| Attribute: | R13779 |
|---|---|
| Concept: | |
| Label: | Investment property |
| Concept Guidance: |
This is the value, as at the relevant date, of holdings of property acquired or held which is available for sale, excluding owner-occupied property. Report the value after deducting accumulated depreciation. Investment property should be consistent with the classification and measurement basis used in the relevant accounting standard. |
| Form-Specifc Guidance: |
Investment income receivables must be included with the asset that generated the income and then subject to the appropriate stress tests. |
Dimensions
| Dimension | Member | Description |
| (Net) |
This dimension identifies whether or not the item reported is net of components already deducted from capital base in accordance with relevant prudential standards. |
|
| (Net) |
This dimension identifies whether or not the item reported is net of assets in excess of the asset concentration limits, as determined in accordance with relevant prudential standards. |
|
| (NotSupporting) |
This dimension categorises the reported information by assets supporting investment linked liabilities, where the value of the policy liabilities moves in harmony with the value of the supporting assets. |
|
| (LookThrough) |
This dimension categorises information reported based on the method which determines the details in which an investment is reported. I.e. Look-through or Non-look-through. |
|
| (NotHeldForTrading) |
The intent of the transaction being entered into by the reporting entity. |
