3PG 221 - Aggregate Risk Exposures |
3PG 222 - Intra-Group Transactions and Exposures |
APG 110 - Capital Buffers |
APG 112 - Standardised Approach to Credit Risk |
APG 113 - Internal Ratings-based Approach to Credit Risk |
APG 114 - Standardised Approach to Operational Risk |
APG 115 - Advanced Measurement Approaches to Operational Risk |
APG 116 - Market risk |
APG 117 - Interest Rate Risk in the Banking Book (Advanced ADIs) |
APG 120 Securitisation |
APG 210 - Liquidity |
APG 220 Credit Risk Management |
APG 223 Residential Mortgage Lending |
APG 520 - Fit and Proper |
Application of the Capital Framework for COVID 19 Related Disruptions |
ARS 230 - 23 Feb 2022 - 1 March 2022 |
Australian Prudential Regulation Authority Act 1998 |
Banking Act 1959 |
CPG 110 - Internal Capital Adequacy Assessment Process and Supervisory Review |
CPG 220 Risk Management |
CPG 229 Climate Change Financial Risks |
CPG 233 - Pandemic Planning |
CPG 234 Information Security |
CPG 235 - Managing Data Risk |
CPG 320 - Actuarial and Related Matters |
CPG 511 Remuneration |
Financial Sector (Collection of Data) Act 2001 |
Financial Sector (Shareholdings) Act 1998 |
Financial Sector (Transfer and Restructure) Act 1999 |
GPG 113 - General Insurance Internal Model-based Method for Determining Minimum Capital Requirement |
GPG 116 - Insurance Concentration Risk |
GPG 220 Credit Risk |
GPG 230 - Operational Risk |
GPG 232 - Custody Arrangements |
GPG 240 - Insurance Risk |
GPG 245 Reinsurance Management Strategy |
GPG 250 - Balance Sheet and Market Risk |
GPG 520 Fit and Proper |
Guidance on reporting RF 520.0 and SRF 520.0 - Responsible Persons |
HPG 510 - Governance |
HPG 520 - Fit and Proper |
Insurance Act 1973 |
Life Insurance Act 1995 |
Life Insurance Reporting Requirements |
LPG 230 - Operational Risk |
LPG 232 - Business Continuity Management |
LPG 240 - Life Insurance Risk and Life Reinsurance Management |
LPG 250 - Asset and Liability Management Risk |
LPG 260 - Conflicts of Interest under Section 48 |
LPG 270 Group Insurance Arrangements |
LPG 520 - Fit and Proper |
LPG 700 - Friendly Society Benefit Funds |
PPG 231 - Outsourcing |
Prudential Standard 3PG 221 - Aggregate Risk Exposures |
Prudential Standard 3PS 001 Definitions |
Prudential Standard 3PS 221 Aggregate Risk Exposures |
Prudential Standard 3PS 222 Intra-group Transactions and Exposures |
Prudential Standard 3PS 310 Audit and Related Matters |
Prudential Standard APS 001 Definitions |
Prudential Standard APS 110 Capital Adequacy |
Prudential Standard APS 111 Capital Adequacy: Measurement of Capital |
Prudential Standard APS 112 Capital Adequacy: Standardised Approach to Credit Risk |
Prudential Standard APS 114 Capital Adequacy: Standardised Approach to Operational Risk |
Prudential Standard APS 115 Capital Adequacy: Standardised Measurement Approach to Operational Risk |
Prudential Standard APS 116 Capital Adequacy: Market Risk |
Prudential Standard APS 117 Capital Adequacy: Interest Rate Risk in the Banking Book (Advanced ADIs) |
Prudential Standard APS 120 Securitisation |
Prudential Standard APS 121 Covered Bonds |
Prudential Standard APS 180 Capital Adequacy: Counterparty Credit Risk |
Prudential Standard APS 210 Liquidity |
Prudential Standard APS 221 Large Exposures |
Prudential Standard APS 310 Audit and Related Matters |
Prudential Standard APS 330 Public Disclosure |
Prudential Standard APS 610 Prudential Requirements for Providers of Purchased Payment Facilities |
Prudential Standard APS 910 Financial Claims Scheme |
Prudential Standard APS 220 Credit Risk Management |
Prudential Standard APS 222 Associations with Related Entities |
Prudential Standard CPS 190 Recovery and Exit Planning |
Prudential Standard CPS 220 Risk Management |
Prudential Standard CPS 226 Margining and risk mitigation for non-centrally cleared derivatives |
Prudential Standard CPS 231 Outsourcing |
Prudential Standard CPS 232 Business Continuity Management |
Prudential Standard CPS 234 Information Security |
Prudential Standard CPS 320 Actuarial and Related Matters |
Prudential Standard CPS 510 Governance |
Prudential Standard CPS 511 Remuneration |
Prudential Standard CPS 520 Fit and Proper |
Prudential Standard GPS 001 Definitions |
Prudential Standard GPS 110 Capital Adequacy |
Prudential Standard GPS 112 Capital Adequacy: Measurement of Capital |
Prudential Standard GPS 113 Capital Adequacy: Internal Model-based Method |
Prudential Standard GPS 114 Capital Adequacy: Asset Risk Charge |
Prudential Standard GPS 115 Capital Adequacy: Insurance Risk Charge |
Prudential Standard GPS 116 Capital Adequacy: Insurance Concentration Risk Charge |
Prudential Standard GPS 117 Capital Adequacy: Asset Concentration Risk Charge |
Prudential Standard GPS 118 Capital Adequacy: Operational Risk Charge |
Prudential Standard GPS 120 Assets in Australia |
Prudential Standard GPS 230 Reinsurance Management |
Prudential Standard GPS 310 Audit and Related Matters |
Prudential Standard GPS 340 Insurance Liability Valuation |
Prudential Standard GPS 410 Transfer and Amalgamation of Insurance Business for General Insurers |
Prudential Standard HPS 001 Definitions |
Prudential Standard HPS 100 Solvency Standard |
Prudential Standard HPS 110 Capital Adequacy |
Prudential Standard HPS 231 Outsourcing |
Prudential Standard HPS 310 Audit and Related Matters |
Prudential Standard LPS 001 Definitions |
Prudential Standard LPS 100 Solvency Standard |
Prudential Standard LPS 110 Capital Adequacy |
Prudential Standard LPS 112 Capital Adequacy: Measurement of Capital |
Prudential Standard LPS 114 Capital Adequacy: Asset Risk Charge |
Prudential Standard LPS 115 Capital Adequacy: Insurance Risk Charge |
Prudential Standard LPS 117 Capital Adequacy: Asset Concentration Risk Charge |
Prudential Standard LPS 118 Capital Adequacy: Operational Risk Charge |
Prudential Standard LPS 230 Reinsurance Management |
Prudential Standard LPS 310 Audit and Related Matters |
Prudential Standard LPS 340 Valuation of Policy Liabilities |
Prudential Standard LPS 360 Termination Values, Minimum Surrender Values and Paid-up Values |
Prudential Standard LPS 370 Cost of Investment Performance Guarantees |
Prudential Standard LPS 600 Statutory Funds |
Prudential Standard LPS 700 Friendly Society Benefit Funds |
Prudential Standard SPS 114 Operational Risk Financial Requirement |
Prudential Standard SPS 160 Defined Benefit Matters |
Prudential Standard SPS 220 Risk Management |
Prudential Standard SPS 231 Outsourcing |
Prudential Standard SPS 232 Business Continuity Management |
Prudential Standard SPS 250 Insurance in Superannuation |
Prudential Standard SPS 310 Audit and Related Matters |
Prudential Standard SPS 450 Eligible Rollover Fund (ERF) Transition |
Prudential Standard SPS 510 Governance |
Prudential Standard SPS 515 Strategic Planning and Member Outcomes |
Prudential Standard SPS 520 Fit and Proper |
Prudential Standard SPS 521 Conflicts of Interest |
Prudential Standard SPS 530 Investment Governance |
Reporting Form HRF 601.1 series Statistical Data by State Explanatory notes |
Reporting Guidance Note - GRF 460.0 and GRF 460.1 Purpose |
Reporting Standard ARS 110.0 Capital Adequacy |
Reporting Standard ARS 111.0 Fair Values |
Reporting Standard ARS 112.1 Standardised Credit Risk - On-balance Sheet Assets |
Reporting Standard ARS 112.2 Standardised Credit Risk - Off-balance Sheet Exposures |
Reporting Standard ARS 113.0 Foundation Internal Ratings-based (FIRB) Approach to Credit Risk |
Reporting Standard ARS 113.1 Advanced Internal Ratings-based (AIRB) Approach to Credit Risk |
Reporting Standard ARS 113.2 Internal Ratings-based (IRB) Approach to Credit Risk - Specialised Lending Supervisory Slotting |
Reporting Standard ARS 113.3 Internal Ratings-based (IRB) Approach to Credit Risk - Retail |
Reporting Standard ARS 113.4 Internal Ratings-based (IRB) Approach to Credit Risk - Other Assets, Claims and Exposures |
Reporting Standard ARS 114.0 Standardised Approach - Operational Risk |
Reporting Standard ARS 115.0 Advanced Measurement Approaches (AMA) to Operational Risk |
Reporting Standard ARS 116.0 Market Risk |
Reporting Standard ARS 117.0 Repricing Analysis |
Reporting Standard ARS 117.1 Interest Rate Risk in the Banking Book (IRRBB) |
Reporting Standard ARS 118.0 Off-balance Sheet Business |
Reporting Standard ARS 118.1 Other Off-balance Sheet Exposures |
Reporting Standard ARS 120.1 Securitisation - Regulatory Capital |
Reporting Standard ARS 120.2 Securitisation - Supplementary Items |
Reporting Standard ARS 180.0 Counterparty Credit Risk |
Reporting Standard ARS 210.0 Liquidity |
Reporting Standard ARS 220.0 Credit Quality |
Reporting Standard ARS 220.3 Prescribed Provisioning |
Reporting Standard ARS 220.5 Movements in Provisions for Impairment |
Reporting Standard ARS 221.0 Large Exposures |
Reporting Standard ARS 222.0 Exposures to Related Entities |
Reporting Standard ARS 222.2 Exposures to Related Entities - Step-in risk |
Reporting Standard ARS 223.0 Residential Mortgage Lending |
Reporting Standard ARS 322.0 Statement of Financial Position (Consolidated) |
Reporting Standard ARS 323.0 Statement of Financial Position (Licensed ADI) |
Reporting Standard ARS 325.0 International Operations |
Reporting Standard ARS 330.0 Statement of Financial Performance |
Reporting Standard ARS 330.1 Interest Income and Interest Expense |
Reporting Standard ARS 330.2 Other Operating Income |
Reporting Standard ARS 330.3 Other Operating Expenses |
Reporting Standard ARS 332.0 Statement of Economic Activity |
Reporting Standard ARS 701.0 ABS/RBA Definitions for the EFS Collection |
Reporting Standard ARS 720.0 ABS/RBA Statement of Financial Position |
Reporting Standard ARS 720.1 ABS/RBA Loans and Finance Leases |
Reporting Standard ARS 720.2 ABS/RBA Deposits |
Reporting Standard ARS 720.3 ABS/RBA Intra-group Assets and Liabilities |
Reporting Standard ARS 720.4 ABS/RBA Debt Securities Held |
Reporting Standard ARS 720.5 ABS/RBA Equity Securities Held |
Reporting Standard ARS 720.6 ABS/RBA Securities on Issue |
Reporting Standard ARS 720.7 ABS/RBA Bill Acceptances and Endorsements |
Reporting Standard ARS 721.0 ABS/RBA Repurchase Agreements and Securities Lending |
Reporting Standard ARS 722.0 ABS/RBA Derivatives |
Reporting Standard ARS 723.0 ABS/RBA Margin Lending |
Reporting Standard ARS 730.0 ABS/RBA Statement of Financial Performance |
Reporting Standard ARS 730.1 ABS/RBA Fees Charged |
Reporting Standard ARS 731.1 International Banking Statistics - Locational Data |
Reporting Standard ARS 731.3A International Banking Statistics - Immediate and Ultimate Risk Exposures - Domestic Entity |
Reporting Standard ARS 731.3B International Banking Statistics - Immediate and Ultimate Risk Exposures - Foreign Entity |
Reporting Standard ARS 731.4 International Banking Statistics - Balance Sheet Items |
Reporting Standard ARS 741.0 ABS/RBA Business Finance |
Reporting Standard ARS 742.0 ABS/RBA Business Credit Stocks, Flows and Interest Rates |
Reporting Standard ARS 743.0 ABS/RBA Housing Finance |
Reporting Standard ARS 744.0 ABS/RBA Housing Credit Stocks, Flows and Interest Rates |
Reporting Standard ARS 745.0 ABS/RBA Personal Finance |
Reporting Standard ARS 746.0 ABS/RBA Personal Credit Stocks, Flows and Interest Rates |
Reporting Standard ARS 747.0 ABS/RBA Deposit Stocks, Flows and Interest Rates |
Reporting Standard ARS 748.0 ABS/RBA Wholesale Funding Stocks, Flows and Interest Rates |
Reporting Standard ARS 750.0 DAWR Agricultural Lending |
Reporting Standard ARS 760.0 Major Bank Levy Act 2017 |
Reporting Standard ARS 796.0 Points of Presence |
Reporting Standard ARS 910.0 Financial Claims Scheme |
Reporting Standard ARS 920.0 Australian Government Small and Medium Enterprise (SME) Guarantee Scheme Phase 1 |
Reporting Standard ARS 920.10 Australian Government Small and Medium Enterprise (SME) Recovery Loan Scheme |
Reporting Standard ARS 920.2 Australian Government Small and Medium Enterprise (SME) Guarantee Scheme Phase 2 |
Reporting Standard ARS 920.4 Australian Government Arts Sector Show Starter Loan (SSL) Guarantee Scheme |
Reporting Standard ARS 920.6 Australian Government Small and Medium Enterprise (SME) Recovery Loan Scheme - JobKeeper |
Reporting Standard ARS 920.8 Australian Government Small and Medium Enterprise (SME) Recovery Loan Scheme - Flood |
Reporting Standard ARS 923.2 Repayment Deferrals |
Reporting Standard GRS 001 Reporting Requirements |
Reporting Standard GRS 110.1 Prescribed Capital Amount |
Reporting Standard GRS 110.1_G Prescribed Capital Amount (Level 2 Insurance Group) |
Reporting Standard GRS 112.0 Determination of Capital Base |
Reporting Standard GRS 112.0_G Determination of Capital Base (Level 2 Insurance Group) |
Reporting Standard GRS 112.3 Related Party Exposures |
Reporting Standard GRS 112.3_G Related Party Exposures (Level 2 Insurance Group) |
Reporting Standard GRS 114.0 Asset Risk Charge |
Reporting Standard GRS 114.0_G Asset Risk Charge (Level 2 Insurance Group) |
Reporting Standard GRS 114.1 _G Assets by Counterparty Grade (Level 2 Insurance Group) |
Reporting Standard GRS 114.1 Assets by Counterparty Grade |
Reporting Standard GRS 114.2 Derivatives Activity |
Reporting Standard GRS 114.3 Off-balance Sheet Business |
Reporting Standard GRS 114.3_G Off-balance Sheet Business (Level 2 Insurance Group) |
Reporting Standard GRS 114.4 Details of Investment Assets |
Reporting Standard GRS 115.0 Outstanding Claims Liabilities - Insurance Risk Charge |
Reporting Standard GRS 115.0_G Outstanding Claims Liabilities - Insurance Risk Charge (Level 2 Insurance Group) |
Reporting Standard GRS 115.1 Premiums Liabilities - Insurance Risk Charge |
Reporting Standard GRS 115.1_G Premiums Liabilities - Insurance Risk Charge (Level 2 Insurance Group) |
Reporting Standard GRS 116.0 _G Insurance Concentration Risk Charge (Level 2 Insurance Group) |
Reporting Standard GRS 116.0 Insurance Concentration Risk Charge |
Reporting Standard GRS 116.1 Probable Maximum Loss for LMIs |
Reporting Standard GRS 117.0_G Asset Concentration Risk Charge (Level 2 Insurance Group) |
Reporting Standard GRS 118.0 _G Operational Risk Charge (Level 2 Insurance Group) |
Reporting Standard GRS 118.0 Operational Risk Charge |
Reporting Standard GRS 300.0_G Statement of Financial Position (Level 2 Insurance Group) |
Reporting Standard GRS 302.0_G Statement of Financial Position by Region (Level 2 Insurance Group) |
Reporting Standard GRS 310.0 Income Statement |
Reporting Standard GRS 310.0_G Income Statement (Level 2 Insurance Group) |
Reporting Standard GRS 310.1 Premium Revenue and Reinsurance Expense |
Reporting Standard GRS 310.2 Claims Expense and Reinsurance Recoveries |
Reporting Standard GRS 310.3 Details of Income and Expenses |
Reporting Standard GRS 400.0 Statement of Risk by Country |
Reporting Standard GRS 410.0 Movement in Outstanding Claims Liabilities |
Reporting Standard GRS 420.0 Premium Revenue by State and Territory of Australia |
Reporting Standard GRS 430.0 Claims Expense by State and Territory of Australia |
Reporting Standard GRS 440.0 Claims Development Table |
Reporting Standard GRS 460.0 Reinsurance Assets by Counterparty |
Reporting Standard GRS 460.0_G Reinsurance Assets by Counterparty (Level 2 Insurance Group) |
Reporting Standard GRS 460.1 Exposure Analysis by Reinsurance Counterparty |
Reporting Standard HRS 601.0 Statistical Data by State |
Reporting Standard HRS 602.0 Financial and Capital Data |
Reporting Standard HRS 603.0 Statistical Data on Prosthetic Benefits |
Reporting Standard HRS 604.0 Medical Specialty Block Grouping Information |
Reporting Standard HRS 605.0 Private Health Insurance Reform Data Collection |
Reporting Standard LRS 001 Reporting Requirements |
Reporting Standard LRS 110.1 Prescribed Capital Amount |
Reporting Standard LRS 112.0 Determination of Capital Base |
Reporting Standard LRS 112.3 Related Party Exposures |
Reporting Standard LRS 114.0 Asset Risk Charge |
Reporting Standard LRS 114.2 Derivatives Activity |
Reporting Standard LRS 114.3 Off-balance Sheet Business |
Reporting Standard LRS 115.0 Insurance Risk Charge |
Reporting Standard LRS 117.0 Asset Concentration Risk Charge |
Reporting Standard LRS 118.0 Operational Risk Charge |
Reporting Standard LRS 200.0 Capital Adequacy Supplementary Information |
Reporting Standard LRS 300.0 Statement of Financial Position |
Reporting Standard LRS 310.0 Income Statement |
Reporting Standard LRS 330.0 Summary of Revenue and Expenses |
Reporting Standard LRS 340.0 Retained Profits |
Reporting Standard LRS 400.0 c |
Reporting Standard LRS 420.0 Assets Backing Policy Liabilities |
Reporting Standard LRS 430.0 Sources of Profit |
Reporting Standard LRS 750.0 Claims and Disputes |
Reporting Standard RRS 710.0 ABS/RBA Audit Requirements for Registered Financial Corporations - EFS collection |
Reporting Standard SRS 101.0 Definitions for Superannuation Data Collections |
Reporting Standard SRS 160.0 Defined Benefit Matters |
Reporting Standard SRS 160.1 Defined Benefit Member Flows |
Reporting Standard SRS 161.0 Self-Insurance |
Reporting Standard SRS 250.0 Acquired Insurance |
Reporting Standard SRS 251.0 Insurance |
Reporting Standard SRS 320.0 Statement of Financial Position |
Reporting Standard SRS 320.1 Statement of Financial Position |
Reporting Standard SRS 330.0 Statement of Financial Performance |
Reporting Standard SRS 330.1 Statement of Financial Performance |
Reporting Standard SRS 330.2 Statement of Financial Performance |
Reporting Standard SRS 331.0 Services |
Reporting Standard SRS 332.0 Expenses |
Reporting Standard SRS 410.0 Accrued Default Amounts |
Reporting Standard SRS 520.0 Responsible Persons Information |
Reporting Standard SRS 530.0 Investments |
Reporting Standard SRS 531.0 Investment Flows |
Reporting Standard SRS 532.0 Investment Exposure Concentrations |
Reporting Standard SRS 533.0 Asset Allocation |
Reporting Standard SRS 534.0 Derivative Financial Instruments |
Reporting Standard SRS 535.0 Securities Lending |
Reporting Standard SRS 540.0 Fees |
Reporting Standard SRS 550.0 Asset Allocation |
Reporting Standard SRS 600.0 Profile and Structure (RSE Licensee) |
Reporting Standard SRS 601.0 Profile and Structure (RSE) |
Reporting Standard SRS 605.0 RSE Structure |
Reporting Standard SRS 606.0 RSE Profile |
Reporting Standard SRS 610.0 Membership Profile |
Reporting Standard SRS 610.1 Changes in Membership Profile |
Reporting Standard SRS 610.2 Membership Profile |
Reporting Standard SRS 611.0 Member Accounts |
Reporting Standard SRS 700.0 Product Dashboard |
Reporting Standard SRS 703.0 Fees Disclosed |
Reporting Standard SRS 705.0 Components of net return |
Reporting Standard SRS 705.1 Investment Performance and Objectives |
Reporting Standard SRS 706.0 Fees and Costs |
Reporting Standard SRS 710.0 Conditions of Release |
Reporting Standard SRS 720.0 ABS Statement of Financial Position |
Reporting Standard SRS 721.0 ABS Securities Subject to Repurchase and Resale and Stock Lending and Borrowing |
Reporting Standard SRS 722.0 ABS Derivatives Schedule |
Reporting Standard SRS 800.0 Financial Statements |
Reporting Standard SRS 801.0 Investments and Investment Flows |
Reporting Standard SRS 802.0 Fund Profile |
RF 310 - Reporting Guidance on the Number of Risks Written |
RPG 701.0 ABS/RBA Reporting Concepts for the EFS Collection |
RPG 702.0 ABS/RBA Data Quality for the EFS Collection |
SPG 114 - Operational Risk Financial Requirement |
SPG 160 - Defined Benefit Matters |
SPG 220 - Risk Management |
SPG 223 - Fraud Risk Management |
SPG 227 - Successor Fund Transfers and Wind-ups |
SPG 231 - Outsourcing |
SPG 232 - Business Continuity Management |
SPG 250 - Insurance in Superannuation |
SPG 270 - Contribution and Benefit Accrual Standards |
SPG 280 - Payment Standards |
SPG 310 - Audit and Related Matters |
SPG 510 - Governance |
SPG 511 - Remuneration |
SPG 515 - Strategic and Business Planning |
SPG 516 - Business Performance Review |
SPG 520 - Fit and Proper |
SPG 521 - Conflicts of Interest |
SPG 530 - Investment Governance |
SPG 531 - Valuation |