Assessment of financial instruments and investment fund NAV (Reg 2016/1011)
COMCMT1R-EP1R-C2R-EPCNCADO
Updated 108mo ago
This procedure specifies how to assess the value of financial instruments, including derivatives and investment funds. It ensures consistent reporting under the EU's benchmark regulation.
This affects financial institutions, investors, and reporting bodies. It aims to improve transparency and comparability in financial markets across the EU.