Disclosure Information: Reconciliation of summarised financial information of associate accounted for using equity method to carrying amount of interest in associate
   
Label: Reconciliation of summarised financial information of associate accounted for using equity method to carrying amount of interest in associate
Name: ReconciliationOfSummarisedFinancialInformationOfAssociateAccountedForUsingEquityMethodToCarryingAmountOfInterestInAssociate
Parent Topic: OtherFinancialStatementAccounts
Documentation: The disclosure of the reconciliation of the summarised financial information of an associate accounted for using the equity method to the carrying amount of the reporting entity's interest in the associate. [Refer: Carrying amount [member]; Associates [me
Commentary:
Level:
Concept arrangement pattern: [Hierarchy]
Completion state:
Status: OK
Templates:
Exemplars: Example
Taxonomy Network: http://xbrl.ifrs.org/role/ifrs/ias_1_2021-03-24_role-800500

Line Label Object Class (Data type) Period Type Balance Report Element Name

Business Rules for Disclosure: Controlled Natural Language

Business Rules for Disclosure: Machine-Readable
From Arcrole (predicate) To

Exemplars Available for Disclosure: Machine-Readable
Entity Name and Text Block or Detailed Disclosure

Visual example
Example

*


Last updated: 5/10/2021 5:12:28 PM

Auditchain