Label: |
Weighted average tenor for debt securities issued during the reporting period |
Concept Guidance: |
This is the weighted sum of individual tenors, as at the end of the reporting period, for new debt securities issued during the reporting period, where tenor is the contractual term to maturity at issuance. The weights used are the corresponding balances expressed as a share of the total balance.
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Form-Specifc Guidance: |
To calculate and report this item, express each tenor as the number of days from issuance to maturity/365 days.
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