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Dimension



Accounting portfolio

Accounting portfolios shall mean financial instruments aggregated by valuation rules (e.g. "Available-for-sale financial assets"). Accounting portfolios only comprise financial assets and financial liabilities.
Portfolio - Defined the portfolios reported. It comprises both accounting portfolios (e.g. Available-for-sale) and prudential portfolios (e.g. trading book).


Members of this dimension

x1 - Accounting portfolios for debt instruments subject to impairment (Reports:F 07.01; F 07.02; F 12.00; F 12.01.a; )
x2 - Accounting portfolios for equity instruments subject to impairment (Reports:)
x4 - Accounting portfolios for financial assets subject to impairment (Reports:C 33.00.a; F 02.00; F 06.01; F 07.02; F 12.00; F 20.03; F 20.04; F 20.07.1; F 31.01; F 31.02; P 04.01; P 04.02; )
x5 - Accounting portfolios for trading financial instruments (Reports:F 02.00; F 10.00; F 16.01; F 16.03; F 16.04; F 20.03; F 20.04; P 04.01; T 20.04.a; T 20.04.w; Z 07.01.c; )
x6 - Accounting portfolios for financial instruments not measured at fair value through profit or loss (Reports:F 02.00; F 16.02; F 20.03; F 31.02; P 04.01; )
x7 - Available-for-sale financial assets (Reports:)
x8 - Available-for-sale financial assets. At cost (Reports:)
x9 - Available-for-sale financial assets. At fair value (Reports:)
x12 - Cash and cash balances at central banks and other demand deposits (Reports:F 01.01; F 02.00; F 12.00; F 12.01.a; F 17.01; F 18.00.a; F 18.00.b; F 18.00.c; F 18.00.d; F 19.00.a; F 19.00.b; F 19.00.c; )
x13 - Classified as held for sale (Reports:F 01.01; F 01.02; F 02.00; F 03.00; F 13.03.1.b; F 17.01; F 17.03; F 18.00.a; F 18.00.b; F 18.00.c; F 18.00.d; F 18.01; )
x14 - Financial assets designated at fair value through profit or loss (Reports:C 32.01; C 33.00.a; F 01.01; F 02.00; F 04.02.2; F 11.03; F 14.00; F 15.00.a; F 16.05; F 17.01; F 20.01; F 41.02; )
x15 - Financial assets designated at fair value through profit or loss, Financial liabilities designated at fair value through profit or loss (Reports:F 02.00; F 16.05; F 20.03; F 41.02; F 45.01; P 04.01; )
x16 - Financial assets designated at fair value through profit or loss. Accounting mismatch, Financial liabilities designated at fair value through profit or loss. Accounting mismatch (Reports:)
x17 - Financial assets designated at fair value through profit or loss. At cost (Reports:)
x18 - Financial assets designated at fair value through profit or loss. Evaluation on a fair value basis, Financial liabilities designated at fair value through profit or loss. Evaluation on a fair value basis (Reports:)
x19 - Financial assets designated at fair value through profit or loss. Hybrid contracts, Financial liabilities designated at fair value through profit or loss. Hybrid contracts (Reports:)
x20 - Financial assets held for trading (Reports:C 32.01; C 33.00.a; F 01.01; F 02.00; F 04.01; F 11.03; F 14.00; F 15.00.a; F 17.01; F 20.01; )
x22 - Financial assets held for trading. At cost (Reports:)
x23 - Financial assets held for trading. At cost, Financial assets designated at fair value through profit or loss. At cost, Available-for-sale financial assets. At cost (Reports:)
x24 - Accounting portfolios for trading financial instruments. Economic hedges (Reports:)
x25 - Financial liabilities designated at fair value through profit or loss (Reports:C 32.01; F 01.02; F 02.00; F 03.00; F 08.01.a; F 08.01.b; F 08.02; F 11.03; F 14.00; F 16.05; F 17.03; F 20.02; )
x26 - Financial liabilities held for trading (Reports:C 32.01; F 01.02; F 02.00; F 08.01.a; F 08.01.b; F 11.03; F 14.00; F 17.03; F 20.02; )
x27 - Financial liabilities measured at amortised cost (Reports:F 01.02; F 02.00; F 08.01.a; F 08.01.b; F 08.02; F 11.03; F 11.04; F 17.03; F 20.02; F 41.01; )
x28 - Hedge accounting (Reports:C 32.01; F 01.01; F 01.02; F 02.00; F 03.00; F 08.01.a; F 08.01.b; F 11.01; F 11.02; F 14.00; F 16.01; F 16.06; )
x29 - Hedge accounting. Cash flow hedges (Reports:)
x30 - Hedge accounting. Fair value hedges (Reports:)
x31 - Hedge accounting. Hedges of net investments in foreign operations (Reports:)
x32 - Hedge accounting. Interest rate risk (Reports:)
x33 - Hedge accounting. Portfolio Cash flow hedges of interest rate risk (Reports:)
x34 - Hedge accounting. Portfolio Fair value hedges of interest rate risk (Reports:)
x35 - Held-to-maturity investments (Reports:)
x37 - Investment property (Reports:F 01.01; F 02.00; F 16.07.a; F 16.07.b; F 21.00; F 42.00; F 45.02; F 45.03; )
x38 - Investment property. Cost model (Reports:F 02.00; F 21.00; F 42.00; )
x39 - Investment property. Fair value model (Reports:F 21.00; F 42.00; )
x40 - Investment property. Fair value model, Property, plan and equipment. Fair value model (Reports:F 45.03; )
x41 - Investments in subsidiaries, joint ventures and associates (Reports:F 01.01; F 02.00; F 03.00; F 16.07.a; F 16.07.b; F 17.01; F 20.01; F 20.03; )
x42 - Loans and receivables (Reports:)
x43 - Measurement for Intangible assets. Other than Goodwill. Cost model (Reports:F 02.00; F 16.07.a; F 16.07.b; F 21.00; F 42.00; )
x44 - Measurement for Intangible assets. Other than Goodwill. Revaluation model (Reports:F 21.00; F 42.00; )
x46 - Property, plant and equipment (Reports:F 01.01; F 02.00; F 13.02.1.a; F 13.03.1.a; F 16.07.a; F 16.07.b; F 21.00; F 25.03.a; F 25.03.b; F 42.00; F 45.02; F 45.03; )
x47 - Property, plant and equipment. Cost model (Reports:F 02.00; F 21.00; F 42.00; )
x49 - Property, plant and equipment. Revaluation model (Reports:F 21.00; F 42.00; )
x61 - Accounting portfolios for non-trading financial instruments (Reports:F 02.00; F 16.05; F 20.03; P 04.01; )
x62 - Non-trading non-derivative financial assets measured at a cost-based method (Reports:C 33.00.a; F 01.01; F 04.09; F 15.00.a; F 17.01; F 20.01; F 41.01; )
x63 - Non-trading non-derivative financial assets measured at fair value through profit or loss (Reports:C 32.01; C 33.00.a; F 01.01; F 04.07; F 11.03.1; F 14.00; F 15.00.a; F 17.01; F 20.01; )
x64 - Non-trading non-derivative financial assets measured at fair value to equity (Reports:C 32.01; C 33.00.a; F 01.01; F 11.03.1; F 14.00; F 15.00.a; F 17.01; F 20.01; )
x65 - Non-trading non-derivative financial liabilities measured at a cost-based method (Reports:F 01.02; F 08.01.a; F 08.01.b; F 08.02; F 11.03.1; F 17.03; F 20.02; F 41.01; )
x66 - Trading financial assets (Reports:C 32.01; C 33.00.a; F 01.01; F 04.06; F 10.00; F 11.03.1; F 14.00; F 15.00.a; F 17.01; F 20.01; )
x67 - Trading financial assets, Trading financial liabilities (Reports:F 02.00; F 16.03; F 16.04; F 20.03; P 04.01; )
x68 - Trading financial liabilities (Reports:C 32.01; F 01.02; F 08.01.a; F 08.01.b; F 10.00; F 11.03.1; F 14.00; F 17.03; F 20.02; )
x69 - Other non-trading non-derivative financial assets (Reports:C 33.00.a; F 01.01; F 04.10; F 11.03.1; F 15.00.a; F 17.01; F 20.01; F 41.01; )
x70 - Accounting portfolios for financial assets (Reports:C 33.00.a; )
x73 - Accounting portfolios for financial assets other than classified as held for sale (Reports:F 04.05; F 20.04; F 30.01; F 30.02; F 31.01; P 01.01; P 02.04; P 02.06; P 02.07; )
x74 - Accounting portfolios for financial liabilities other than classified as held for sale (Reports:F 20.06; F 30.01; F 30.02; F 31.01; P 01.02; P 02.01; P 02.02; P 02.05; P 02.06; P 02.08; P 05.00; )
x75 - Financial assets at amortised cost (Reports:C 33.00.a; F 01.01; F 02.00; F 04.04.1; F 11.04; F 15.00.a; F 17.01; F 20.01; F 41.01; )
x76 - Financial assets at fair value other than Held for trading and Trading Financial Assets (Reports:F 06.01; F 20.04; F 20.07.1; )
x77 - Financial assets other than Held for trading and Trading Financial Assets (Reports:F 05.01; F 06.01; F 13.01; F 18.00.a; F 18.00.b; F 18.00.c; F 18.00.d; F 18.01; F 19.00.a; F 19.00.b; F 19.00.c; F 19.00.e; )
x79 - Other than classified as held for sale (Reports:C 32.01; F 01.01; F 01.02; F 02.00; F 16.07.a; F 16.07.b; F 17.01; F 17.03; F 20.01; F 20.02; F 20.03; F 21.00; )
x80 - Other than classified as held for sale and from investments in subsidiaries, joint ventures and associates (Reports:)
x81 - Other than classified as held for sale and investment property (Reports:)
x500 - Non-trading financial assets mandatorily at fair value through profit or loss (Reports:C 32.01; C 33.00.a; F 01.01; F 02.00; F 04.02.1; F 11.03; F 14.00; F 15.00.a; F 16.04.1; F 17.01; F 20.01; F 20.03; )
x750 - Financial assets at fair value through other comprehensive income (Reports:C 05.01; C 32.01; C 33.00.a; F 01.01; F 02.00; F 03.00; F 04.03.1; F 11.04; F 14.00; F 15.00.a; F 17.01; F 18.00.c; )
x751 - Investments in subsidiaries, joint ventures and associates. Equity method (Reports:F 02.00; P 04.01; )
x752 - Investments in subsidiaries, joint ventures and associates. Other than equity method (Reports:F 02.00; )
x83 - Financial assets at amortised cost. Purchased credit-impaired financial assets (Reports:)
x84 - Financial assets at fair value through other comprehensive income. Purchased credit-impaired financial assets (Reports:)
x85 - Non-trading non-derivative financial assets measured at a cost-based method. LOCOM (Reports:F 04.09; )
x86 - Other non-trading non-derivative financial assets. LOCOM (Reports:F 04.10; )
x87 - Accounting portfolios for trading financial instruments. Cost based method or LOCOM (Reports:F 10.00; )
x89 - Hedge accounting. At cost based method or LOCOM (Reports:F 11.02; )
x684 - Non-trading non-derivative financial assets measured at fair value to equity. Subject to impairment (Reports:F 04.08; )
x685 - Non-trading non-derivative financial assets measured at fair value to equity. Not subject to impairment (Reports:F 04.08; )
x686 - Accounting portfolios for financial assets measured at cost based methods (Reports:F 18.00.a; F 18.00.b; F 18.00.c; F 18.00.d; F 19.00.a; F 19.00.b; F 19.00.c; F 19.00.e; F 23.02; F 23.04; )
x687 - Accounting portfolios for financial assets measured at fair value through equity subject to impairment (Reports:F 18.00.a; F 18.00.b; F 18.00.c; F 18.00.d; F 19.00.a; F 19.00.b; F 19.00.c; F 19.00.e; )
x688 - Accounting portfolios for financial assets at fair value or strict LOCOM not subject to impairment (Reports:F 18.00.a; F 18.00.b; F 18.00.c; F 18.00.d; F 19.00.a; F 19.00.b; F 19.00.c; F 19.00.e; )
x741 - Accounting portfolios for financial assets under IFRS (Reports:F 11.03; )
x742 - Accounting portfolios for financial liabilities under IFRS (Reports:F 11.03; )
x743 - Accounting portfolios for financial assets under GAAP (Reports:F 11.03.1; )
x744 - Accounting portfolios for financial liabilities under GAAP (Reports:F 11.03.1; )
x261 - Financial liabilities held for trading, trading financial liabilities (Reports:C 33.00.a; )
x753 - Financial assets at fair value through other comprehensive income, non-trading non-derivative financial assets measured at fair value to equity (Reports:C 33.00.a; )
x682 - Non-trading financial assets mandatorily at fair value through profit or loss, financial assets designated at fair value through profit or loss or from non-trading financial assets measured at fair value through profit or loss (Reports:C 33.00.a; )
x94 - Accounting portfolios for assets and liabilities measured at fair value (Reports:C 32.01; )
x95 - Accounting portfolios for assets measured at fair value (Reports:C 32.01; C 32.02.b; C 32.02.c; C 32.03; )
x96 - Other non-trading non-derivative financial assets.Measured at fair value (Reports:C 32.01; )
x97 - Investments in subsidiaries, joint ventures and associates.Measured at fair value (Reports:C 32.01; )
x98 - Accounting portfolios for liabilities measured at fair value (Reports:C 32.01; C 32.02.b; C 32.02.c; C 32.03; )
x103 - Accounting portfolios for financial assets measured at cost based methods, excluding cash and cash balances at central banks and other demand deposits (Reports:F 18.00.a; F 18.00.b; F 18.00.c; F 18.00.d; F 19.00.a; F 19.00.b; F 19.00.c; F 19.00.e; F 23.02; F 23.04; )
x104 - Accounting portfolios for financial assets other than classified as held for sale, excluding financial assets held for trading, trading financial assets and cash and cash balances at central banks and other demand deposits (Reports:F 18.01; F 18.02.a; F 18.02.b; F 18.02.c; F 23.01; F 23.02; F 23.03; F 23.04; F 23.05; F 23.06; F 24.01; F 24.02; )
x491 - Other than property, plant and equipment (Reports:F 13.02.1.a; F 13.03.1.a; F 25.01.a; F 25.01.b; F 25.01.c; F 25.02.a; F 25.02.b; )
x492 - Other than property, plant and equipment, classified as held for sale (Reports:F 13.02.1.b; F 13.03.1.b; F 25.01.a; F 25.02.b; F 25.02.c; )
x493 - Accounting portfolios for financial assets excluding financial assets held for trading, trading financial assets and cash and cash balances at central banks and other demand deposits (Reports:F 18.01; )
x494 - Accounting portfolios for financial assets under IFRS, Accounting portfolios for financial assets under GAAP, Accounting portfolios for financial liabilities other than classified as held for sale (Reports:P 04.02; )
x754 - Accounting portfolios for financial assets subject to impairment, including cash and cash balances at central banks and other demand deposits (Reports:F 20.04; )
x107 - Available-for-sale financial assets, Trading financial assets (Reports:G 01.00; )





Reports using this dimension


C 05.01CA 5.01 - Capital Adequacy - Transitional provisions: Summary
C 32.01Prudent valuation. Fair-Valued assets and liabilities
C 32.02.bPrudent valuation: Core approach - AVAs assessed to have zero value
C 32.02.cPrudent valuation: Core approach Other
C 32.03Prudent valuation. Model risk AVA
C 33.00.aGeneral governments exposures by country of the counterparty and regulatory approach (Gov)
F 01.01Balance Sheet Statement [Statement of Financial Position]: Assets
F 01.02Balance Sheet Statement [Statement of Financial Position]: Liabilities
F 02.00Statement of profit or loss
F 03.00Statement of comprehensive income
F 04.01Breakdown of financial assets by instrument and by counterparty sector: financial assets held for trading
F 04.02.1Breakdown of financial assets by instrument and by counterparty sector: non-trading financial assets mandatorily at fair value through profit or loss
F 04.02.2Breakdown of financial assets by instrument and by counterparty sector: financial assets designated at fair value through profit or loss
F 04.03.1Breakdown of financial assets by instrument and by counterparty sector: financial assets at fair value through other comprehensive income
F 04.04.1Breakdown of financial assets by instrument and by counterparty sector: financial assets at amortised cost
F 04.05Subordinated financial assets
F 04.06Breakdown of financial assets by instrument and by counterparty sector: trading financial assets
F 04.07Breakdown of financial assets by instrument and by counterparty sector: non-trading non-derivative financial assets measured at fair value through profit or loss
F 04.08Breakdown of financial assets by instrument and by counterparty sector: non-trading non-derivative financial assets measured at fair value to equity
F 04.09Breakdown of financial assets by instrument and by counterparty sector: non-trading debt instruments measured at a cost-based method
F 04.10Breakdown of financial assets by instrument and by counterparty sector: other non-trading non-derivative financial assets
F 05.01Breakdown of non-trading loans and advances by product
F 06.01Breakdown of non-trading loans and advances other than held for trading to non-financial corporations by NACE codes
F 07.01Financial assets subject to impairment that are past due
F 07.02Financial assets subject to impairment that are past due under national GAAP
F 08.01.aBreakdown of financial liabilities by product and by counterparty sector (a)
F 08.01.bBreakdown of financial liabilities by product and by counterparty (b)
F 08.02Subordinated liabilities
F 10.00Derivatives: Trading
F 11.01Derivatives - Hedge accounting: Breakdown by type of risk and type of hedge
F 11.02Derivatives - Hedge accounting under National GAAP: Breakdown by type of risk
F 11.03Non-derivatives - Hedge accounting: Breakdown by accounting portfolio and type of hedge
F 11.03.1Non-derivative hedging instruments
F 11.04Hedged items in fair value hedges
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 13.01Breakdown of collateral and guarantees by loans and advances other than held for trading
F 13.02.1.aCollateral obtained by taking possession during the period [held at the reference date] (I)
F 13.02.1.bCollateral obtained by taking possession during the period (held at the reporting date) (II)
F 13.03.1.aCollateral obtained by taking possession [tangible assets] accumulated (I)
F 13.03.1.bCollateral obtained by taking possession [tangible assets] accumulated (II)
F 14.00Fair value hierarchy: financial instruments at fair value
F 15.00.aFinancial assets pledged as collateral: derecognition and financial liabilities associated with transferred financial assets (a)
F 16.01Breakdown of selected statement of profit or loss items: Interest income and expenses by instrument and counterparty sector
F 16.02Realised gains and losses on financial assets and liabilities not measured at fair value through profit or loss by instrument
F 16.03Gains and losses on financial assets and liabilities held for trading by instrument
F 16.04Gains and losses on financial assets and liabilities held for trading by risk
F 16.04.1Gains or losses on non-trading financial assets mandatorily at fair value through profit or loss by instrument
F 16.05Gains and losses on financial assets and liabilities designated at fair value through profit or loss by instrument
F 16.06Gains and losses from hedge accounting
F 16.07.aImpairment on financial and non-financial assets (a)
F 16.07.bImpairment on financial and non-financial assets (b)
F 17.01Reconciliation between IFRS and CRR scope of consolidation: Assets
F 17.03Reconciliation between IFRS and CRR scope of consolidation: Liabilities
F 18.00.aNPE - Information on performing and non-performing exposures (I)
F 18.00.bNPE - Information on performing and non-performing exposures (II)
F 18.00.cNPE - Information on performing and non-performing exposures (III)
F 18.00.dNPE - Information on performing and non-performing exposures (IV)
F 18.01Inflows and outflows of non-performing exposures - loans and advances by counterparty sector
F 18.02.aCommercial Real Estate (CRE) loans and additional information on loans secured by immovable property (I)
F 18.02.bCommercial Real Estate (CRE) loans and additional information on loans secured by immovable property (II)
F 18.02.cCommercial Real Estate (CRE) loans and additional information on loans secured by immovable property (III)
F 19.00.aInformation on forborne exposures (I)
F 19.00.bInformation on forborne exposures (II)
F 19.00.cInformation on forborne exposures (III)
F 19.00.eInformation on forborne exposures (V)
F 20.01Geographical breakdown of assets by location of the activities
F 20.02Geographical breakdown of liabilities by location of the activities
F 20.03Geographical breakdown of main income statement items by location of the activities
F 20.04Geographical breakdown of assets by residence of the counterparty
F 20.06Geographical breakdown of liabilities by residence of the counterparty
F 20.07.1Geographical breakdown by residence of the counterparty of loans and advances other than held ofr trading to non-financial corporations by NACE codes
F 21.00Tangible and intangible assets: assets subject to operating lease
F 23.01Loans and advances: Number of instruments
F 23.02Loans and advances: Additional information on gross carrying amounts
F 23.03Loans and advances collateralised by immovable property: Breakdown by LTV ratios
F 23.04Loans and advances: Additional information on accumulated impairments and accumulated negative changes in fair value due to credit risk
F 23.05Loans and advances: Collateral received and financial guarantees received
F 23.06Loans and advances: Accumulated partial write-offs
F 24.01Loans and advances: Inflows and outflows of non-performing exposures
F 24.02Loans and advances: Flow of impairments and accumulated negative changes in fair value due to credit risk on non-performing exposures
F 24.03Loans and advances: Write-offs of non-performing exposures during the period
F 25.01.aCollateral obtained by taking possession other than collateral classified as Property Plant and Equipment (PP&E): Inflows and outflows (I)
F 25.01.bCollateral obtained by taking possession other than collateral classified as Property Plant and Equipment (PP&E): Inflows and outflows (II)
F 25.01.cCollateral obtained by taking possession other than collateral classified as Property Plant and Equipment (PP&E): Inflows and outflows (III)
F 25.02.aCollateral obtained by taking possession other than collateral classified as Property Plant and Equipment (PP&E): Type of collateral obtained (I)
F 25.02.bCollateral obtained by taking possession other than collateral classified as Property Plant and Equipment (PP&E): Type of collateral obtained (II)
F 25.02.cCollateral obtained by taking possession other than collateral classified as Property Plant and Equipment (PP&E): Type of collateral obtained (III)
F 25.03.aCollateral obtained by taking possession classified as Property Plant and Equipment (PP&E) (I)
F 25.03.bCollateral obtained by taking possession classified as Property Plant and Equipment (PP&E) (II)
F 26.00.aForbearance management and quality of forbearance (I)
F 30.01Interests in unconsolidated structured entities
F 30.02Breakdown of interests in unconsolidated structured entities by nature of the activities
F 31.01Related parties: amounts payable to and amounts receivable from
F 31.02Related parties: expenses and income generated by transactions with
F 41.01Fair value hierarchy: financial instruments at amortised cost
F 41.02Use of the Fair Value Option
F 42.00Tangible and intangible assets: carrying amount by measurement method
F 43.00Provisions
F 45.01Gains and losses on financial assets and liabilities designated at fair value through profit or loss by accounting portfolio
F 45.02Gains and losses on derecognition of non-financial assets other than held for sale
F 45.03Other operating income and expenses
F 90.01Overview of EBA-compliant moratoria (legislative and non-legislative)
F 90.02Overview of other COVID-19-related forbearance measures
F 90.03Overview of newly originated loans and advances subject to public guarantee schemes in the context of the COVID-19 crisis
F 91.01.aInformation on loans and advances subject to EBA-compliant moratoria (legislative and non-legislative) (I)
F 91.01.bInformation on loans and advances subject to EBA-compliant moratoria (legislative and non-legislative) (II)
F 91.02Information on other loans and advances subject to COVID-19-related forbearance measures
F 91.03.aLoans and advances with expired EBA-compliant moratoria (legislative and non-legislative) (I)
F 91.03.bLoans and advances with expired EBA-compliant moratoria (legislative and non-legislative) (II)
F 91.04Other loans and advances with expired COVID-19-related forbearance measures (grace period/payment moratorium)
F 91.05.aInformation on newly originated loans and advances subject to public guarantee schemes in the context of the COVID-19 crisis (I)
F 91.05.bInformation on newly originated loans and advances subject to public guarantee schemes in the context of the COVID-19 crisis (II)
F 92.01Measures applied in response to the COVID-19 crisis: breakdown by NACE codes
G 01.00G-SII indicators and EBU items (G-SII)
P 01.01Assets
P 01.02Liabilities
P 02.01Insured and uninsured deposits and uninsured deposit-like financial instruments
P 02.02Public sector sources of funding
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
P 04.01Statement of profit or loss
P 04.02Statement of profit or loss for small and non complex credit institutions
P 05.00Debt securities: issuances and redemptions
T 20.04.aCritical functions - Capital Markets
T 20.04.wCritical functions - Capital Markets (Country sub-region)
Z 07.01.cCriticality assessment of economic functions (FUNC 1)(III)