and of paragraph (2), of the Own Funds (CRR) Part No corresponding rule for Article 81(1)(a)(iii) of the CRR |
|
Article 82 (Qualifying Additional Tier 1, Tier 1, Tier 2 capital and qualifying own funds) of the CRR |
Article 82 (a)(i) to (iic), (b) and (c) of the Own Funds (CRR) Part No corresponding rule for Article 82 (a)(iii) |
|
Article 83 (Qualifying Additional Tier 1 and Tier 2 capital issued by a special purpose entity) of the CRR |
No corresponding rule |
|
Article 84 (Minority interests included in consolidated Common Equity Tier 1 capital) of the CRR |
Article 84 (1) to (3A) and (5) of the Own Funds (CRR) Part No corresponding rule for Article 84 (4) |
|
Article 85 (Qualifying Tier 1 instruments included in consolidated Tier 1 capital) of the CRR |
Article 85 of the Own Funds (CRR) Part |
|
Article 86 (Qualifying Tier 1 capital included in consolidated Additional Tier 1 capital) of the CRR |
Article 86 of the Own Funds (CRR) Part |
|
Article 87 (Qualifying own funds included in consolidated own funds) of the CRR |
Article 87 of the Own Funds (CRR) Part |
|
Article 88 (Qualifying own funds instruments included in consolidated Tier 2 capital) of the CRR |
Article 88 of the Own Funds (CRR) Part |
|
Article 89 (Risk weighting and prohibition of qualifying holdings outside the financial sector) of the CRR |
Article 89 of the Own Funds (CRR) Part |
|
Article 90 (Alternative to 1250 % risk weight) of the CRR |
Article 90 of the Own Funds (CRR) Part |
|
Article 91 (Exceptions) of the CRR |
Article 91 of the Own Funds (CRR) Part |
|
Article 94 (derogation from own funds requirements for small trading book business) of the CRR |
Article 94 of Chapter 3 of the Trading Book (CRR) Part |
|
Articles 99 to 101 (calculation and reporting requirements) of the CRR |
No corresponding CRR rules |
|
Articles 102 to 106 (trading book) of the CRR |
Articles 102, 103, 104, 105 and 106 of Chapter 3 of the Trading Book (CRR) Part correspond to the articles of the CRR with the same article number |
|
Article 128 (risk weights: items associated with particular high risk) of the CRR |
Article 128 of Chapter 3 of the Standardised Approach and Internal Ratings Based Approach to Credit Risk (CRR) Part |
|
Article 132 (exposures in the form of units or shares in collective investment undertakings) of the CRR |
Article 132 of Chapter 3 of the Standardised Approach and Internal Ratings Based Approach to Credit Risk (CRR) Part |
|
Article 132a (risk weights: approaches for calculating risk-weighted exposure amounts of collective investment undertakings) of the CRR |
No corresponding CRR rule[5] |
|
Article 152 (internal ratings-based approach to credit risk: treatment of exposures in the form of units or shares in collective investment undertakings) of the CRR |
Article 152 of Chapter 3 of the Standardised Approach and Internal Ratings Based Approach to Credit Risk (CRR) Part |
|
Article 158 (internal ratings-based approach to credit risk: treatment by exposure type) of the CRR |
Article 158 of Chapter 3 of the Standardised Approach and Internal Ratings Based Approach to Credit Risk (CRR) Part |
|
Article 272(5) (definition of ‘risk position’ for the purposes of Chapter 6 of Title II of Part Three and Title VI of Part Three) of the CRR |
No corresponding CRR rule |
|
Article 272(6) (definition of ‘hedging set’ for the purposes of Chapter 6 of Title II of Part Three and Title VI of Part Three) of the CRR |
Rule 1.2(1) of Chapter 1 of the Counterparty Credit Risk (CRR) Part |
|
Article 272(8) (definition of ‘margin threshold’ for the purposes of Chapter 6 of Title II of Part Three and Title VI of Part Three) of the CRR |
Rule 1.2(3) of Chapter 1 of the Counterparty Credit Risk (CRR) Part |
|
Article 272(12) (definition of ‘current market value’ for the purposes of Chapter 6 of Title II of Part Three and Title VI of Part Three) of the CRR |
Rule 1.2(4) of Chapter 1 of the Counterparty Credit Risk (CRR) Part |
|
Article 272(26) (definition of ‘payment leg’ for the purposes of Chapter 6 of Title II of Part Three and Title VI of Part Three) of the CRR |
Rule 1.2(6) of Chapter 1 of the Counterparty Credit Risk (CRR) Part |
|
Article 273 (methods for calculating the exposure value) of the CRR |
Article 273 of Chapter 3 of the Counterparty Credit Risk (CRR) Part |
|
Article 274 (mark-to-market method) of the CRR |
No corresponding CRR rule[6] |
|
Article 275 (original exposure method) of the CRR |
No corresponding CRR rule[7] |
|
Articles 276 to 282 (standardised method) of the CRR |
No corresponding CRR rules[8] |
|
Articles 300 to 311 (own funds requirements for exposures to a central counterparty) of the CRR |
Rule 1.3 of Chapter 1 of the Counterparty Credit Risk (CRR) Part corresponds to Article 300 of the CRR Articles 301 to 311 of Chapter 3 of the Counterparty Credit Risk (CRR) Part correspond to the articles of the CRR with the same article number |
|
Article 316 (basic indicator approach to own funds requirements for operational risk: relevant indicator) of the CRR |
Article 316 of Chapter 3 of the Operational Risk (CRR) Part |
|
Article 385 (alternative to using Credit Valuation Adjustment methods to calculating own funds requirements for credit valuation adjustment risk) of the CRR |
Article 385 of Chapter 3 of the Credit Valuation Adjustment Risk (CRR) Part |
|
Article 387 to 390 (large exposures) of the CRR |
Rule 3.3 of Chapter 3 of the Large Exposures (CRR) Part corresponds to Article 387 of the CRR No corresponding CRR rule for Article 388 The definition of ‘exposure’ in rule 1.2 of Chapter 1 of the Large Exposures (CRR) Part corresponds to Article 389 of the CRR Article 390 of Chapter 4 of the Large Exposures (CRR) Part corresponds to Article 390 of the CRR |
|
Article 391 first paragraph (definition of an institution for large exposures purposes) of the CRR |
Rule 1.3 of Chapter 1 of the Large Exposures (CRR) Part |
|
Articles 392 to 403 (large exposures) of the CRR |
The definition of ‘large exposure’ in rule 1.2 of Chapter 1 of the Large Exposures (CRR) Part corresponds to Article 392 of the CRR Rule 3.4 in Chapter 3 of the Large Exposures (CRR) Part corresponds to Article 393 of the CRR Articles 394 to 403 of Chapter 4 of the Large Exposures (CRR) Part correspond to correspond to the articles of the CRR with the same article number |
|
Articles 411 to 428 (liquidity) of the CRR |
Articles 411 to 425, 427 and 428 of Chapter 4 of the Liquidity (CRR) Part correspond to the articles of the CRR with the same article number No corresponding CRR rule for Article 426 |
|
Article 429 (Calculation of the leverage ratio) of the CRR |
Article 429 of Chapter 3 of the Leverage Ratio (CRR) Part |
|
Article 429a (Exposure value of derivatives) of the CRR |
Articles 429c and 429d of Chapter 3 of the Leverage Ratio (CRR) Part |
|
Article 429b (Counterparty credit risk add-on for repurchase transactions, securities or commodities lending or borrowing transactions, long settlement transactions and margin lending transactions) of the CRR |
Article 429e of Chapter 3 of the Leverage Ratio (CRR) Part |
|
Article 430 (Reporting on prudential requirements and financial information) of the CRR |
No corresponding CRR rules[9] |
|
Article 430b (Specific reporting requirements for market risk) of the CRR |
No corresponding CRR rule |
|
Articles 431 to 455 (disclosure by institutions) of the CRR |
Articles 431 to 433, 433a(3), 434 to 446, 447(h), 448 to 455 of Chapter 4 of the Disclosure (CRR) Part correspond to the articles of the CRR with the same article number |
|
Article 460 (Treasury power to make regulations: liquidity) of the CRR |
No corresponding CRR rule |
|
Article 469 (transitional provisions: deductions from Common Equity Tier 1 items) of the CRR |
No corresponding CRR rule |
|
Article 485 (Exceptions) of the CRR |
Article 485 of the Own Funds (CRR) Part |
|
Article 492 (transitional provisions for disclosure of own funds) of the CRR |
No corresponding CRR rule |
|
Article 493 (transitional provisions for large exposures) of the CRR |
No corresponding CRR rule |
|
Article 499 (Leverage) of the CRR |
No corresponding CRR rule |
|
Article 500b (Temporary exclusion of certain exposures to central banks from the total exposure measure in view of the COVID-19 pandemic) of the CRR |
No corresponding CRR rule |
|
Article 500d (Calculation of the exposure value of regular-way purchases and sales awaiting settlement in view of the COVID-19 pandemic) of the CRR |
Article 429g of Chapter 3 of the Leverage Ratio (CRR) Part. |
|
Article 501b (derogation from reporting requirements in Article 430) of the CRR. |
No corresponding CRR rule |
|
Commission Delegated Regulation (EU) 2015/61 of 10th October 2014 to supplement Regulation (EU) No 575/2013 of the European Parliament and Council with regard to liquidity coverage requirement for Credit Institutions. |
Articles 1 to 15, 17 to 35, 37 and Annexes I and II of Chapter 2 of the Liquidity Coverage Ratio (CRR) Part correspond to the articles and annexes of Commission Delegated Regulation (EU) 2015/61 with the same article and annex number No corresponding CRR rule for Articles 38 and 39 of Commission Delegated Regulation (EU) 2015/61 |
|
Commission Implementing Regulation (EU) 2015/233 of 13 February 2015 laying down implementing technical standards with regard to currencies in which there is an extremely narrow definition of central bank eligibility pursuant to Regulation (EU) No 575/2013 of the European Parliament and of the Council. |
No corresponding CRR rules |
|
Commission Implementing Regulation (EU) 2015/2344 of 15 December 2015 laying down implementing technical standards with regard to currencies with constraints on the availability of liquid assets in accordance with Regulation (EU) No 575/2013 of the European Parliament and of the Council. |
No corresponding CRR rules |
|
Commission Delegated Regulation (EU) 2016/709 of 26 January 2016 supplementing Regulation (EU) No 575/2013 of the European Parliament and of the Council with regard to regulatory technical standards specifying the conditions for the application of the derogations concerning currencies with constraints on the availability of liquid assets. |
Articles 1 and 3 to 6 of Chapter 3 of the Liquidity Coverage Ratio (CRR) Part correspond to the articles of Commission Delegated Regulation (EU) 2016/709 with the same article number No corresponding CRR rule for articles 2, 7 and 8 of Commission Delegated Regulation (EU) 2016/709 |
|
Commission Delegated Regulation (EU) 2017/208 of 31 October 2016 supplementing Regulation (EU) No 575/2013 of the European Parliament and of the Council with regard to regulatory technical standards for additional liquidity outflows corresponding to collateral needs resulting from the impact of an adverse market scenario on an institution’s derivatives transactions. |
Articles 1 and 2 of Chapter 4 of the Liquidity Coverage Ratio (CRR) Part correspond to the articles of Commission Delegated Regulation (EU) 2017/208 with the same article number No corresponding CRR for Article 3 of Commission Delegated Regulation (EU) 2017/208 |
|
Part 2 (PRA) of Commission Implementing Regulation (EU) No 1423/2013 of 20 December 2013 laying down implementing technical standards with regard to disclosure of own funds requirements for institutions according to Regulation (EU) No 575/2013 of the European Parliament and of the Council. |
No corresponding CRR rules |
|
Part 2 (PRA) of Commission Implementing Regulation (EU) No 680/2014 of 16 April 2014 laying down implementing technical standards with regard to supervisory reporting of institutions according to Regulation (EU) No 575/2013 of the European Parliament and of the Council. |
No corresponding CRR rules |
|
Part 2 (PRA) of Commission Implementing Regulation (EU) No 1030/2014 of 29 September 2014 laying down implementing technical standards with regard to the uniform formats and date for the disclosure of the values used to identify global systemically important institutions according to Regulation (EU) No 575/2013 of the European Parliament and of the Council. |
No corresponding CRR rules |
|
Part 2 (PRA) of Commission Delegated Regulation (EU) No 1187/2014 of 2 October 2014 supplementing Regulation (EU) No 575/2013 of the European Parliament and of the Council as regards regulatory technical standards for determining the overall exposure to a client or a group of connected clients in respect of transactions with underlying assets. |
Articles 1 and 3 to 7 of Chapter 5 of the Large Exposures (CRR) Part correspond to the articles of Part 2 (PRA) of Commission Delegated Regulation (EU) No 1187/2014 with the same article number Rule 1.4 of Chapter 1 of the Large Exposures (CRR) Part corresponds to Article 2 of Part 2 (PRA) of Commission Delegated Regulation (EU) No 1187/2014 No corresponding CRR rule for Article 8 of Part 2 (PRA) of Commission Delegated Regulation (EU) No 1187/2014 |
|
Part 2 (PRA) of Commission Delegated Regulation (EU) 2015/585 of 18 December 2014 supplementing Regulation (EU) No 575/2013 of the European Parliament and of the Council with regard to regulatory technical standards for the specification of margin periods of risk. |
No corresponding CRR rules |
|
Part 2 (PRA) of Commission Delegated Regulation (EU) 2015/1555 of 28 May 2015 supplementing Regulation (EU) No 575/2013 of the European Parliament and of the Council with regard to regulatory technical standards for the disclosure of information in relation to the compliance of institutions with the requirement for a countercyclical capital buffer in accordance with Article 440. |
No corresponding CRR rules |
|
Part 2 (PRA) of Commission Delegated Regulation (EU) 2016/101 of 26 October 2015 supplementing Regulation (EU) No 575/2013 of the European Parliament and of the Council with regard to regulatory technical standards for prudent valuation under Article 105(14). |
Articles 1 to 19 and the Annex of Chapter 4 of the Trading Book (CRR) Part correspond to the articles and annex of Part 2 (PRA) of Commission Delegated Regulation (EU) 2016/101 with the same article and annex number No corresponding CRR rule for Article 20 of Part 2 (PRA) of Commission Delegated Regulation (EU) 2016/101 |
|
Part 2 (PRA) of Commission Implementing Regulation (EU) 2016/200 of 15 February 2016 laying down implementing technical standards with regard to disclosure of the leverage ratio for institutions, according to Regulation (EU) No 575/2013 of the European Parliament and of the Council. |
No corresponding CRR rules |
|
Part 2 (PRA) of Commission Delegated Regulation (EU) 2017/2295 of 4 September 2017 supplementing Regulation (EU) No 575/2013 of the European Parliament and of the Council with regard to regulatory technical standards for disclosure of encumbered and unencumbered assets. |
No corresponding CRR rules |
|
Article 1(f) and (g) (subject matter of the Regulation) of Part 2 (PRA) of Commission Delegated Regulation (EU) 241/2014 of 7 January 2014 supplementing Regulation (EU) No 575/2013 of the European Parliament and of the Council with regard to regulatory technical standards for Own Funds requirements for institutions. |
Article 1 of Chapter 4 of the Own Funds and Eligible Liabilities (CRR) Part corresponds to article 1(f) of Part 2 (PRA) of Commission Delegated Regulation (EU) 241/2014 No corresponding rule for article 1(g) of Part 2 (PRA) of Commission Delegated Regulation (EU) 241/2014 |
|
Articles 13 to 19 (deductions from Common Equity Tier 1 items and deduction of defined benefit pension fund assets) of Part 2 (PRA) of Commission Delegated Regulation (EU) 241/2014 of 7 January 2014 supplementing Regulation (EU) No 575/2013 of the European Parliament and of the Council with regard to regulatory technical standards for Own Funds requirements for institutions. |
Articles 13 to 19 of Chapter 4 of the Own Funds and Eligible Liabilities (CRR) Part |
|
Annexes I and II of Part 2 (PRA) of Commission Implementing Regulation 2016/1801. |
Article 270F Securitisation (CRR) Part |
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This Article of CRR was revoked on 1 January 2022 pursuant to section 3 of the Financial Services Act 2021. It was replaced by Article 36 of Chapter 3 of the Own Funds (CRR) Part of the PRA Rulebook and subsequently modified. ↑
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Provisions in CRR relating to eligible liabilities have been replaced by the Bank of England’s Statement of Policy entitled ‘The Bank of England’s approach to setting a minimum requirement for own funds and eligible liabilities (MREL)’ published by the Bank of England on 15 July 2025. ↑
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Statement of policy (SoP) 3/25 – The PRA’s approach to waivers and permissions under Own Funds (CRR) Part ↑
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Provisions in CRR relating to eligible liabilities have been replaced by the Bank of England’s statement of policy – The Bank of England’s approach to setting a minimum requirement for own funds and eligible liabilities (MREL), published by on 15 July 2025. ↑
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Article 132a of Chapter 3 of the Standardised Approach and Internal Ratings Based Approach to Credit Risk (CRR) Part is not sufficiently similar to be a corresponding CRR rule. ↑
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Article 274 of Chapter 3 of the Counterparty Credit Risk (CRR) Part is not sufficiently similar to be a corresponding CRR rule. ↑
-
Article 275 of Chapter 3 of the Counterparty Credit Risk (CRR) Part is not sufficiently similar to be a corresponding CRR rule. ↑
-
Articles 276 to 282 of Chapter 3 of the Counterparty Credit Risk (CRR) Part are not sufficiently similar to be a corresponding CRR rules. ↑
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Article 430 of Chapter 4 of the Reporting (CRR) Part not sufficiently similar to article 430(7) to be a corresponding CRR rule. ↑