|
(PresentValueRiskFreeDiscountRate) |
This dimension identifies the measurement approach used to calculate this amount. The value reported represents the present value using the risk-free discount rate, as determined in accordance with relevant prudential standards.
|
|
(AfterReportingPeriod) |
This dimension categorises the reported data according to the time period within which it is expected to be effective. The reported information is effective after the current reporting period.
|
|
|
This dimension categorises reported data according to predefined product groups.
|
|
(RDPlus12M) |
This dimension is used to report information based on an offset period relative to the reporting date. The date(s) relating to the reported information is/are exactly 12 months after the date(s) of the reporting period. For example, where the reporting date is 30 June XXX1, the information reported is as at 30 June XXX2. Where the reporting period is 1 January XXX1 to 30 June XXX1, the information reported relates to the period 1 January XXX1 to 30 June XXX2.
|