XBRL Tag: ScheduleOfAssetsSoldUnderAgreementsToRepurchaseTable
Search Elements:

Taxonomy
us-gaap
Name
ScheduleOfAssetsSoldUnderAgreementsToRepurchaseTable
Label
Schedule of Assets Sold under Agreements to Repurchase [Table]
Period Type
duration
Type
xbrli:stringItemType
Definition
Schedule, as of the most recent balance sheet date, of securities or other assets sold under repurchase agreements when this amount exceeds 10 percent of total assets. Disclosure may include the following: the type of securities or assets sold under agreements to repurchase, the carrying amount, market value (including accrued interest plus any cash or other assets on deposit. The information is segregated into securities maturing (1) overnight; (2) term up to 30 days; (3) term of 30 to 90 days; (4) term over 90 days; (5) demand.
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