Attribute: | CS23876 |
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Concept: | |
Label: | Capital instrument |
Concept Guidance: |
This is the value, as at the relevant date, of capital instruments issued by the reporting entity. This item is calculated for capital adequacy purposes and is to be determined in accordance with relevant Prudential Standards. |
Dimensions
Dimension | Member | Description |
(Net) |
This dimension identifies the accounting valuation scenario, in relation to amortisation, under which the reported value was calculated. |
|
(Tier2) |
This dimension is used to classify reported information by the category of capital, as determined in accordance with relevant Prudential Standards. |