EU Financial Regulatory Q&A Database
Official Q&As published by EBA, ESMA, EIOPA and the ESA Joint Committee. Non-binding but treated as authoritative guidance by national competent authorities across the EU.
4 Q&As matching current filters · page 1 of 1
Financial Conglomerates: Reporting of exposures by counterparty within the FC.06 template in light of the reference to “connected client groups” according to Article 4(1), point (39), of Regulation (EU) No 575/2013 and the response to Q&A “2025_7381"
Directive 2002/87/EC (FiCOD) · Art. 7 Risk concentration
Submitted 2025-07-25
Submission Error related to FC.06/L0600 “Label: Duplicate fact, not same value"
Directive 2002/87/EC (FiCOD) · Art. 7
Submitted 2025-05-28
Financial Conglomerates: Mismatch between ITS and DPM 3.5 – ID v22748_u - T1 L 06.00, column c0020.
Directive 2002/87/EC (FiCOD) · Art. 7
Submitted 2025-03-13
XBRL Modelisation of FICOD REPORTING L0600
Directive 2002/87/EC (FiCOD) · Art. NA
Submitted 2025-03-06
Source: EBA Single Rulebook Q&A, ESMA Q&A, EIOPA Q&A, ESA Joint Q&As. Updated weekly. Q&As are non-binding guidance.
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