Value Assertions

CodeLabelSeverity
boe_AS_v0001Where the Instrument Type is "Equity Instruments and CIUs" AND Closing volume (equity instruments an ...ERROR
boe_AS_v0002Issuer residency, Instrument Type, IFRS 9 Classification, Instrument currency, Listed, Closing Balan ...ERROR
boe_AS_v0012Value must be reported with 'decimal' attribute greater than or equal to 5ERROR
boe_AS_v0013Value must be reported with 'decimal' attribute greater than or equal to 2ERROR
boe_AS_v0014Where ISIN is not reported then URI 2 should be populatedERROR
boe_AS_v0015All closing volume columns must be reported for a single instrument type, whilst the other type must ...ERROR
boe_AS_v0016If Current price (debt securities) is populated then Current price (equity instruments and investmen ...ERROR
boe_AS_v0017If Volume Weighted Average Price (debt securities) is populated then Volume Weighted Average Price ( ...ERROR
boe_AS_v0018Final maturity date must be later than issue dateERROR
boe_AS_v0019Items must be reported with the currency unit the same as indicated in Instrument currencyERROR
boe_AS_v0027Where the Value of transactions (net sales or acquisitions) is equal to 0, then Volume Weighted Aver ...ERROR
boe_AS_v0028Item should be either reported with a prefix of 'ISIN/' followed by 12 alphanumeric characters or wi ...ERROR
boe_AS_v0029Item should be either reported with a prefix of 'CUSIP/' followed by 9 alphanumeric characters or wi ...ERROR
boe_AS_v0030Where URI2 is reported as an ISIN then there must also be an ISIN reported in the ISIN columnERROR
boe_AS_v0031Issuer LEI must be alphanumeric and 20 characters longERROR
boe_AS_v0032Where the Instrument Type is "Equity Instruments and CIUs" then Securitisation must not be populatedERROR
boe_AS_v0033Where the Instrument Type is "Debt securities [Statistics]" and Instrument sub-type is not "Preferre ...ERROR
boe_AS_v0034Where the Instrument Type is "Debt securities [Statistics]", then Coupon type must be populatedERROR
boe_AS_v0035Where the Instrument Type is "Debt securities [Statistics]" AND Coupon type is "Fixed rate", then Cu ...ERROR
boe_AS_v0036Closing Balance (market) must equal Closing Volume (debt instruments) * Current Price (debt securiti ...ERROR
boe_AS_v0037ISIN must be reported as a valid ISIN that is pre-fixed with ISIN/ and 12 alphanumeric characters lo ...ERROR
boe_AS_v0038Where the Instrument Type is "Debt securities [Statistics]", then the instrument sub type must be ei ...ERROR
boe_AS_v0039Where Instrument type is Equity then Coupon type and coupon rate must be left blank.ERROR
boe_AS_v0047Where the Instrument Type is "Equity Instruments and CIUs", then Closing Volume (equity instruments ...ERROR
boe_BI_v0001Either Legal Entity Identifier (LEI) or Firm Reference Number (FRN) and Institution Name and Reporti ...ERROR
boe_BI_v0002Legal Entity Identifier (LEI) has not been providedWARNING
boe_BI_v0003Legal Entity Identifier (LEI) must follow the ISO 17442 standard and be a 20 character alphanumeric, ...ERROR
boe_BI_v0004Firm Reference Number (FRN) must contain between 6 and 8 digit numbersERROR
boe_BI_v0005Legal Entity Identifier (LEI) or Firm Reference Number (FRN) provided in BI.01.01.01 must match enti ...ERROR
boe_BI_v0006Reporting period end date must match date indicated in XBRL contextERROR
boe_BI_v0007Any monetary value must be reported with GBP currency XBRL unitERROR