Label: | Liabilities Exposures Value Of Funds For New Deposits Weighted Average Percent |
TREF ID: | DE15684 |
Data Type: | xbrli:pureItemType |
Period Type: | instant |
Business Description & Guidance: |
This is the weighted sum of individual values of funds for new deposits, where the weights used are the corresponding balances expressed as a share of the total balance. The value of funds is the institution's internal funds transfer pricing rate for a liability. The price is established by the institution's treasury area and 'credited' to the relevant business area. |
Usage
Form | Labels | |
Label:
|
Weighted average value of funds |