QA2017-141 - Guidance T04.00
Atribute | Detail |
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Resolution Reporting Subject Matter | Guidance |
Guidance Documents | - |
Taxonomy | - |
Unique Identifier |
QA2017-141 |
Question
The difference between 110 and 100 are caused by:
- Bought back securities
- Change in currency rate on issuance date versus reporting date for non-Euro securities
Response
Indeed, but amortization or other events alike could also result in a different value being reported.
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