Project Tags:

OTC

Completed

Fixed income solutions

Product benefits

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

<p>Greater safety and optimization for registration and settlement.</p>

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