• PCD-A.3 PCD-A.3 Module History

    • PCD-A.3.1

      This module was first issued in January 2008 as part of Volume one of the CBB Rulebook (Volume one). Any material changes that have subsequently been made to this Module are annotated with the calendar quarter date in which the change was made: Chapter UG-3 provides further details on Rulebook maintenance and version control.

      Amended: January 2014
      Apr 08

    • PCD-A.3.2

      A list of recent changes made to this Module is detailed in the table below:

      Module Ref. Change Date Description of Changes
      PCD-2.1 01/2009 Clarification on risk weighting of listed and unlisted instruments
      PCD 10/2010 Various minor amendments to ensure consistency in CBB Rulebook.
      PCD-4 10/2010 New Chapter on SPV moved from Section HC-1.5
      PCD-A.1.7 and A.1.8 01/2011 Added legal basis.
      PCD-A, PCD-2, PCD-3, PCD-4 01/2011 Changes made to incorporate Basel Core principle 5.
      PCD-A.2.13 10/2012 Amended definition of 'qualifying holding' to be in line with Paragraph CM-5.5.1E and Glossary.
      PCD-A.2.13 01/2014 Corrected typo.
      PCD-A.3.1 01/2014 Corrected reference to Volume one.
      PCD-4.1 04/2014 Clarified Rules on SPVs.

    • Effective Date

      • PCD-A.3.3

        The contents of this Module are effective from January 2008 or the dates given in the summary of changes table above.

        Apr 08