| Standard Label: | Description of how third-party information was taken into account when measuring fair value, assets |
| Name: | ifrs-full:DescriptionOfHowThirdpartyInformationWasTakenIntoAccountWhenMeasuringFairValueAssets |
| Identifier: | ifrs-full_DescriptionOfHowThirdpartyInformationWasTakenIntoAccountWhenMeasuringFairValueAssets |
| Documentation: | The description of how third-party information, such as broker quotes, pricing services, net asset values and relevant market data, was taken into account when measuring the fair value of assets. |
| Category of Term: | Concept |
| References: | IFRS 13 92 | IFRS 13 IE64 b |
| Balance type: | none |
| Period type: | duration |
| Data type: | xbrli:stringItemType |
Last updated: 12/22/2019 8:31:01 AM