Label: |
Contingent Funding Agreements |
Concept Guidance: |
This is the value, as at the relevant date, for the contingent funding obligation that could generate outflows during the remaining period to maturity.
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Form-Specifc Guidance: |
Report in one category only. No double counting .For multi-option facilities, report the amount corresponding to the facility used by product (either or both Item Trade finance related obligations and Item Guarantees and letters of credit other than trade finance related obligations) and remaining undrawn amount under Item Credit/liquidity facilities.
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