Territorial unit (TRRTRL_UNT) Entity's territorial unit
Third party priority claims against the protection  (THRD_PRTY_PRRTY_CLMS) The maximum amount of any existing higher ranked liens with respect to third parties other than the observed agent against the protection.
Transaction identifier (TRNSCTN_ID) An identifier applied by the reporting agent to uniquely identify each transaction (loan/deposit, credit facility, guarantee, securitisation).
Transferred amount (TRNSFRRD_AMNT) Transferred amount of the economic ownership of the financial asset.
Treatment of securitised/transferred assets in balance sheet (TRTMNT_TRNSFRRD_ASSTS_BLNC_SHT) It defines the treatment of transferred assets in the balance sheet.
Treatment of securitised/transferred assets in balance sheet (TRTMNT_TRNSFRRD_ASSTS_BLNC_SHT)
Treatment of transferred assets in balance sheet - full domain (TRTMNT_TRNSFRRD_ASSTS_BLNC_SHT)
Type of amortisation (TYP_AMRTSTN) Type of amortisation of the instrument including principal and interest.
Type of amortisation including not applicable (TYP_AMRTSTN_WNA)
Type of asset provided as security (TYP_ASST_SCRTSTN)
Type of asset provided as security (TYP_ASST_SCRTSTN) Type of asset provided as security.
Type of component (TYP_CMPNNT)
Type of component (TYP_CMPNNT) The components (head office, foreign branches) of the legal entity
Type of component (TYP_CMPNNT)
Type of counterparty external identifier (TYP_CNTRPRTY_EXTRNL_ID) Specifies a type of identifier for counterparties.
Type of enterprise (TYP_ENTRPRS)
Type of enterprise (TYP_ENTRPRS)
Type of enterprise (TYP_ENTRPRS) Type of enterprise, in accordance with the Annex to Commission Recommendation 2003/361/EC.
Type of facility (TYP_FCLTY)
Type of facility (TYP_FCLTY) It defines whether a credit facility can be linked to only one instrument or to many instruments.
Type of facility - full domain (TYP_FCLTY)
Type of group (GRP_TYP) tyepe of group (insurance, bank, etc.)
Type of group (CL_SHS_GROUP_TYPE)
Type of groups (GRP_TYP)
type of groups (GRP_TYP)
Type of instrument (TYP_INSTRMNT) Classification of the instrument according to the type of contractual terms agreed between the parties.
Type of instrument (TYP_INSTRMNT)
Type of interest rate (TYP_INTRST_RT) Classification of credit exposures based on the base rate for establishing the interest rate for each payment period.
Type of protection (TYP_PRTCTN)
Type of protection (TYP_PRTCTN) Type of protection received, irrespective of its eligibility for credit risk mitigation.
Type of protection value (TYP_PRTCTN_VL) Identification of the type of value provided in the data attribute ‘Protection value’.
Type of protection value (TYP_PRTCTN_VL) Identification of the type of value provided in the data attribute ‘Protection value’.
Type of prudential consolidation (TYP_PRDTL_CNSLDTN) Methods for prudential consolidation as defined by art.18 of Regulation (EU) No 575/2013.
Type of prudential consolidation (TYP_PRDTL_CNSLDTN)
Type of prudential consolidation - full domain (TYP_PRDTL_CNSLDTN_ALL)
Type of risk transfer (TYP_RSK_TRNSFR) It defines the type of risk transfer.
Type of risk transfer (TYP_RSK_TRNSFR)
Type of risk transfer - full domain (TYP_RSK_TRNSFR)
Type of securitisation (TYP_SCRTSTN) Identification of the securitisation type, in accordance with Article 242(10) and (11) of Regulation (EU) No 575/2013.
Type of transaction (TYP_TRNSCTN)
Type of transaction (TYP_TRNSCTN)
Type of transaction (TYP_TRNSCTN) It defines the type of transaction to which the transaction identifier refers.
Type of transaction - instruments (TYP_TRNSCTN_INSTRMNTS)
Type of transaction - protections (TYP_TRNSCTN_PRTCTNS)
Type of Transfer (TYP_TRNSFR)
Types of protection applicable to a pool of (repo) items (TYP_PRTCTN_PL_ITM)
Types of protection applicable to other financial protection (TYP_PRTCTN_FNNCL)
Types of protection applicable to other physical protection (TYP_PRTCTN_PHYSCL)
Types of protection applicable to real estate (TYP_PRTCTN_RL_ESTT)