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Dataset List: Compustat (COMP) Dataset List → Compustat (COMP)
→ Company Annual Item (A-L) (CO_AFND1)
Position
Variable Name
Type Length Description
1 GVKEY Char 6 Global Company Key
2 INDFMT Char 12 Industry Format
3 DATAFMT Char 12 Data Format
4 CONSOL Char 2 Level of Consolidation - Company Annual Fundamental
5 POPSRC Char 1 Population Source - Company Annual Fundamental
6 ACCHG Num 8 Accounting Changes - Cumulative Effect
7 ACCLI Num 8 Accrued Liabilities - Increase/(Decrease)
8 ACCO Num 8 Acceptances Outstanding
9 ACDO Num 8 Current Assets of Discontinued Operations
10 ACO Num 8 Current Assets - Other - Total
11 ACODO Num 8 Other Current Assets Excl Discontinued Operations
12 ACOFS Num 8 Other Current Assets - Total - FS (Memo)
13 ACOMINC Num 8 Accumulated Other Comprehensive Income (Loss)
14 ACOX Num 8 Current Assets - Other - Sundry
15 ACOXAR Num 8 Current Assets - Other - Total As Reported
16 ACOXFS Num 8 Other Current Assets - FS (Memo)
17 ACQDISN Num 8 Acquisitions and Disposals - Net Cash Flow
17 ACQAO Num 8 Acquired Assets > Other Long-Term Assets
18 ACQCSHI Num 8 Shares Issued for Acquisition
18 ACQDISO Num 8 Acquisitions and Disposals - Other
19 ACT Num 8 Current Assets - Total
20 ADPAC Num 8 Amortization of Deferred Policy Acquisition Costs
21 AEDI Num 8 Accrued Expenses and Deferred Income
21 ACQGDWL Num 8 Acquired Assets - Goodwill
22 ACQIC Num 8 Acquisitions - Current Income Contribution
22 AFUDCC Num 8 Allowance for Funds Used During Construction (Cash Flow)
23 AFUDCI Num 8 Allowance for Funds Used During Construction (Investing) (Cash Flow)
23 ACQINTAN Num 8 Acquired Assets - Intangibles
24 ACQINVT Num 8 Acquired Assets - Inventory
24 ALDO Num 8 Long-term Assets of Discontinued Operations
25 AM Num 8 Amortization of Intangibles
25 ACQLNTAL Num 8 Acquired Loans
26 ACQNIINTC Num 8 Net Interest Income Contribution
26 AMC Num 8 Amortization (Cash Flow) - Utility
27 AMDC Num 8 Amortization of Deferred Charges
27 ACQPPE Num 8 Acquired Assets > Property, Plant & Equipment
28 ACQSC Num 8 Acquisitions - Current Sales
Contribution
28 AMGW Num 8 Amortization of Goodwill
29 ANO Num 8 Assets Netting & Other Adjustments
30 AO Num 8 Assets - Other
31 AOCIDERGL Num 8 Accum Other Comp Inc - Derivatives Unrealized Gain/Loss
32 AOCIOTHER Num 8 Accum Other Comp Inc - Other Adjustments
33 AOCIPEN Num 8 Accum Other Comp Inc - Min Pension Liab Adj
34 AOCISECGL Num 8 Accum Other Comp Inc - Unreal G/L Ret Int in Sec Assets
35 AODO Num 8 Other Assets excluding Discontinued Operations
36 AOL2 Num 8 Assets Level2 (Observable)
37 AOLOCH Num 8 Assets and Liabilities - Other - Net Change
38 AOX Num 8 Assets - Other - Sundry
39 AP Num 8 Accounts Payable - Trade
40 APALCH Num 8 Accounts Payable and Accrued Liabilities - Increase/(Decrease)
41 APB Num 8 Accounts Payable/Creditors - Brokers, Dealers, and Clearing Organizations
42 APC Num 8 Accounts Payable/Creditors - Customer
43 APCH Num 8 Accounts Payable - Increase (Decrease)
44 APDPFS Num 8 Customer Deposits Short Term - FS (Memo)
45 APFS Num 8 Trade Accounts Payable - FS (Memo)
46 APO Num 8 Accounts Payable - Other
47 APOFS Num 8 Accounts Payable/Creditors - Other - FS
48 AQA Num 8 Acquisition/Merger After-tax
49 AQC Num 8 Acquisitions
50 AQD Num 8 Acquisition/Merger Diluted EPS Effect
51 AQEPS Num 8 Acquisition/Merger Basic EPS Effect
52 AQI Num 8 Acquisitions - Income Contribution
53 AQP Num 8 Acquisition/Merger Pretax
54 AQPL1 Num 8 Assets Level1 (Quoted Prices)
55 AQS Num 8 Acquisitions - Sales Contribution
56 ARB Num 8 Accounts Receivable/Debtors - Brokers, Dealers, and Clearing Organizations
57 ARC Num 8 Accounts Receivable/Debtors - Customer
58 ARCE Num 8 As Reported Core - After-tax
59 ARCED Num 8 As Reported Core - Diluted EPS Effect
60 ARCEEPS Num 8 As Reported Core - Basic EPS Effect
61 ARTFS Num 8 Accounts Receivable/Debtors - Total
62 ASDIS Num 8 Associated Undertakings - Disposal
63 ASINV Num 8 Associated Undertakings - Investment
64 AT Num 8 Assets - Total
65 ATOCH Num 8 Assets - Other - Change
66 AUL3 Num 8 Assets Level3 (Unobservable)
67 AUTXR Num 8 Appropriations to Untaxed Reserves
68 BALR Num 8 Benefits Assumed - Life
69 BANLR Num 8 Benefits Assumed - Nonlife
70 BAST Num 8 Average Short-Term Borrowings
71 BASTR Num 8 Average Short-Term Borrowings Rate
72 BATR Num 8 Benefits Assumed - Total
73 BCEF Num 8 Brokerage, Clearing and Exchange Fees
74 BCLR Num 8 Benefits Ceded - Life
75 BCLTBL Num 8 Benefits and Claims - Total (Business Line)
76 BCNLR Num 8 Benefits Ceded - Nonlife
77 BCRBL Num 8 Benefits and Claims - Reinsurance (Business Line)
78 BCT Num 8 Benefits and Claims - Total (Insurance)
79 BCTBL Num 8 Benefits and Claims - Other (Business Line)
80 BCTR Num 8 Benefits Ceded - Total
81 BKVLPS Num 8 Book Value Per Share
82 BLTBL Num 8 Benefits - Life - Total (Business Line)
83 CA Num 8 Customers\'\'\'\' Acceptance
84 CAPCST Num 8 Capitalized Costs
85 CAPFL Num 8 Capital Element of Finance Lease Rental Payments
86 CAPR1 Num 8 Risk-Adjusted Capital Ratio - Tier 1
87 CAPR2 Num 8 Risk-Adjusted Capital Ratio - Tier 2
88 CAPR3 Num 8 Risk-Adjusted Capital Ratio - Combined
89 CAPRT Num 8 Risk-Adjusted Capital Ratio - Total
90 CAPS Num 8 Capital Surplus/Share Premium Reserve
91 CAPX Num 8 Capital Expenditures
92 CAPXFI Num 8 Capital Expenditures and Financial Investment - Net Cash Flow
93 CAPXV Num 8 Capital Expend Property, Plant and Equipment Schd V
94 CB Num 8 Compensating Balance
95 CBI Num 8 Claims Incurred - Insurance
96 CDPAC Num 8 Capitalized Deferred Polcy Acquisition Costs
97 CDVC Num 8 Cash Dividends on Common Stock (Cash Flow)
98 CEQ Num 8 Common/Ordinary Equity - Total
99 CEQL Num 8 Common Equity - Liquidation Value
100 CEQT Num 8 Common Equity - Tangible
101 CFBD Num 8 Commissions and Fees - (Broker/Dealer)
102 CFERE Num 8 Commissions and Fees - (Real Estate)
103 CFLAOTH Num 8 Cash Flow Adjustments - Other
104 CFO Num 8 Commissions and Fees - Other
105 CFPDO Num 8 Commissions and Fees Paid - Other
106 CGA Num 8 Capital Gains - After-Tax
107 CGRI Num 8 Capital Gains - Realized (Insurance)
108 CGTI Num 8 Capital Gains - Total (Insurance)
109 CGUI Num 8 Capital Gains - Unrealized (Insurance)
110 CH Num 8 Cash
111 CHE Num 8 Cash and Short-Term Investments
112 CHEB Num 8 Cash and Cash Equivalents at Beginning of Year
113 CHECH Num 8 Cash and Cash Equivalents - Increase/(Decrease)
114 CHEE Num 8 Cash and Cash Equivalents at End of Year
115 CHEFS Num 8 Cash and Short Term Investments Total - FS (Memo)
116 CHENFD Num 8 Cash/Cash Equivalents/Net Funds - Increase/(Decrease)
117 CHFS Num 8 Cash - FS (Memo)
118 CHS Num 8 Cash and Deposits - Segregated
119 CI Num 8 Comprehensive Income - Total
120 CIBEGNI Num 8 Comp Inc - Beginning Net Income
121 CICURR Num 8 Comp Inc - Currency Trans Adj
122 CIDERGL Num 8 Comp Inc - Derivative Gains/Losses
123 CIMII Num 8 Comprehensive Income - Noncontrolling Interest
124 CIOTHER Num 8 Comp Inc - Other Adj
125 CIPEN Num 8 Comp Inc - Minimum Pension Adj
126 CISECGL Num 8 Comp Inc - Securities Gains/Losses
127 CITOTAL Num 8 Comprehensive Income - Parent
128 CLD2 Num 8 Capitalized Leases - Due in 2nd Year
129 CLD3 Num 8 Capitalized Leases - Due in 3rd Year
130 CLD4 Num 8 Capitalized Leases - Due in 4th Year
131 CLD5 Num 8 Capitalized Leases - Due in 5th Year
132 CLFC Num 8 Contingent Liabilities - Forward and
Future Contracts
133 CLFX Num 8 Contingent Liabilities - Foreign Exchange Commitments
134 CLG Num 8 Contingent Liabilities - Guarantees
135 CLIS Num 8 Contingent Liabilities - Interest Rate Swaps
136 CLL Num 8 Contingent Liabilities - Letters of Credit
137 CLLC Num 8 Contingent Liabilities - Loan Commitments
138 CLO Num 8 Contingent Liabilities - Other
139 CLRLL Num 8 Credit Loss Reserve Allocated for LDC Loans
140 CLT Num 8 Contingent Liabilities - Total
141 CMP Num 8 Commercial Paper
142 CNLTBL Num 8 Claims - Non-Life - Total (Business Line)
143 COGS Num 8 Cost of Goods Sold
144 CPCBL Num 8 Commercial Property and Casualty Claims (Business Line)
145 CPDOI Num 8 Claims Paid - Other
146 CPNLI Num 8 Claims Paid - Non-Life
147 CPPBL Num 8 Commercial Property and Casualty Premiums (Business Line)
148 CPREI Num 8 Claims Paid - Reinsurance
149 CRV Num 8 Consolidation Reserves
150 CRVNLI Num 8 Reserves for Claims (Losses) - Nonlife (Insurance)
151 CSHFD Num 8 Common Shares Used to Calc Earnings Per Share - Fully Diluted
152 CSHI Num 8 Common Shares Issued
153 CSHO Num 8 Common Shares Outstanding
154 CSHPRI Num 8 Common Shares Used to Calculate Earnings Per Share - Basic
155 CSHR Num 8 Common/Ordinary Shareholders
156 CSHRC Num 8 Common Shares Reserved for Conversion - Convertible Debt
157 CSHRP Num 8 Common Shares Reserved for Conversion - Preferred Stock
158 CSHRSO Num 8 Common Shares Reserved for Conversion - Stock Options
159 CSHRT Num 8 Common Shares Reserved for Conversion - Total
160 CSHRW Num 8 Common Shares Reserved for Conversion - Warrants and Other
161 CSTK Num 8 Common/Ordinary Stock (Capital)
162 CSTKCV Num 8 Common Stock-Carrying Value
163 CSTKE Num 8 Common Stock Equivalents - Dollar Savings
164 CUSTADV Num 8 Customer Advances
165 DBI Num 8 Death Benefits - Insurance
166 DBTB Num 8 Debt at Beginning of Year
167 DBTE Num 8 Debt at End of Year
168 DC Num 8 Deferred Charges
169 DCLO Num 8 Debt - Capitalized Lease Obligations
170 DCOM Num 8 Deferred Compensation
171 DCPSTK Num 8 Convertible Debt and Preferred Stock
172 DCS Num 8 Debt - Consolidated Subsidiary
173 DCSFD Num 8 Current Debt - Source of Funds
174 DCUFD Num 8 Current Debt - Use of Funds
175 DCVSR Num 8 Debt - Senior Convertible
176 DCVSUB Num 8 Debt - Subordinated Convertible
177 DCVT Num 8 Debt - Convertible
178 DD Num 8 Debt - Debentures
179 DD1 Num 8 Long-Term Debt Due in One Year
180 DD1FS Num 8 Long Term Debt - Current Portion - FS (Memo)
181 DD2 Num 8 Debt - Due in 2nd Year
182 DD3 Num 8 Debt - Due in 3rd Year
183 DD4 Num 8 Debt - Due in 4th Year
184 DD5 Num 8 Debt - Due in 5th Year
185 DEPC Num 8 Depreciation and Depletion (Cash Flow)
186 DFPAC Num 8 Deferred Policy Acquisition Costs
187 DFS Num 8 Debt - Finance Subsidiary
188 DFXA Num 8 Depreciation of Tangible Fixed Assets
189 DILADJ Num 8 Dilution Adjustment
190 DILAVX Num 8 Dilution Available - Excluding Extraordinary Items
191 DISPOCH Num 8 Disposals - Other - (Gain) Loss
192 DLC Num 8 Debt in Current Liabilities - Total
193 DLCCH Num 8 Current Debt - Changes
194 DLCFS Num 8 Short Term Debt Total - FS (Memo)
195 DLTIS Num 8 Long-Term Debt - Issuance
196 DLTO Num 8 Other Long-term Debt
197 DLTP Num 8 Long-Term Debt - Tied to Prime
198 DLTR Num 8 Long-Term Debt - Reduction
199 DLTSUB Num 8 Long-Term Debt - Subordinated
200 DLTT Num 8 Long-Term Debt - Total
201 DM Num 8 Debt - Mortgages & Other Secured
202 DN Num 8 Debt - Notes
203 DO Num 8 Discontinued Operations
204 DOC Num 8 Discontinued Operations (Cash Flow)
205 DONR Num 8 Nonrecurring Disc Operations
206 DP Num 8 Depreciation and Amortization
207 DPACB Num 8 Depreciation (Accumulated) - Buildings
208 DPACC Num 8 Depreciation (Accumulated) - Construction in Progress
209 DPACLI Num 8 Depreciation (Accumulated) - Land and Improvements
210 DPACLS Num 8 Depreciation (Accumulated) - Leases
211 DPACME Num 8 Depreciation (Accumulated) - Machinery and Equipment
212 DPACNR Num 8 Depreciation (Accumulated) - Natural Resources
213 DPACO Num 8 Depreciation (Accumulated) - Other
214 DPACRE Num 8 Accumulated Depreciation of RE Property
215 DPACT Num 8 Depreciation, Depletion and Amortization (Accumulated)
216 DPC Num 8 Depreciation and Amortization (Cash Flow)
217 DPDC Num 8 Deposits - Demand - Customer
218 DPLTB Num 8 Deposits - Long-Term Time - Bank
219 DPRET Num 8 Depr/Amort of Property
220 DPSC Num 8 Deposits - Savings - Customer
221 DPSTB Num 8 Deposits - Short-Term Demand - Bank
222 DPTB Num 8 Deposits - Total - Banks
223 DPTC Num 8 Deposits - Total - Customer
224 DPTIC Num 8 Deposits - Time - Customer
225 DPVIEB Num 8 Depreciation (Accumulated) - Ending Balance (Schedule VI)
226 DPVIO Num 8 Depreciation (Accumulated) - Other Changes (Schedule VI)
227 DPVIR Num 8 Depreciation (Accumulated) - Retirements (Schedule VI)
228 DRC Num 8 Deferred Revenue - Current
229 DRCI Num 8 Deduction From Policy and Claims Reserves for Reinsurance Ceded
230 DRLT Num 8 Deferred Revenue - Long-term
231 DS Num 8 Debt-Subordinated
232 DTEA Num 8 Extinguishment of Debt After-tax
233 DTED Num 8 Extinguishment of Debt Diluted EPS Effect
234 DTEEPS Num 8 Extinguishment of Debt Basic EPS Effect
235 DTEP Num 8 Extinguishment of Debt Pretax
236 DUDD Num 8 Debt - Unamortized Debt Discount and Other
237 DV Num 8 Cash Dividends (Cash Flow)
238 DVC Num 8 Dividends Common/Ordinary
239 DVDNP Num 8 Dividends Declared and Not Provided
240 DVP Num 8 Dividends - Preferred/Preference
241 DVPA Num 8 Preferred Dividends in Arrears
242 DVPD Num 8 Cash Dividends Paid
243 DVPDP Num 8 Dividends and Bonuses Paid Policyholders
244 DVPIBB Num 8 Depreciation (Accumulated) - Beginning Balance (Schedule VI)
245 DVREC Num 8 Dividends Received (Cash Flow)
246 DVRPIV Num 8 Dividends Received from Permanent Investments
247 DVRRE Num 8 Development Revenue (Real Estate)
248 DVSCO Num 8 Dividends - Share Capital - Other
249 DVT Num 8 Dividends - Total
250 DXD2 Num 8 Debt (excl Capitalized Leases) - Due in 2nd Year
251 DXD3 Num 8 Debt (excl Capitalized Leases) - Due in 3rd Year
252 DXD4 Num 8 Debt (excl Capitalized Leases) - Due in 4th Year
253 DXD5 Num 8 Debt (excl Capitalized Leases) - Due in 5th Year
254 EA Num 8 Exchange Adjustments (Assets)
255 EBIT Num 8 Earnings Before Interest and Taxes
256 EBITDA Num 8 Earnings Before Interest
257 EIEA Num 8 Equity in Earnings - After-Tax
258 EIEAC Num 8 Equity Interest in Earnings of Associated Companies
259 EMOL Num 8 Directors\'\'\'\' Emoluments
260 EMP Num 8 Employees
261 EPSFI Num 8 Earnings Per Share (Diluted) - Including Extraordinary Items
262 EPSFX Num 8 Earnings Per Share (Diluted) - Excluding Extraordinary Items
263 EPSPI Num 8 Earnings Per Share (Basic) -
Including Extraordinary Items
264 EPSPX Num 8 Earnings Per Share (Basic) - Excluding Extraordinary Items
265 EQDIVP Num 8 Equity Dividend Paid
266 ERO Num 8 Equity Reserves - Other
267 ESOPCT Num 8 Common ESOP Obligation - Total
268 ESOPDLT Num 8 ESOP Debt - Long Term
269 ESOPNR Num 8 Preferred ESOP Obligation - Non-Redeemable
270 ESOPR Num 8 Preferred ESOP Obligation - Redeemable
271 ESOPT Num 8 Preferred ESOP Obligation - Total
272 ESUB Num 8 Equity in Earnings - Unconsolidated Subsidiaries
273 ESUBC Num 8 Equity in Net Loss - Earnings
274 EXCADJ Num 8 Exchange Adjustments (Liabilities)
275 EXRE Num 8 Exchange Rate Effect
276 EXRES Num 8 Exchange Rate Effect - Source of Funds
277 EXREU Num 8 Exchange Rate Effect - Use of Funds
278 FATB Num 8 Property, Plant, and Equipment - Buildings at Cost
279 FATC Num 8 Property, Plant, and Equipment - Construction in Progress at Cost
280 FATD Num 8 Fixed Assets and Investments - Disposals - Gain (Loss)
281 FATE Num 8 Property, Plant, and Equipment - Machinery and Equipment at Cost
282 FATL Num 8 Property, Plant, and Equipment - Leases at Cost
283 FATN Num 8 Property, Plant, and Equipment - Natural Resources at Cost
284 FATO Num 8 Property, Plant, and Equipment - Other at Cost
285 FATP Num 8 Property, Plant, and Equipment - Land and Improvements at Cost
286 FCA Num 8 Foreign Exchange Income (Loss)
287 FDFR Num 8 Federal Funds Purchased
288 FEA Num 8 Foreign Exchange Assets
289 FEL Num 8 Foreign Exchange Liabilities
290 FFO Num 8 Funds From Operations (REIT)
291 FFS Num 8 Federal Funds Sold
292 FIAO Num 8 Financing Activities - Other
293 FINCF Num 8 Financing Activities - Net Cash Flow
294 FININC Num 8 Financing Increase - Total
295 FINLE Num 8 Finance Lease Increases
296 FINRE Num 8 Financing Repayments/Reductions - Total
297 FINVAO Num 8 Funds from Investment and Finance Activities - Other
298 FOPO Num 8 Funds from Operations - Other
299 FOPOX Num 8 Funds from Operations - Other excluding Option Tax Benefit
300 FOPT Num 8 Funds From Operations - Total
301 FSRCO Num 8 Sources of Funds - Other
302 FSRCOPO Num 8 Sources of Operating Funds - Other
303 FSRCOPT Num 8 Source of Funds From Operations - Total
304 FSRCT Num 8 Sources of Funds - Total
305 FUSEO Num 8 Uses of Funds - Other
306 FUSET Num 8 Uses of Funds - Total
307 GBBL Num 8 Group Benefits (Business Line)
308 GDWL Num 8 Goodwill
309 GDWLAM Num 8 Goodwill Amortization
310 GDWLIA Num 8 Impairments of Goodwill After-tax
311 GDWLID Num 8 Impairments of Goodwill Diluted EPS Effect
312 GDWLIEPS Num 8 Impairments of Goodwill Basic EPS Effect
313 GDWLIP Num 8 Impairments of Goodwill Pretax
314 GEQRV Num 8 Grants - Equity Reserves
315 GLA Num 8 Gain/Loss After-tax
316 GLCEA Num 8 Gain/Loss on Sale (Core Earnings Adjusted) After-tax
317 GLCED Num 8 Gain/Loss on Sale (Core Earnings Adjusted) Diluted EPS
318 GLCEEPS Num 8 Gain/Loss on Sale (Core Earnings Adjusted) Basic EPS Effect
319 GLCEP Num 8 Gain/Loss on Sale (Core Earnings Adjusted) Pretax
320 GLD Num 8 Gain/Loss Diluted EPS Effect
321 GLEPS Num 8 Gain/Loss Basic EPS Effect
322 GLP Num 8 Gain/Loss Pretax
323 GOVGR Num 8 Government Grants
324 GOVTOWN Num 8 Percent of Gov\'\'\'\'t Owned
325 GP Num 8 Gross Profit (Loss)
326 GPHBL Num 8 Group Premiums - Health (Business Line)
327 GPLBL Num 8 Group Premiums - Life (Business Line)
328 GPOBL Num 8 Group Premiums - Other (Business Line)
329 GPRBL Num 8 Group Premiums - Retirement Benefits (Business Line)
330 GPTBL Num 8 Group Premiums - Total (Business Line)
331 GWO Num 8 Goodwill Written Off
332 HEDGEGL Num 8 Gain/Loss on Ineffective Hedges
333 IAEQ Num 8 Investment Assets - Equity Securities (Insurance)
334 IAEQCI Num 8 Investment Assets (Insurance) - Equity Securities (Cost)
335 IAEQMI Num 8 Investment Assets (Insurance) - Equity Securities (Market)
336 IAFICI Num 8 Investment Assets (Insurance) - Fixed Income Securities (Cost)
337 IAFXI Num 8 Investment Assets - Fixed Income Securities (Insurance)
338 IAFXMI Num 8 Investment Assets (Insurance) - Fixed Income Securities (Market)
339 IALI Num 8 Investment Assets (Insurance) - Listed Securities-Total
340 IALOI Num 8 Investment Assets - Loans - Other (Insurance)
341 IALTI Num 8 Investment Assets - Loans - Total (Insurance)
342 IAMLI Num 8 Investment Assets - Mortgage Loans (Insurance)
343 IAOI Num 8 Investment Assets - Other (Insurance)
344 IAPLI Num 8 Investment Assets - Policy Loans (Insurance)
345 IAREI Num 8 Investment Assets - Real Estate
(Insurance)
346 IASCI Num 8 Investment Assets (Insurance) - Securities - Sundry (Cost)
347 IASMI Num 8 Investment Assets (Insurance) - Securities - Sundry (Market)
348 IASSI Num 8 Investment Assets - Securities - Sundry (Insurance)
349 IASTI Num 8 Investment Assets - Securities - Total (Insurance)
350 IATCI Num 8 Investment Assets (Insurance) - Securities - Total (Cost)
351 IATI Num 8 Investment Assets - Total (Insurance)
352 IATMI Num 8 Investment Assets (Insurance) - Securities - Total (Market)
353 IAUI Num 8 Investment Assets (Insurance) - Unlisted Securities - Total
354 IB Num 8 Income Before Extraordinary Items
355 IBADJ Num 8 Income Before Extraordinary Items - Adjusted for Common Stock Equivalents
356 IBBL Num 8 Individual Benefits (Business Line)
357 IBC Num 8 Income Before Extraordinary Items (Cash Flow)
358 IBCOM Num 8 Income Before Extraordinary Items - Available for Common
359 IBKI Num 8 Investment Banking Income
360 IBMII Num 8 Income before Extraordinary Items and Noncontrolling Interests
361 ICAPT Num 8 Invested Capital - Total
362 IDIIS Num 8 Interest and Dividend Income - Investment Securities
363 IDILB Num 8 Interest and Dividend Income - Loans/Claims/Advances - Banks
364 IDILC Num 8 Interest and Dividend Income - Loans/Claims/Advances - Customers
365 IDIS Num 8 Interest and Dividend Income - Sundry
366 IDIST Num 8 Interest and Dividend Income - Short-Term Investments
367 IDIT Num 8 Interest and Related Income - Total
368 IDITS Num 8 Interest and Dividend Income - Trading Securities
369 IIRE Num 8 Investment Income (Real Estate)
370 INITB Num 8 Income - Non-interest - Total (Bank)
371 INTAN Num 8 Intangible Assets - Total
372 INTAND Num 8 Intangible Assets - Disposal
373 INTANO Num 8 Other Intangibles
374 INTANP Num 8 Intangible Assets - Purchase
375 INTC Num 8 Interest Capitalized
376 INTFACT Num 8 Interest and Dividend Adjustments - Financing Activities
377 INTFL Num 8 Interest Element of Finance Leases
378 INTIACT Num 8 Interest and Dividend Adjustments - Investing Activities
379 INTOACT Num 8 Interest and Dividend Adjustments - Operating Activities
380 INTPD Num 8 Interest Paid
381 INTPN Num 8 Interest Paid - Net
382 INTRC Num 8 Interest Received
383 INVCH Num 8 Inventory - Decrease (Increase)
384 INVDSP Num 8 Investments - Disposal
385 INVFG Num 8 Inventories - Finished Goods
386 INVO Num 8 Inventories - Other
387 INVOFS Num 8 Inventory/Stock - Other
388 INVREH Num 8 Inventory/Stock - Real Estate Held for Development
389 INVREI Num 8 Inventory/Stock - Real Estate Under Development
390 INVRES Num 8 Inventory/Stock - Real Estate Held for Sale
391 INVRM Num 8 Inventories - Raw Materials
392 INVSVC Num 8 Investments and Servicing of Finance - Net Cash Flow
393 INVT Num 8 Inventories - Total
394 INVTFS Num 8 Inventories - FS (Memo)
395 INVWIP Num 8 Inventories - Work In Process
396 IOBD Num 8 Income - Other (Broker Dealer)
397 IOI Num 8 Income - Other (Insurance)
398 IORE Num 8 Income - Other (Real Estate)
399 IP Num 8 Investment Property
400 IPABL Num 8 Individual Premiums - Annuity (Business Line)
401 IPC Num 8 Investment Property (Cost)
402 IPHBL Num 8 Individual Premiums - Health (Business Line)
403 IPLBL Num 8 Individual Premiums - Life (Business Line)
404 IPOBL Num 8 Individual Premiums - Other (Business Line)
405 IPTBL Num 8 Individual Premiums - Total (Business Line)
406 IPTI Num 8 Insurance Premiums - Total (Insurance)
407 IPV Num 8 Investment Property (Valuation)
408 IREI Num 8 Interest and Related Income - Reinsurance (Insurance)
409 IRENT Num 8 Rental Income
410 IRII Num 8 Interest and Related Income (Insurance)
411 IRLI Num 8 Interest and Related Income - Life (Insurance)
412 IRNLI Num 8 Interest and Related Income - Non-Life (Insurance)
413 IRSI Num 8 Interest and Related Income - Sundry (Insurance)
414 ISEQ Num 8 Investment Securities - Equity
415 ISEQC Num 8 Investment Securities - Equity (Cost)
416 ISEQM Num 8 Investment Securities - Equity (Market)
417 ISFI Num 8 Investment Securities - Fixed Income
418 ISFXC Num 8 Investment Securities - Fixed Income (Cost)
419 ISFXM Num 8 Investment Securities - Fixed Income (Market)
420 ISGR Num 8 Investment Securities - Gain (Loss) - Realized
421 ISGT Num 8 Investment Securities - Gain (Loss) - Total
422 ISGU Num 8 Investment Securities - Gain (Loss) - Unrealized
423 ISLG Num 8 Investment Securities - Local Governments
424 ISLGC Num 8 Investment Securities - Local Governments (Cost)
425 ISLGM Num 8 Investment Securities - Local Governments (Market)
426 ISLT Num 8 Investment Securities - Listed - Total
427 ISNG Num 8 Investment Securities - National Governments
428 ISNGC Num 8 Investment Securities - National Governments (Cost)
429 ISNGM Num 8 Investment Securities - National Governments (Market)
430 ISOTC Num 8 Invetsment Securities - Other (Cost)
431 ISOTH Num 8 Investment Securities - Other
432 ISOTM Num 8 Invetsment Securities - Other (Market)
433 ISSC Num 8 Investment Securities - Sundry (Cost)
434 ISSM Num 8 Investment Securities - Sundry (Market)
435 ISSU Num 8 Investment Securities - Sundry
436 IST Num 8 Investment Securities -Total
437 ISTC Num 8 Investment Securities - Total (Cost)
438 ISTM Num 8 Investment Securities - Total (Market)
439 ISUT Num 8 Investment Securities - Unlisted - Total
440 ITCB Num 8 Investment Tax Credit (Balance Sheet)
441 ITCC Num 8 Investment Tax Credit - Net (Cash Flow) - Utility
442 ITCI Num 8 Investment Tax Credit (Income
Account)
443 IVACO Num 8 Investing Activities - Other
444 IVAEQ Num 8 Investment and Advances - Equity
445 IVAO Num 8 Investment and Advances - Other
446 IVCH Num 8 Increase in Investments
447 IVGOD Num 8 Investments Grants and Other Deductions
448 IVI Num 8 Investment Income - Total (Insurance)
449 IVNCF Num 8 Investing Activities - Net Cash Flow
450 IVPT Num 8 Investments - Permanent - Total
451 IVST Num 8 Short-Term Investments - Total
452 IVSTCH Num 8 Short-Term Investments - Change
453 IVSTFS Num 8 Short Term Investments - FS (Memo)
454 LCABG Num 8 Loans/Claims/Advances - Banks and Government - Total
455 LCACL Num 8 Loans/Claims/Advances - Commercial
456 LCACR Num 8 Loans/Claims/Advances - Consumer
457 LCAG Num 8 Loans/Claims/Advances - Government
458 LCAL Num 8 Loans/Claims/Advances - Lease
459 LCALT Num 8 Loans/Claims/Advances - Long-Term (Banks)
460 LCAM Num 8 Loans/Claims/Advances - Mortgage
461 LCAO Num 8 Loans/Claims/Advances - Other
462 LCAST Num 8 Loans/Claims/Advances - Short-Term - Banks
463 LCAT Num 8 Loans/Claims/Advances - Total
464 LCO Num 8 Current Liabilities - Other - Total
465 LCOFS Num 8 Other Current Liabilities - FS (Memo)
466 LCOX Num 8 Current Liabilities - Other - Sundry
467 LCOXAR Num 8 Current Liabilities - Other - Total As Reported
468 LCOXDR Num 8 Current Liabilities - Other - Excluding Deferred Revenue
469 LCT Num 8 Current Liabilities - Total
470 LCTFS Num 8 Other Current Liabilities - Total - FS (Memo)
471 LCUACU Num 8 Loans/Claims/Advances - Customer - Total
472 LI Num 8 Leasing Income
473 LIF Num 8 Life Insurance in Force
474 LIFR Num 8 LIFO Reserve
475 LIQRESN Num 8 Management of Liquid Resources - Net Cash Flow
476 LIQRESO Num 8 Liquid Resources - Other Movements
477 LLOML Num 8 LDC Loans Outstanding - Medium and Long-Term
478 LLOO Num 8 LDC Loans Outstanding - Other
479 LLOT Num 8 LDC Loans Outstanding - Total
480 LLRCI Num 8 Loan Loss Recoveries - Credited to Income
481 LLRCR Num 8 Loan Loss Recoveries - Credited to Reserves
482 LLWOCI Num 8 Loan Loss Written Off - Charged to Income
483 LLWOCR Num 8 Loan Loss Written Off - Charged to Reserves
484 LNDEP Num 8 Loans and Deposits - (Increase) Decrease
485 LNINC Num 8 Loan Increase/Additions
486 LNMD Num 8 Loans (Made)/Repaid
487 LNO Num 8 Liabilities Netting & Other Adjustments
488 LNREP Num 8 Loan Repayments/Reductions
489 LO Num 8 Liabilities - Other - Total
490 LOL2 Num 8 Liabilities Level2 (Observable)
491 LOXDR Num 8 Liabilities - Other - Excluding Deferred Revenue
492 LQPL1 Num 8 Liabilities Level1 (Quoted Prices)
493 LRV Num 8 Legal Reserves
494 LS Num 8 Liabilities - Other - Sundry
495 LSE Num 8 Liabilities and Stockholders Equity - Total
496 LST Num 8 Life Insurance Surrenders and Terminations
497 LT Num 8 Liabilities - Total
498 LTDCH Num 8 Long-Term Debt - Change
499 LTDLCH Num 8 Long-Term Debt/Liabilities - Change
500 LTLO Num 8 Long-Term Liabilities - Other - Increase/(Decrease)
501 LUL3 Num 8 Liabilities Level3 (Unobservable)
502 datadate Num 8 Data Date