emendrix

Art. 26

Central Securities Depositories Regulation · 32014R0909 · every event for this act · on EUR-Lex

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in force 2026-01-17 MODIFIED±0

Amended by Regulation (EU) 2023/2845 32023R2845

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in force 2024-05-01 MODIFIED

Amended by Regulation (EU) 2023/2845 32023R2845

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in force 2024-01-16 MODIFIED

Amended by Regulation (EU) 2023/2845 32023R2845

applies from: unknown (the text changed beyond its dates, so no date that moved can be read as the application date)

dates added to the text: 2025-01-17

Paragraph 2 now adds a requirement that a CSD intending to provide banking-type ancillary services to other CSDs under Article 54(2a), first subparagraph, point (b), have clear rules and procedures addressing potential conflicts of interest and mitigating discriminatory treatment risk toward those other CSDs and their participants.

Paragraph 3 restructures the list of persons covered by the conflict-of-interest arrangements, reordering the CSD itself and its participants or clients, and replacing the earlier single list with lettered points (a) to (f) covering managers, employees, management body members, persons with direct or indirect control, and persons with close links to the CSD or those individuals.

A new paragraph 9 has been added, directing EBA, in cooperation with ESMA and the ESCB members, to develop draft regulatory technical standards further specifying the rules and procedures referred to in paragraph 2, second subparagraph, and to submit them to the Commission by 17 January 2025.

Cited: Art. 26, v2 · Art. 26, v1

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