us-gaap: NontradeReceivables
Nontrade Receivables
period type: instant
balance type: debit
xbrli:monetaryItemType
Definition:
Carrying amounts due as of the balance sheet date of the sum of amounts receivable other than from customers.
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period type: instant
balance type: debit
xbrli:monetaryItemType
Definition:
Carrying amounts due as of the balance sheet date of the sum of amounts receivable other than from customers.
Benchmark this element *login required
Parents:
Assets
NontradeReceivablesUnclassifiedAbstract
Children:
108000 - Statement - Statement of Financial Position, Unclassified - Deposit Based Operations
CreditCardReceivables
DividendsReceivable
InterestReceivable
IncomeTaxReceivable
ValueAddedTaxReceivable
ReceivableForRecoveryOfImportDutiesNet
InsuranceSettlementsReceivable
GrantsReceivable
InsuranceReceivableForMalpractice
SalesTypeAndDirectFinancingLeasesLeaseReceivable
OilAndGasJointInterestBillingReceivables
Search Elements:
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Work with financial data online or in Excel. Query our database, or search and compare disclosures across companies. API also available.
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Sign-up for our two week free trial for access to our full Premium Suite. (no commitment required)