s2md_tS.36.02.01.01 - IGT - Derivatives

S.36.02.01.01
Investor/ BuyerIssuer/ Seller nameTransaction typeTransaction Trade dateMaturity dateCurrencyNotional amount at transaction dateNotional amount at reporting dateValue of collateralOptions, futures, forwards and other derivativesCredit protection - CDS and GuaranteesSwaps
Use of derivatives (by buyer)Identification code and type of code Asset / Liability underlying the derivativeCounterparty name for which credit protection is purchasedSwap delivered interest rate (for buyer)Swap received interest rate (for buyer)Swap delivered currency (for buyer)Swap received currency (for buyer)
C0020C0050C0100C0110C0120C0130C0140C0150C0160C0170C0180C0200C0210C0220C0230C0240
s2c_dim:YBs2c_dim:GXs2c_dim:UIs2c_dim:IXs2c_dim:ZS
Line identification C0001
ID of intragroup transaction C0010
ID code and type of code of the instrument C0080
Identification code and type of code of investor / buyer C0030
Identification code and type of code of the issuer / seller C0060