*

Term: Description of how entity determined that third-party information used in fair value measurement was developed in accordance with IFRS 13, assets
Standard Label: Description of how entity determined that third-party information used in fair value measurement was developed in accordance with IFRS 13, assets
Name: ifrs-full:DescriptionOfHowEntityDeterminedThatThirdpartyInformationUsedInFairValueMeasurementWasDevelopedInAccordanceWithIFRS13Assets
Identifier: ifrs-full_DescriptionOfHowEntityDeterminedThatThirdpartyInformationUsedInFairValueMeasurementWasDevelopedInAccordanceWithIFRS13Assets
Documentation: The description of how the entity determined that third-party information, such as broker quotes or pricing services, used in the fair value measurement of assets, was developed in accordance with IFRS 13.
Category of Term: Concept
References: IFRS 13 93 g | IFRS 13 IE65 d
Balance type: none
Period type: duration
Data type: xbrli:stringItemType

Last updated: 12/22/2019 8:31:01 AM

Public Domain