PET - Plain English Taxonomy

Attribute: BSAO22228
Concept:
Label: Other non-investment assets
Concept Guidance:
This is a balancing item in the list in which it is being used.This is the value, as at the relevant date,of any other non investment asset which cannot be classified elsewhere within the list of assets backing policy liabilities. Net market value, or fair value, is the amount which could be expected to be received from the disposal of an asset in an orderly market; or in an arm's length transaction between knowledgeable, willing parties; after deducting costs expected to be incurred in realising the proceeds of such a disposal. 
Dimensions
Dimension Member Description
This dimension is used to categorise information according to business activity.
(Hedged)
The purpose for which the transaction was made (i.e. for hedging purposes or profit-making purposes)
Report only where the purpose of the transaction is to offset the risk of changes in the fair value or cash flows of another contract (i.e. this is a hedging transaction).
(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.
This information reported is on a look through basis. This basis requires the reporting party to report information on investments held through external individually managed mandates/portfolios or discretely managed portfolios as if they were managed by itself .
This dimension is used to categorise reported information according to the jurisdictional reach to which that information relates.
This dimension categorises reported data according to predefined product groups.
This is the relevant product groups that have been defined at a sub-categorical level compared to the APRA product groups within the relevant prudential standards.