Attribute: | CS26030 |
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Concept: | |
Label: | Value of securitised assets in pool |
Concept Guidance: |
This is the outstanding value (plus accrued interest) all of the securitised assets in a pool that have been transferred into a securitisation vehicle in accordance with Prudential Standard APS 120 Securitisation. |
Form-Specifc Guidance: |
Do not report any self-securitisation structures or other securitisation arrangements with overseas central banks. |
Dimensions
Dimension | Member | Description |
(MeetsOperationalRequirementRegulatoryCapitalRelief) |
This dimension categorises the reported data according to the securitisation prudential treatment types. |