Search Elements:
- Taxonomy
- us-gaap
- Name
- CustomerSecuritiesForWhichEntityHasRightToSellOrRepledgeFairValue
- Label
- Customer Securities for which Entity has Right to Sell or Repledge, Fair Value
- Period Type
- instant
- Balance Type
- credit
- Type
- xbrli:monetaryItemType
- Definition
- Fair value as of the balance sheet date of customer securities accepted as collateral by the entity that it is permitted by contract or custom to sell or re-pledge to counterparties as collateral.