TCN : Negotiable debt securities
Products:
2022-2025, 2006-2024, 2006-2021
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Authorisation: Producer
Statistical data on negotiable debt securities are provided to the Banque de France on a daily basis by negotiable debt security issuers through their direct debit agents in accordance with the regulatory supervision of this market. The scope of the data reported to the Banque de France includes all transactions recorded on the primary market for negotiable debt securities, including:
- intra-group transactions (operations not passing through the EUROCLEAR France settlement-delivery circuit);
- transactions intended for bank issuers' private clients;
- reports from non-resident issuers.
Projects using this data source
No project has used this source
Articles
No publication identified at this time
Other sources in the same theme (39)
- OTC : Over-the-counter (OTC) derivatives
- M_CREANCE : Abandons et cessions de créances
- M_CESSCRE : Créances cédées
- IBSI : Aggregated balance sheet data for credit institutions
- M_CREDOUT : Dépréciations sur créances douteuses
- M_INTDEPO : Eléments calcul taux intérêt apparents/ dépôts à vue, remboursables, découverts et opérations assimilées
- M_INTENCO : Eléments calcul taux intérêts apparents sur encours
- DEVI_SITU - EC : Jobs and resources by currency and country - credit institutions
- M_ELECTRO : Encours de monnaie électronique
- IMIR - Encours : Outstanding loan amounts and interest rates
- IMIR - Flux : New loan flows and interest rates
- IFT_ResNR - EC : Conditional instruments purchased and sold by counterparty residence - credit institutions
- CLIENT_nR - EC : Opérations avec la clientèle non résidente - Etablissements de Crédit
- CLIENT_RE - EC : Transactions with resident customers - credit institutions
- ENGAG_INT : Risks associated with international banking activity
- ITB_nRESI - EC : Interbank transactions with non-resident credit institutions - Credit Institutions
- ITB_RESID - EC : Interbank transactions with resident credit institutions - Credit Institutions
- M_AGENTnR : Opérations avec les agents non-résidents
- M_CLIENnR - EC : Opérations avec la clientèle non résidente EMUM - Etablissements de Crédit
- M_CLIENRE : Opérations avec la clientèle résidente
- M_CONTRAN : New contracts census
- M_INTNOUA : Interest rates on new aggregated contracts
- M_INTNOUG : Interest rates on new contracts by branch
- M_OPETITR : Portefeuille de titres et titres émis
- M_PENLIVR : Pensions livrées sur titres
- M_RESEAUG : Branch-level operations of network banks
- M_SITMENS : Situation mensuelle
- M_TITPRIM : Portefeuille titres (valorisation prix marché)
- M_TITVALC : Portefeuille titres (valorisation comptable)
- PENS_LIVR - EC : Securities repurchase agreements and securities lending - credit institutions
- SITUATION - EC : Summary activities by transaction type and geographic area - credit institutions
- TIT_TRANS - EC : Transactions securities trading, divers transaction and fixed assets - credit institutions
- TITRE_PTF - EC : Securities portfolio and issued securities - credit institutions
- OPC : Balance Sheet Data of UCIs
- SHS - révisée : Securities holdings by sector - France (revised)
- SHS - totaux : Securities holdings by sector - France (totals)
- SHS - titre à titre : Securities holdings by sector - France (security by security)
- TFIB0201 : Bank branch file
- TFIB0102 : FIB establishments - version 2
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Persistent Identifiers (DOI)
Data citation and persistent identifiers (DOI - Digital Object Identifier) for each year.
- 2006-2021 : https://doi.org/10.34724/CASD.636.4354.V1
- 2006-2024 : https://doi.org/10.34724/CASD.636.6118.V1
- 2022-2025 : https://doi.org/10.34724/CASD.636.5934.V1