Keresési lehetőségek
Kezdőlap Média Kisokos Kutatás és publikációk Statisztika Monetáris politika Az €uro Fizetésforgalom és piacok Karrier
Javaslatok
Rendezési szempont
Magyar nyelven nem elérhető

Market practices in Latvia

Latvia
Name of National Central Bank Latvijas Banka
Phone number of the CCBM unit +371 6702 2443, +371 6702 2201, +371 6702 2457
Fax number of the CCBM unit +371 6702 2420
CCBM unit group email mspmnd@bank.lv
Foreign counterparties’ contact for credit claim related issues mspmnd@bank.lv
Publications describing local legal and operational procedures Regulation "Procedure for Participation in the Eurosystem Monetary Policy Operations Organised by Latvijas Banka".
Legal and Procedural Aspects
Procedural aspects governing a repurchase agreement with the NCB and legal documentation used (if applicable) n/a
Procedural aspects governing a pledge towards the NCB and legal documentation used (if applicable) Latvijas Banka, acting as CCB, opens an account for HCB in Latvijas Banka’s domestic collateral accounting system VNS. This account reflects securities mobilised by HCB’s counterparties to Latvijas Banka’s customer account with Latvian SSS in Nasdaq CSD SE. The opening of the account is done via sending of MT599 message to Latvijas Banka.
Specific procedures governing non-marketable assets Regulation "Procedure for Participation in the Eurosystem Monetary Policy Operations Organised by Latvijas Banka".
Technical Aspects Nasdaq CSD SE Latvijas Banka
Type of eligible assets held Marketable assets (government securities + corporate debt securities) Non-marketable assets (credit claims)
Opening hours 07:00 - 18:00 CET 07:30 - 16:30 CET
Number of settlement cycles per day (please indicate cut-off for inputting instructions for each cycle) Real-time settlement (07:00 until 18:00 CET, cut-off time 17:30 CET) n/a
BIC of SSS(s) LCDELV22 LACBLV2XCCB
Account of NCB in the SSS 99102251991 n/a
HCB's sub accounts in the SSS (where applicable) n/a n/a
Matching requirements Matching required n/a
Matching/Settlement details Trade date/Settlement date; ISIN code; Quantity (FAMT for fixed income); Buyer/Seller BIC; Receiving/Delivering Agent BIC; Place of Settlement BIC; Client of the Receiving or Delivering Agent BIC n/a
Special Operating Procedures None None
Homepage of SSS https://nasdaqcsd.com www.bank.lv/en/