SS16/13 - Large Exposures

Supervisory Statement 16/13

First published on 19 December 2013

This supervisory statement is aimed at firms to which CRD IV applies. It outlines the PRA’s expectations in relation to large exposures requirements within the CRR. It covers:

  • Applications to include undertakings within a core UK group (CRR Article 113(6)) and non-core large exposure group (CRR 400(2)(c))
  • Sovereign large exposures exemptions (CRR Article 400(2)(g or h)) and exposures to trustees.

This statement should be read in conjunction with the specified CRR articles, the requirements in the Large Exposures Part of the PRA Rulebook and the high-level expectations outlined in the PRA’s approach to banking supervision.

Current version

Confirmed as final in October 2021, following near-final future version published July 2021. Effective from 1 January 2022.

Confirmed final by PS22/21 ‘Implementation of Basel standards’. First published as near-final as part of PS17/21 ‘Implementation of Basel standards’.

Past versions