Book traversal links for Criterion A1: Nature of Assets (Conduit Level)
Criterion A1: Nature of Assets (Conduit Level)
Effective from Dec 28 2022 - Dec 31 2022
To view other versions open the versions tab on the right
18.99 | The sponsor should make representations and warranties to investors that the criterion set out in 18.100 below are met, and explain how this is the case on an overall basis. Only if specified should this be done for each transaction. Provided that each individual underlying transaction is homogeneous in terms of asset type, a conduit may be used to finance transactions of different asset types. Programme wide credit enhancement should not prevent a conduit from qualifying for STC, regardless of whether such enhancement technically creates resecuritisation. |