Translation of "securities account" to Spanish language:
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| c ) the securities account for the purposes of Article 5 ( 2 ) and ( 3 ) is the securities account to which the securities are credited immediately before the disposition . | c ) the securities account for the purposes of Article 5 ( 2 ) and ( 3 ) is the securities account to which the securities are credited immediately before the disposition . |
| Article 16 Pre Convention account agreements and securities accounts | Article 16 Pre Convention account agreements and securities accounts |
| Safe custody account a securities account managed by the central bank on which creditinstitutions can place securities deemed suitable to back central bank operations . | Sistema de liquidación bruta sistema de transferencia en el que las órdenes de liquidación de fondos o la transferencia de valores se procesan una por una . |
| References in this Convention to a securities account include a securities account opened before this Convention entered into force in accordance with Article 19 ( 1 ) . | References in this Convention to a securities account include a securities account opened before this Convention entered into force in accordance with Article 19 ( 1 ) . |
| References in this Convention to a disposition of securities held with an intermediary include a ) a disposition of a securities account | References in this Convention to a disposition of securities held with an intermediary include a ) a disposition of a securities account |
| Counterparties without a safe custody account with a national central bank or a securities settlement account with an SSS fulfilling the ECB 's minimum standards may settle the transactions of underlying assets through the securities settlement account or the safe custody account of a correspondent credit institution . | Las entidades de contrapartida que no tengan una cuenta de custodia en los bancos centrales nacionales ni una cuenta de valores en un SLV que cumpla los requisitos mínimos del BCE podrán liquidar las transacciones de activos de garantía a través de la cuenta de liquidación de valores o de la cuenta de custodia de una entidad de crédito corresponsal . |
| 4 ) For repos , securities must be delivered to the Bank of England 's account 83371 , and for pledges , to account 83372 . | 4 ) En el caso de las cesiones temporales , los valores han de depositarse en la cuenta 83371 del Bank of England , y en el caso de las pignoraciones , en la cuenta 83372 . |
| While Article 2 of the proposed Directive defines the term securities , further elaboration is needed to obtain a common definition of securities that takes into account debt and equity securities . | El BCE celebra la utilización del procedimiento de comitología en la Directiva propuesta , segœn la recomendación del ComitØ de Sabios . |
| Safe custody account a securities account managed by the central bank on which credit institutions can place securities deemed suitable to back central bank operations . Securities settlement system ( SSS ) a system which permits the holding and transfer of securities or other financial assets , either free of payment ( FOP ) or against payment ( delivery versus payment ) . | Sistema interno de evaluación del crédito ( ICAS ) una de las fuentes de evaluación de la calidad crediticia contempladas en el sistema de evaluación del crédito del Eurosistema ( ECAF ) , que está integrada actualmente por los cuatro sistemas de evaluación gestionados por el Deutsche Bundesbank , el Banco de España , la Banque de France y el Oesterreichische Nationalbank . |
| bonds or comparable securities , taking into account measured on the basis of long term government | bonds or comparable securities , taking into account measured on the basis of long term government |
| This means that each NCB has a securities account in its securities administration for each of the other NCBs ( and for the European Central Bank ) . | Coeficiente de reservas porcentaje definido por el banco central para cada categoría de pasivos computables incluida en la base de reservas . |
| MFIs are institutions such as banks that receive deposits or issue very short term securities and extend credit or invest in securities on their own account . | Las IFM son entidades , tales como los bancos , que reciben depósitos o emiten valores a muy corto plazo y conceden crédito o invierten en valores por cuenta propia . |
| This means that each national central bank has a securities account in its securities administration for each of the other national central banks and the ECB . | Coeficiente de reservas porcentaje definido por el banco central para cada categoría de pasivos computables incluidos en la base de reservas . |
| Third parties , such as an account holder 's creditors seeking to attach securities to protect or satisfy a claim , might have competing rights in securities or , at least , a legitimate interest in ascertaining where securities are located . | Los terceros , como los acreedores del titular de la cuenta que traten de obtener el embargo de los valores para proteger o satisfacer sus créditos , pueden tener derechos contrapuestos sobre los valores o , al menos , un interés legítimo en averiguar dónde se encuentran estos . |
| Each NCB will therefore need to open an account for the administration of securities for every other NCB . | Por ello , cada BCN deberá abrir una cuenta a cada uno de los otros bancos centrales nacionales para la administración de los valores . |
| In relation to a disposition by an account holder of securities held with a particular intermediary in favour of that intermediary , whether or not that intermediary maintains a securities account on its own records for which it is the account holder , for the purposes of this Convention a ) that intermediary is the relevant intermediary | In relation to a disposition by an account holder of securities held with a particular intermediary in favour of that intermediary , whether or not that intermediary maintains a securities account on its own records for which it is the account holder , for the purposes of this Convention a ) that intermediary is the relevant intermediary |
| Once the home central bank has been informed by the correspondent central bank that the securities have been received , it will add these securities to the pool account of the counterparty . | Una vez que el banco central corresponsal informa al banco central local de que se han recibido los valores , éste los añadirá a la cuenta del fondo común de la entidad de contrapartida . |
| A number of existing directives also contain provisions to be used to determine the applicable law governing a securities account . | Varias Directivas vigentes de la UE contienen también disposiciones que deben emplearse para determinar la legislación aplicable que rige una cuenta de valores . |
| This Convention determines the law applicable to the following issues in respect of securities held with an intermediary a ) the legal nature and effects against the intermediary and third parties of the rights resulting from a credit of securities to a securities account | This Convention determines the law applicable to the following issues in respect of securities held with an intermediary a ) the legal nature and effects against the intermediary and third parties of the rights resulting from a credit of securities to a securities account |
| Securities other than shares Securities other than shares Securities other than shares Securities other than shares Securities other than shares MFIs MFIs | Valores distintos de acciones Valores distintos de acciones Valores distintos de acciones Valores distintos de acciones Valores distintos de acciones IFM IFM |
| Securities other than shares Securities other than shares Securities other than shares Securities other than shares Securities other than shares MFIs MFIs | 6 7 11 Valores distintos de acciones Valores distintos de acciones Países de la UE ( Estados miembros no participantes ) x y z Valores distintos de acciones |
| In the CCBM , NCBs act as custodians for one another . This means that each NCB has a securities account in its securities administration for each of the other NCBs and for the ECB . | En el MCBC , los BCN actúan como custodios unos de otros , lo que supone que cada BCN tiene una cuenta de valores en su sistema de registro de valores para cada uno de los otros BCN ( y para el BCE ) . |
| c ) a lien by operation of law in favour of the account holder 's intermediary in respect of any claim arising in connection with the maintenance and operation of a securities account . | c ) a lien by operation of law in favour of the account holder 's intermediary in respect of any claim arising in connection with the maintenance and operation of a securities account . |
| Realised gains and losses arising from the sale of foreign exchange , gold and securities are taken to the profit and loss account . | Las ganancias y las pérdidas realizadas procedentes de la venta de divisas , oro y valores se registran en la Cuenta de pérdidas y ganancias . |
| Securities... | Valores Bursátiles... |
| Securities ( other than shares ) Securities ( other than shares ) | Valores distintos de acciones Valores distintos de acciones Valores distintos de acciones |
| Securities other than shares Securities other than shares | Resto del mundo ( excluida la UE ) Valores distintos de acciones |
| Securities other than shares Securities other than shares | Valores distintos de acciones Valores distintos de acciones |
| Securities other than shares Securities other than shares | Residentes |
| or b ) is identified by an account number , bank code , or other specific means of identification as maintaining securities accounts in that State . | or b ) is identified by an account number , bank code , or other specific means of identification as maintaining securities accounts in that State . |
| Interest rates shall be measured on the basis of long term government bonds or comparable securities , taking into account differences in national definitions . | Los tipos de interés se medirán con referencia a los bonos del Estado a largo plazo u otros valores comparables , teniendo en cuenta las diferencias en las definiciones nacionales . |
| Interest rates shall be measured on the basis of long term government bonds or comparable securities , taking into account differences in national definitions . | Los tipos de interés se medirán con referencia a los bonos del Estado a largo plazo u otros valores comparables , teniendo en cuenta las diferencias en las definiciones nacionales . |
| Interest rates shall be measured on the basis of long term government bonds or comparable securities , taking into account differences in national definitions . | Los tipos de interés se medirán con referencia a los bonos del Estado a largo plazo u otros valores comparables , teniendo en cuenta las diferencias en las definiciones nacionales . |
| Technical implementing measures for the rules laid down in this Directive may be necessary to take account of new developments on securities markets . | Las medidas técnicas de aplicación de las normas fijadas en la presente Directiva pueden ser necesarias para recoger los nuevos progresos de los mercados de valores . |
| Interest rates shall be measured on the basis of long term government bonds or comparable securities, taking into account differences in national definitions. | Los tipos de interés se medirán con referencia a los bonos del Estado a largo plazo u otros valores comparables, teniendo en cuenta las diferencias en las definiciones nacionales. |
| ) The euro area portfolio investment account includes ( i ) equity securities and ( ii ) debt securities in the form of bonds and notes and money market instruments , unless they are categorised either as direct investment or as reserve assets . | Inversión de cartera ( véase también la sección 3.8 del Libro de BP ) La cuenta de inversión de cartera de la zona del euro incluye i ) acciones y otras participaciones en el capital y ii ) valores distintos de acciones en forma de bonos y obligaciones e instrumentos del mercado monetario , a menos que correspondan a las categorías de inversión directa o activos de reserva . |
| e ) the duties , if any , of an intermediary to a person other than the account holder who asserts in competition with the account holder or another person an interest in securities held with that intermediary | e ) the duties , if any , of an intermediary to a person other than the account holder who asserts in competition with the account holder or another person an interest in securities held with that intermediary |
| Securities held for monetary policy purposes Other securities 8 . | 8.2 . Depósitos y otros pasivos Pasivos derivados de la facilidad de crédito pre vista en el MTC II |
| Securities other than shares Securities other than shares DKK | DKK Valores distintos de acciones Instituciones distintas de las IFM Valores distintos de acciones |
| JPY Securities other than shares Securities other than shares | Instituciones distintas de las IFM JPY |
| Securities other than shares NonMFIs Securities other than shares | Otros Estados miembros participantes Instituciones distintas de las IFM Valores distintos de acciones Valores distintos de acciones |
| Securities other than shares Banks Securities other than shares | Valores distintos de acciones Bancos Valores distintos de acciones |
| Category IV Asset backed securities instruments Credit institution securities | Categoría IV Bonos de titulización |
| The way in which value changes are recognised in the profit and loss account depends on the purpose for which the securities are held . | La forma en que se reconocen los cambios del valor en la cuenta de pérdidas y ganancias depende de la finalidad para la que se tienen los valores . |
| TARGET2 Securities | TARGET2 Securities |
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