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Dimension



Type of securitisation

Specifies the type of securitisation.
Main category - Specifies the nature of the item reported (i.e. answers the question: what is reported?). For financial instruments, defines the instrument (e.g. deposits, debt securities issued...) or range of instruments reported. It should be defined for each data point.


Members of this dimension

x19 - Securitisation positions (Reports:)
x242 - Non-ABCP programmes (Reports:C 14.00; )
x300 - Re-Securitisation positions (Reports:)
x303 - Revolving securitisations with early amortisation (Reports:)
x398 - Re-Securitisation in the most senior tranche and none of the underlying exposures being re-securitisation exposures (Reports:)
x399 - Securitisation. Effective number of exposures securitised less than six. (Reports:)
x400 - Securitisation. Most senior tranche. (Reports:C 13.01; )
x718 - Short-term securitisation (Reports:C 13.01; )
x719 - Long-term securitisation (Reports:C 13.01; )
x720 - STS securitisation (Reports:C 13.01; )
x721 - Synthetic securitisation. Most senior tranche. (Reports:C 13.01; )
x1227 - Securitisation. Tranches other than most senior tranche (Reports:C 13.01; )
x1228 - Securitisation. STS securitisation. Most senior tranche (Reports:C 13.01; )





Reports using this dimension


C 13.01CR SEC - (CR SEC) Credit risk: Securitisations
C 14.00CR SEC Details - Detailed information on securitisations