20.10.2022   

EN

Official Journal of the European Union

L 272/52


Corrigendum to Commission Implementing Regulation (EU) 2022/389 of 8 March 2022 laying down implementing technical standards for the application of Directive (EU) 2019/2034 of the European Parliament and of the Council with regard to the format, structure, content lists and annual publication date of the information to be disclosed by competent authorities

( Official Journal of the European Union L 79 of 9 March 2022 )

On page 19, Annex IV, Part 1 (‘Individual data per competent authority’), in the second column ‘Reference to reporting template’:

in row 090:

for:

‘I 02.00 row 0030’,

read:

‘I 02.01 row 0030’;

in row 100:

for:

‘I 02.00 row 0020’,

read:

‘I 02.01 row 0020’;

in row 110:

for:

‘I 02.00 row 0040’,

read:

‘I 02.01 row 0040’.

On page 20, Annex IV, Part 2 (‘Data on market risk’), in footnote (1):

for:

‘(1)

The template shall include information on all investment firms and not only on those with positions related to K-’,

read:

‘(1)

The template shall include information on all investment firms and not only on those with positions related to K-factor net position risk.’.

On pages 20 and 21, Annex IV, Part 2 (‘Data on market risk’), in the third column ‘Reference to reporting template’:

in row 020:

for:

‘IF 04.00 row 0100’,

read:

‘I 04.00 row 0100’;

in row 070:

for:

‘IF 04.00 row 0110’,

read:

‘I 04.00 row 0110’;

in row 100:

for:

‘IF 04.00 row 0100’,

read:

‘I 04.00 row 0100’;

in row 150:

for:

‘IF 04.00 row 0110’,

read:

‘I 04.00 row 0110’.

On page 21, Annex IV, Part 2 (‘Data on market risk’), the template, first column ‘risk to market data’, in the third subcolumn:

for:

‘Total own funds requirements under each approach (1)’,

read:

‘Total own funds requirements under each approach’.

On page 21, Annex IV, Part 2 (‘Data on market risk’), the template, in the second column ‘Approach’, in row 130:

for:

‘of which the alternative internal model approach (2)’,

read:

‘of which the alternative internal model approach’.

On page 21, Annex IV, Part 2 (‘Data on market risk’), the template, in note (3):

for:

‘(3)

Own funds requirements as referred to in Article 9 of Regulation (EU) 2019/2033.’,

read:

‘(3)

Own funds requirements as referred to in Article 11 of Regulation (EU) 2019/2033.’.

On pages 24 and 25, Part 4 (‘Data on exemptions’), the fourth column (‘Art. 9’) is deleted.