Attribute: | BSL22423 |
---|---|
Concept: | |
Label: | Hybrid securities treated as liabilities - market value |
Concept Guidance: |
This is the value of hybrid securities on issue by the reporting entity treated as liabilities under accounting standards. |
Form-Specifc Guidance: |
Exclude: non-negotiable certificate of deposits; and hybrid securities treated as equity under accounting standards. |
Dimensions
Dimension | Member | Description |
(MarketValue) |
This dimension identifies the measurement approach used to calculate this amount. |
|
(LTE1Y) |
This dimension categorises the reported data according to the residual term to maturity. |
|
(FX) |
This dimension categorises the reported data according to the currency in which the transactions were originally denominated. |