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Dimension



Reference date or period

Specifies the date or the period to which the data is referred
Reference period - Defines a relative time point (reference date or period) to which the data refers.


Members of this dimension

x1 - Complete accounting year T (Reports:C 16.00.a; C 16.00.b; )
x2 - Complete accounting year T-1 (Reports:C 16.00.a; C 16.00.b; )
x3 - Complete accounting year T-2 (Reports:C 16.00.a; C 16.00.b; )
x4 - End accounting year T-1 (Reports:C 16.00.a; F 12.00; F 12.01.a; F 12.01.b; F 43.00; F 44.02; F 46.00; )
x5 - End accounting year T (Reports:C 16.00.a; P 01.01; P 01.02; P 01.03; P 02.01; P 02.02; P 02.03; P 02.04; P 02.05; P 02.06; P 02.07; P 02.08; )
x7 - End accounting year T-2 (Reports:C 16.00.a; )
x9 - Month-1-value (Reports:)
x10 - Month-2-value (Reports:)
x11 - + 6 months (Reports:F 35.00.a; P 01.01; P 01.02; P 01.03; P 02.01; P 02.02; P 02.03; P 02.06; P 02.07; P 02.08; )
x12 - + 12 months (Reports:F 35.00.a; P 01.01; P 01.02; P 01.03; P 02.01; P 02.02; P 02.03; P 02.04; P 02.05; P 02.06; P 02.07; P 02.08; )
x13 - + 2 years (Reports:F 35.00.a; P 01.01; P 01.02; P 01.03; P 02.01; P 02.02; P 02.03; P 02.06; P 02.07; P 02.08; )
x14 - + 5 years (Reports:F 35.00.a; )
x15 - + 10 years (Reports:F 35.00.a; )
x16 - + 3 years (Reports:P 01.01; P 01.02; P 01.03; P 02.01; P 02.02; P 02.03; P 02.06; P 02.07; P 02.08; )
x17 - Day 1 of the month (Reports:C 70.00.a; C 70.00.w; )
x18 - Day 2 of the month (Reports:C 70.00.a; C 70.00.w; )
x19 - Day 3 of the month (Reports:C 70.00.a; C 70.00.w; )
x20 - Day 4 of the month (Reports:C 70.00.a; C 70.00.w; )
x21 - Day 5 of the month (Reports:C 70.00.a; C 70.00.w; )
x22 - Day 6 of the month (Reports:C 70.00.a; C 70.00.w; )
x23 - Day 7 of the month (Reports:C 70.00.a; C 70.00.w; )
x24 - Day 8 of the month (Reports:C 70.00.a; C 70.00.w; )
x25 - Day 9 of the month (Reports:C 70.00.a; C 70.00.w; )
x26 - Day 10 of the month (Reports:C 70.00.a; C 70.00.w; )
x27 - Day 11 of the month (Reports:C 70.00.a; C 70.00.w; )
x28 - Day 12 of the month (Reports:C 70.00.a; C 70.00.w; )
x29 - Day 13 of the month (Reports:C 70.00.a; C 70.00.w; )
x30 - Day 14 of the month (Reports:C 70.00.a; C 70.00.w; )
x31 - Day 15 of the month (Reports:C 70.00.a; C 70.00.w; )
x32 - Day 16 of the month (Reports:C 70.00.a; C 70.00.w; )
x33 - Day 17 of the month (Reports:C 70.00.a; C 70.00.w; )
x34 - Day 18 of the month (Reports:C 70.00.a; C 70.00.w; )
x35 - Day 19 of the month (Reports:C 70.00.a; C 70.00.w; )
x36 - Day 20 of the month (Reports:C 70.00.a; C 70.00.w; )
x37 - Day 21 of the month (Reports:C 70.00.a; C 70.00.w; )
x38 - Day 22 of the month (Reports:C 70.00.a; C 70.00.w; )
x39 - Day 23 of the month (Reports:C 70.00.a; C 70.00.w; )
x40 - Day 24 of the month (Reports:C 70.00.a; C 70.00.w; )
x41 - Day 25 of the month (Reports:C 70.00.a; C 70.00.w; )
x42 - Day 26 of the month (Reports:C 70.00.a; C 70.00.w; )
x43 - Day 27 of the month (Reports:C 70.00.a; C 70.00.w; )
x44 - Day 28 of the month (Reports:C 70.00.a; C 70.00.w; )
x45 - Day 29 of the month (Reports:C 70.00.a; C 70.00.w; )
x46 - Day 30 of the month (Reports:C 70.00.a; C 70.00.w; )
x47 - Day 31 of the month (Reports:C 70.00.a; C 70.00.w; )
x48 - Latest year (Reports:C 103.00; C 105.01; )
x49 - Past 5 years (Reports:C 103.00; )
x50 - Reference period for the calibration of PD models (Reports:C 105.01; )
x51 - Reference period for the calibration of LGD models (Reports:C 105.01; )
x56 - At the date of issuance (Reports:T 04.00; )





Reports using this dimension


C 103.00Details on exposures in High Default Portfolios
C 105.01Definition of internal models
C 16.00.aOPR - Operational risk - Excluding AMA
C 16.00.bOPR - Operational risk - AMA
C 70.00.aRoll-over of funding. Total
C 70.00.wRoll-over of funding. Significant currencies
F 12.00Movements in allowances for credit losses and impairment of equity instruments
F 12.01.aMovements in allowances and provisions for credit losses (a)
F 12.01.bMovements in allowances and provisions for credit losses (b)
F 35.00.aAE-CB1 - Asset encumbrance: Covered bonds issuance (a)
F 43.00Provisions
F 44.02Movements in defined benefit plans and employee benefits
F 46.00Statement of changes in equity
P 01.01Assets
P 01.02Liabilities
P 01.03Forecast of Liquidity Ratios
P 02.01Insured and uninsured deposits and uninsured deposit-like financial instruments
P 02.02Public sector sources of funding
P 02.03Innovative funding structures
P 02.04Pricing: Loan Assets
P 02.05Pricing: Deposit Liabilities
P 02.06Structural currency mismatches
P 02.07Loan Assets Acquisitions, Run-Offs and Disposals Plans
P 02.08Deposit Liabilities Acquisition and Disposal Plans
T 04.00Securities (including CET1, AT1 & Tier 2 instruments; excluding intragroup)