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Project Tags:

OTC

Completed

Fixed income solutions

Product benefits

B3 Structure May Be Used to Trade TPF Lending and Specific Repos

Greater safety and optimization for registration and settlement.

In this environment, participants may secure settlement commitments, optimize capital allocation and allow equalization of counterparty credit risk in the market. All parties involved can now trade through B3’s multi-asset Clearinghouse, which uses the CORE (Close-Out Risk Evaluation) risk calculation methodology, one of the world’s most modern and safe risk systems.

 

  • Asset management for trading and settlement purposes will be led through a new RTC system module to mirror TPF balances of Selic and Cash accounts to the Clearinghouse structure.    

  • Custodians will be responsible for requesting deposit, withdrawal or transfer of TPFs using their clients' deposit accounts, as well as cash deposit or withdrawal. 

  • Through their custodians, investors must transfer the TPF balance to their Selic deposit account before carrying out lending trades or repo selling transactions.   

  • Funds for repo purchase must be previously deposited with the Clearinghouse.  

  • Direct Trade Execution – Participant (FTP/SP) enters a direct order with the information from the borrowing/buying investor and from the lending/selling investor, both under its responsibility.  

  • Lender [Seller] Execution – Borrowing/buying Participant (FTP/SP) selects a lend/sell order. Available for Lending and Repos.  

  • Borrower Execution – Lending participant (FTP/SP) selects a borrow order. Available only for inbound Public Lending Orders.   

 

Timeline

  • Go-live

    Available to the market

Technical details

  • Catalog changes

    To be defined

  • Main systems

    BTB, RTC e Sinacor

  • Main related functions

    Texto sobre funções relacionadas

  • Certification roadmap

    N/A

  • What is the Sinacor version?

    v22.2

Material name

Date

Material Type

Language

Format

Size

EXTERNAL COMMUNICATION

06/22/2022

-

-

pdf

105KB

Apresentação

03/20/2023

-

-

pdf

1MB

Perguntas Frequentes

03/16/2023

-

-

pdf

214KB

XSD-CadastrodeInstrumentos_2.8

04/08/2022

-

-

zip

5KB

Requisitos tarifação Empréstimo e Compromissada de TPF com CCP

03/11/2022

-

-

pdf

209KB

Tarifação - Empréstimo e Compromissada de TPF

03/11/2022

-

-

pdf

639KB

XSD - iMercado Empréstimo (v.1.6)

06/01/2022

-

-

zip

9KB

IMBARQ001 (v1.3)

01/03/2022

-

-

pdf

535KB

XSD - Liquidação de Ativos v2.21

08/09/2021

-

-

zip

19KB

Catálogo - Liquidação de Ativos v2.21

08/09/2021

-

-

pdf

3MB

XSD - Gestão de Ativos

10/13/2020

-

-

zip

16KB

Enumeration - Gestão de Ativos

01/26/2022

-

-

pdf

42KB

[Clearing] Catalogo - Gestão de Ativos

01/20/2023

-

-

pdf

1MB

Exemplo - Empréstimo de Ativos

01/26/2022

-

-

zip

47KB

Workshop TPF - Conceituação do Produto

02/27/2019

-

-

pdf

2MB

Comunicado Externo

06/22/2022

-

-

pdf

96KB

Roteiro cadastral de habilitação em produção

09/06/2022

-

-

pdf

453KB

Ofício Circular - Pré Lançamento Empréstimo e Compromissada de TPF com CCP

08/19/2022

-

-

pdf

279KB

Swagger API BTB

06/03/2022

-

-

zip

26KB

Catálogo API BTB – Empréstimo e Compromissada

06/03/2022

-

-

pdf

1MB

XSD_ControleDePosições_2.28

06/01/2022

-

-

zip

102KB

XSD - Recompra v1.9

06/01/2022

-

-

zip

19KB

XSD - Empréstimo de Ativos v.1.27

06/01/2022

-

-

zip

23KB

HistoricodeAlteracoes_01_06_2022 - Projetos

06/01/2022

-

-

pdf

932KB

CatalogoEmprestimodeAtivosV1.27

06/01/2022

-

-

pdf

3MB

[Clearing] Catalogo - Controle De Posicoes

01/20/2023

-

-

pdf

10MB

Catalogo Recompra v1.9

06/01/2022

-

-

pdf

2MB

[Clearing] ExternalCode Lists

01/20/2023

-

-

ms-excel

3MB

Workshop TPF - Conceituação do Produto

01/12/2024

-

-

octet-stream

N/A