PET - Plain English Taxonomy

Label: Equity Net Assets Amount
TREF ID: DE440
Data Type: xbrli:monetaryItemType
Period Type: instant
Balance Type: debit
Business Description & Guidance:
This is the value, as at the relevant date, for the residual interest in the assets of the entity after deducting all its liabilities. Equity can be sub classified into categories such as reserves, retained earnings, etc. where appropriate for the entity, in accordance with the relevant Australian Accounting Standards. 

Usage
Form Labels
Label:
Net Assets
Label:
Net tangible assets
Label:
Net assets per general purpose accounts - balance sheet
Label:
Net assets per general purpose accounts - balance sheet
Label:
Net Assets
Label:
Net assets Net ORFR Reserve
Label:
Net assets Net ORFR Reserve
Label:
Net Assets available for members' benefits
Label:
Guidance:
Net assets available to pay benefits
All items on SRF 720.0 are required for Australia's National Accounts, which is based on the international standard, the System of National Accounts 2008 (2008 SNA) including the definition of market price. For item 24, report net assets available to pay benefits in respect of a PST in column 3 'defined contribution members' benefits'. This represents the beneficial rights of unit holders in the trust as a result of investment in the RSE.
Label:
Net Assets available for members' benefits