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Dataset List: Compustat (COMP) Dataset List → Compustat (COMP) → Company Annual Item (M-Z) (CO_AFND2)
Position Variable Name Type Length Description
1 GVKEY Char 6 Global Company Key
2 INDFMT Char 12 Industry Format
3 DATAFMT Char 12 Data Format
4 CONSOL Char 2 Level of Consolidation - Company Annual Fundamental
5 POPSRC Char 1 Population Source - Company Annual Fundamental
6 MIB Num 8 Noncontrolling Interest (Balance Sheet)
7 MIBN Num 8 Noncontrolling Interests - Nonredeemable - Balance Sheet
8 MIBT Num 8 Noncontrolling Interests - Total - Balance Sheet
9 MIC Num 8 Noncontrolling Interest (Cash Flow)
10 MII Num 8 Noncontrolling Interest (Income Account)
11 MISEQ Num 8 Noncontrolling Interest In Stockholders Equity > Change
12 MRC1 Num 8 Rental Commitments - Minimum - 1st Year
13 MRC2 Num 8 Rental Commitments - Minimum - 2nd Year
14 MRC3 Num 8 Rental Commitments - Minimum - 3rd Year
15 MRC4 Num 8 Rental Commitments - Minimum - 4th Year
16 MRC5 Num 8 Rental Commitments - Minimum - 5th Year
17 MRCT Num 8 Rental Commitments - Minimum - 5 Year Total
18 MRCTA Num 8 Thereafter Portion of Leases
19 MSA Num 8 Marketable Securities Adjustment
20 MSVRV Num 8 Mandatory Securities Valuation Reserve (Statutory)
21 MTL Num 8 Loans From Securities Finance Companies for Margin Transactions
22 NAT Num 8 Nonadmitted Assets - Total (Statutory)
23 NCFLIQ Num 8 Net Cash Flow Before Management of Liquid Resources and Financing
24 NCO Num 8 Net Charge-Offs
25 NEQMI Num 8 Non-Equity and Noncontrolling Interest Dividends Paid
26 NFSR Num 8 Non-Financial Services Revenue
27 NI Num 8 Net Income (Loss)
28 NIADJ Num 8 Net Income Adjusted for Common/Ordinary Stock (Capital) Equivalents
29 NIECI Num 8 Net Income Effect Capitalized Interest
30 NIINT Num 8 Net Interest Income
31 NIIT Num 8 Net Interest Income (Tax Equivalent)
31 NIINTPFC Num 8 Pro Forma Net Interest Income - Current
32 NIINTPFP Num 8 Pro Forma Net Interest Income -
Prior
32 NIM Num 8 Net Interest Margin
33 NIO Num 8 Net Items - Other
34 NIT Num 8 Net Item - Total
35 NITS Num 8 Net Income - Total (Statutory)
36 NOASUB Num 8 Net Overdrafts Acquired with Subsidiaries
36 NIPFC Num 8 Pro Forma Net Income - Current
37 NIPFP Num 8 Pro Forma Net Income - Prior
37 NOPI Num 8 Nonoperating Income (Expense)
38 NOPIO Num 8 Nonoperating Income (Expense) - Other
39 NP Num 8 Notes Payable - Short-Term Borrowings
40 NPANL Num 8 Nonperforming Assets - Nonaccrual Loans
41 NPAORE Num 8 Nonperforming Assets - Other Real Estate Owned
42 NPARL Num 8 Nonperforming Assets - Restructured Loans
43 NPAT Num 8 Nonperforming Assets - Total
44 NPFS Num 8 Short Term Borrowings - FS (Memo)
45 NRTXT Num 8 Nonrecurring Income Taxes After-tax
46 NRTXTD Num 8 Nonrecurring Income Tax Diluted EPS Effect
47 NRTXTEPS Num 8 Nonrecurring Income Tax Basic EPS Effect
48 OANCF Num 8 Operating Activities - Net Cash Flow
49 OANCFC Num 8 Operating Activities - Net Cash Flow - Continuing Operations
50 OANCFD Num 8 Operating Activities - Net Cash Flow - Discontinued Operations
51 OB Num 8 Order Backlog
52 OIADP Num 8 Operating Income After Depreciation
53 OIBDP Num 8 Operating Income Before Depreciation
54 ONBALB Num 8 Other Net Balances at Beginning of Year
55 ONBALE Num 8 Other Net Balances at End of Year
56 OPEPS Num 8 Earnings Per Share from Operations
57 OPILI Num 8 Operating Income - Life
58 OPINCAR Num 8 Operating Income - As Reported
59 OPINI Num 8 Operating Income - Non-Life
60 OPIOI Num 8 Operating Income - Other
61 OPIRI Num 8 Operating Income - Reinsurance
62 OPITI Num 8 Operating Income - Total
63 OPPRFT Num 8 Operating Profit
64 OPREPSX Num 8 Earnings Per Share - Diluted - from Operations
65 OPRO Num 8 Operating Revenues - Other
66 OPTCA Num 8 Options - Cancelled (-)
67 OPTDR Num 8 Dividend Rate - Assumption (%)
68 OPTEX Num 8 Options Exercisable (000)
69 OPTEXD Num 8 Options - Exercised (-)
70 OPTFVGR Num 8 Options - Fair Value of Options Granted
71 OPTGR Num 8 Options - Granted
72 OPTLIFE Num 8 Life of Options - Assumption (# yrs)
73 OPTOSBY Num 8 Options Outstanding - Beg of Year
74 OPTOSEY Num 8 Options Outstanding - End of Year
75 OPTPRCBY Num 8 Options Outstanding Beg of Year - Price
76 OPTPRCCA Num 8 Options Cancelled - Price
77 OPTPRCEX Num 8 Options Exercised - Price
78 OPTPRCEY Num 8 Options Outstanding End of Year - Price
79 OPTPRCGR Num 8 Options Granted - Price
80 OPTPRCWA Num 8 Options Exercisable - Weighted Avg Price
81 OPTRFR Num 8 Risk Free Rate - Assumption (%)
82 OPTVOL Num 8 Volatility - Assumption (%)
83 PACQP Num 8 Preacquisition Profits
84 PALR Num 8 Premiums Assumed - Life
85 PANLR Num 8 Premiums Assumed - Nonlife
86 PATR Num 8 Premiums Assumed - Total
87 PCL Num 8 Provision - Credit Losses (Income Account)
88 PCLR Num 8 Premiums Ceded - Life
89 PCNLR Num 8 Premiums Ceded - Nonlife
90 PCTR Num 8 Premiums Ceded - Total
91 PDVC Num 8 Cash Dividends on Preferred/Preference Stock (Cash Flow)
92 PI Num 8 Pretax Income
93 PIDOM Num 8 Pretax Income - Domestic
94 PIFO Num 8 Pretax Income - Foreign
95 PLIACH Num 8 Pension Liabilities - Change
96 PLL Num 8 Provision for Loan/Asset Losses
97 PLTBL Num 8 Premiums - Life - Total (Business Line)
98 PNCA Num 8 Core Pension Adjustment
99 PNCAD Num 8 Core Pension Adjustment Diluted EPS Effect
100 PNCAEPS Num 8 Core Pension Adjustment Basic EPS Effect
101 PNCIA Num 8 Core Pension Interest Adjustment After-tax
102 PNCID Num 8 Core Pension Interest Adjustment Diluted EPS Effect
103 PNCIEPS Num 8 Core Pension Interest Adjustment Basic EPS Effect
104 PNCIP Num 8 Core Pension Interest Adjustment Pretax
105 PNCWIA Num 8 Core Pension w/o Interest Adjustment After-tax
106 PNCWID Num 8 Core Pension w/o Interest Adjustment Diluted EPS Effect
107 PNCWIEPS Num 8 Core Pension w/o Interest Adjustment Basic EPS Effect
108 PNCWIP Num 8 Core Pension w/o Interest Adjustment Pretax
109 PNLBL Num 8 Premiums - Nonlife - Total (Business Line)
110 PNLI Num 8 Premiums Written - Non-Life
111 PNRSHO Num 8 Nonred Pfd Shares Outs (000)
112 POBL Num 8 Premiums - Other (Business
Line)
113 PPCBL Num 8 Personal Property and Casualty Claims (Business Line)
114 PPEGT Num 8 Property, Plant and Equipment - Total (Gross)
115 PPENB Num 8 Property, Plant, and Equipment - Buildings (Net)
116 PPENC Num 8 Property, Plant, and Equipment - Construction in Progress (Net)
117 PPENLI Num 8 Property, Plant, and Equipment - Land and Improvements (Net)
118 PPENLS Num 8 Property, Plant, and Equipment - Leases (Net)
119 PPENME Num 8 Property, Plant, and Equipment - Machinery and Equipment (Net)
120 PPENNR Num 8 Property, Plant, and Equipment - Natural Resources (Net)
121 PPENO Num 8 Property, Plant, and Equipment - Other (Net)
122 PPENT Num 8 Property, Plant and Equipment - Total (Net)
123 PPEVBB Num 8 Property, Plant and Equipment - Beginning Balance (Schedule V)
124 PPEVEB Num 8 Property, Plant, and Equipment - Ending Balance (Schedule V)
125 PPEVO Num 8 Property, Plant, and Equipment - Other Changes (Schedule V)
126 PPEVR Num 8 Property, Plant and Equipment - Retirements (Schedule V)
127 PPPABL Num 8 Personal Property and Casualty Premiums - Automobile (Business Line)
128 PPPHBL Num 8 Personal Property and Casualty Premiums - Homeowners (Business Line)
129 PPPOBL Num 8 Personal Property and Casualty Premiums - Other (Business Line)
130 PPPTBL Num 8 Personal Property & Casualty Premiums - Total (Business Line)
131 PRC Num 8 Participation Rights Certificates
132 PRCA Num 8 Core Post Retirement Adjustment
133 PRCAD Num 8 Core Post Retirement Adjustment Diluted EPS Effect
134 PRCAEPS Num 8 Core Post Retirement Adjustment Basic EPS Effect
135 PREBL Num 8 Premiums - Reinsurance (Business Line)
136 PRI Num 8 Premiums Written - Reinsurance
137 PRODV Num 8 Proposed Dividends
138 PROSAI Num 8 Proceeds From Sale of Fixed Assets and Sale of Investments
139 PRSHO Num 8 Redeem Pfd Shares Outs (000)
140 PRSTKC Num 8 Purchase of Common and Preferred Stock
141 PRSTKCC Num 8 Purchase of Common Stock (Cash Flow)
142 PRSTKPC Num 8 Purchase of Preferred/Preference Stock (Cash Flow)
143 PRV Num 8 Provisions (Cash Flow)
144 PRVT Num 8 Policy Reserves - Total (Statutory)
145 PSFIX Num 8 Proceeds From Sale of Fixed
Assets
146 PSTK Num 8 Preferred/Preference Stock (Capital) - Total
147 PSTKC Num 8 Preferred Stock - Convertible
148 PSTKL Num 8 Preferred Stock - Liquidating Value
149 PSTKN Num 8 Preferred/Preference Stock - Nonredeemable
150 PSTKR Num 8 Preferred/Preference Stock - Redeemable
151 PSTKRV Num 8 Preferred Stock - Redemption Value
152 PTBL Num 8 Premiums - Total (Business Line)
153 PTRAN Num 8 Principal Transactions
154 PURTSHR Num 8 Purchase of Treasury Shares
155 PVCL Num 8 Provision - Credit Losses (Balance Sheet)
156 PVO Num 8 Provision - Other
157 PVON Num 8 Provisions - Other (Net)
158 PVPL Num 8 Provision - Pension Liabilities
159 PVT Num 8 Provisions - Total
160 PWOI Num 8 Premiums Written - Other
161 RADP Num 8 Reinsurance Assets - Deposits and Other (Insurance)
162 RAGR Num 8 Resale Agreements
163 RARI Num 8 Reinsurance Assets - Receivable/Debtors (Insurance)
164 RATI Num 8 Reinsurance Assets - Total (Insurance)
165 RAWMSM Num 8 Raw Materials, Supplies, and Merchandise
166 RCA Num 8 Restructuring Costs After-tax
167 RCD Num 8 Restructuring Costs Diluted EPS Effect
168 RCEPS Num 8 Restructuring Costs Basic EPS Effect
169 RCL Num 8 Reserves for Credit Losses (Assets)
170 RCP Num 8 Restructuring Costs Pretax
171 RDIP Num 8 In Process R&D Expense
172 RDIPA Num 8 In Process R&D Expense After-tax
173 RDIPD Num 8 In Process R&D Expense Diluted EPS Effect
174 RDIPEPS Num 8 In Process R&D Expense Basic EPS Effect
175 RDP Num 8 Regulatory Deposits
176 RE Num 8 Retained Earnings
177 REA Num 8 Retained Earnings - Restatement
178 REAJO Num 8 Retained Earnings - Other Adjustments
179 RECCH Num 8 Accounts Receivable - Decrease (Increase)
180 RECCO Num 8 Receivables - Current - Other
181 RECCOFS Num 8 Receivables - Other - FS (Memo)
182 RECD Num 8 Receivables - Estimated Doubtful
183 RECT Num 8 Receivables - Total
184 RECTA Num 8 Retained Earnings - Cumulative Translation Adjustment
185 RECTFS Num 8 Receivables - Total - FS (Memo)
186 RECTR Num 8 Receivables - Trade
187 RECTRFS Num 8 Receivables - Trade - FS (Memo)
188 RECUB Num 8 Unbilled Receivables
189 RET Num 8 Total RE Property
190 REUNA Num 8 Retained Earnings - Unadjusted
191 REUNR Num 8 Retained Earnings - Unrestricted
192 REVT Num 8 Revenue - Total
193 RIS Num 8 Revenue/Income - Sundry
194 RLL Num 8 Reserve for Loan/Asset Losses
195 RLO Num 8 Reinsurance Liabilities - Other
196 RLP Num 8 Reinsurance Liabilities - Payables/Creditors
197 RLRI Num 8 Reinsurers\'\'\'\' Liability for Reserves (Insurance)
198 RLT Num 8 Reinsurance Liabilities - Total
199 RMUM Num 8 Auditors\'\'\'\' Remuneraton
200 RPAG Num 8 Repurchase Agreements
201 RRA Num 8 Reversal - Restructruring/Acquisition Aftertax
202 RRD Num 8 Reversal - Restructuring/Acq Diluted EPS Effect
203 RREPS Num 8 Reversal - Restructuring/Acq Basic EPS Effect
204 RRP Num 8 Reversal - Restructruring/Acquisition Pretax
205 RV Num 8 Reserves
206 RVBCI Num 8 Reserves for Benefits - Life - Claims (Insurance)
207 RVBPI Num 8 Reserves for Benefits - Life -
Policy (Insurance)
208 RVBTI Num 8 Reserves for Benefits - Life - Total (Insurance)
209 RVDO Num 8 Reserves - Distributable - Other
210 RVDT Num 8 Reserves - Distributable - Total
211 RVEQT Num 8 Equity Reserves - Total
212 RVLRV Num 8 Revaluation Reserve
213 RVNO Num 8 Reserves - Nondistributable - Other
214 RVNT Num 8 Reserves - Nondistributable - Total
215 RVRI Num 8 Reserves - Reinsurance (Insurance)
216 RVSI Num 8 Reserves - Sundry (Insurance)
217 RVTI Num 8 Reserves - Total
218 RVTXR Num 8 Reserves - Tax-Regulated
219 RVUPI Num 8 Reserves for Unearned Premiums (Insurance)
220 RVUTX Num 8 Reserves - Untaxed
221 SAA Num 8 Separate Account Assets
222 SAL Num 8 Separate Account Liabilities
223 SALE Num 8 Sales/Turnover (Net)
224 SBDC Num 8 Securities Borrowed and Deposited by Customers
225 SC Num 8 Securities In Custody
226 SCO Num 8 Share Capital - Other
227 SCSTKC Num 8 Sale of Common Stock (Cash Flow)
228 SECU Num 8 Securities Gains (Losses) - Unrealized
228 SALEPFC Num 8 Pro Forma Net Sales - Current Year
229 SALEPFP Num 8 Pro Forma Net Sales - Prior Year
229 SEQ Num 8 Stockholders Equity - Parent
230 SEQO Num 8 Other Stockholders- Equity Adjustments
231 SETA Num 8 Settlement (Litigation/Insurance) After-tax
232 SETD Num 8 Settlement (Litigation/Insurance) Diluted EPS Effect
233 SETEPS Num 8 Settlement (Litigation/Insurance) Basic EPS Effect
234 SETP Num 8 Settlement (Litigation/Insurance) Pretax
235 SHRCAP Num 8 Share Capital Transactions - Other
236 SIV Num 8 Sale of Investments
237 SPCE Num 8 S&P Core Earnings
238 SPCED Num 8 S&P Core Earnings EPS Diluted
239 SPCEEPS Num 8 S&P Core Earnings EPS Basic
240 SPI Num 8 Special Items
241 SPID Num 8 Other Special Items Diluted EPS Effect
242 SPIEPS Num 8 Other Special Items Basic EPS Effect
243 SPIOA Num 8 Other Special Items After-tax
244 SPIOP Num 8 Other Special Items Pretax
245 SPPCH Num 8 Sale of Fixed Assets - (Gain) Loss
246 SPPE Num 8 Sale of Property
247 SPPIV Num 8 Sale of Property, Plant and Equipment and Investments - Gain (Loss)
248 SPSTKC Num 8 Sale of Preferred/Preference Stock (Cash Flow)
249 SRET Num 8 Gain/Loss on Sale of Property
250 SRT Num 8 Surplus - Total (Statutory)
251 SSNP Num 8 Securities Sold Not Yet Purchased
252 SSTK Num 8 Sale of Common and Preferred Stock
253 STBO Num 8 Short-Term Borrowings - Other
254 STFIXA Num 8 Sale of Tangible Fixed Assets
255 STINV Num 8 Short Term Investments - (Increase)/Decrease
256 STIO Num 8 Short-Term Investments - Other
257 STKCH Num 8 Change in Stocks
258 STKCO Num 8 Stock Compensation Expense
259 STKCPA Num 8 After-tax stock compensation
260 SUBDIS Num 8 Subsidiary Undertakings - Disposal
261 SUBPUR Num 8 Subsidiary Undertakings - Purchase
262 TDC Num 8 Deferred Income Taxes - Net (Cash Flow)
263 TDSCD Num 8 Trading/Dealing Account Securities - Corporate Debt
264 TDSCE Num 8 Trading/Dealing Account Securities - Corporate Equity
265 TDSG Num 8 Trading/Dealing Securities - Gain (Loss)
266 TDSLG Num 8 Trading/Dealing Account
Securities - Local Governments
267 TDSMM Num 8 Trading/Dealing Account Securities - Money Market
268 TDSNG Num 8 Trading/Dealing Account Securities - National Governments
269 TDSO Num 8 Trading/Dealing Account Securities - Other
270 TDSS Num 8 Trading/Dealing Account Securities - Sundry
271 TDST Num 8 Trading/Dealing Account Securities - Total
272 TEQ Num 8 Stockholders Equity - Total
273 TF Num 8 Trust Fees
274 TFVA Num 8 Total Fair Value Assets
275 TFVCE Num 8 Total Fair Value Changes including Earnings
276 TFVL Num 8 Total Fair Value Liabilities
277 TIE Num 8 Interest Expense - Total (Financial Services)
278 TII Num 8 Interest Income - Total (Financial Services)
279 TLCF Num 8 Tax Loss Carry Forward
280 TRANSA Num 8 Cumulative Translation Adjustment
281 TSA Num 8 Treasury Stock (Assets)
282 TSAFC Num 8 Total Sources/Applications of Funds (Cash Flow)
283 TSCA Num 8 Treasury Stock (Current Asset)
284 TSO Num 8 Treasury Stock - Other Share Capital
285 TSTK Num 8 Treasury Stock - Total (All
Capital)
286 TSTKC Num 8 Treasury Stock - Common
287 TSTKME Num 8 Treasury Stock Book Value - Memo Entry
288 TSTKN Num 8 Treasury Stock - Number of Common Shares
289 TSTKP Num 8 Treasury Stock - Preferrred
290 TSTLTA Num 8 Treasury Stock (Long-Term Asset)
291 TX Num 8 Taxation
292 TXACH Num 8 Income Taxes - Accrued - Increase/(Decrease)
293 TXBCO Num 8 Excess Tax Benefit Stock Options - Cash Flow Operating
294 TXBCOF Num 8 Excess Tax Benefit of Stock Options - Cash Flow Financing
295 TXC Num 8 Income Taxes - Current
296 TXDB Num 8 Deferred Taxes (Balance Sheet)
297 TXDBA Num 8 Deferred Tax Asset - Long Term
298 TXDBCA Num 8 Deferred Tax Asset - Current
299 TXDBCL Num 8 Deferred Tax Liability - Current
300 TXDC Num 8 Deferred Taxes (Cash Flow)
301 TXDFED Num 8 Deferred Taxes-Federal
302 TXDFO Num 8 Deferred Taxes-Foreign
303 TXDI Num 8 Income Taxes - Deferred
304 TXDITC Num 8 Deferred Taxes and Investment Tax Credit
305 TXDS Num 8 Deferred Taxes-State
306 TXEQA Num 8 Tax - Equivalent Adjustment
307 TXEQII Num 8 Tax - Equivalent Interest
Income (Gross)
308 TXFED Num 8 Income Taxes - Federal
309 TXFO Num 8 Income Taxes - Foreign
310 TXNDB Num 8 Net Deferred Tax Asset (Liab) - Total
311 TXNDBA Num 8 Net Deferred Tax Asset
312 TXNDBL Num 8 Net Deferred Tax Liability
313 TXNDBR Num 8 Deferred Tax Residual
314 TXO Num 8 Income Taxes - Other
315 TXOP Num 8 Taxation - Operating Activities
316 TXP Num 8 Income Taxes Payable
317 TXPD Num 8 Income Taxes Paid
318 TXPFS Num 8 Taxes Payable - Current - FS (Memo)
319 TXR Num 8 Income Tax Refund
320 TXS Num 8 Income Taxes - State
321 TXT Num 8 Income Taxes - Total
322 TXTUBADJUST Num 8 Other Unrecog Tax Benefit Adj.
323 TXTUBBEGIN Num 8 Unrecog. Tax Benefits - Beg of Year
324 TXTUBEND Num 8 Unrecog. Tax Benefits - End of Year
325 TXTUBMAX Num 8 Chg. In Unrecog. Tax Benefits - Max
326 TXTUBMIN Num 8 Chg. In Unrecog. Tax Benefits - Min
327 TXTUBPOSDEC Num 8 Decrease- Current Tax Positions
328 TXTUBPOSINC Num 8 Increase- Current Tax Positions
329 TXTUBPOSPDEC Num 8 Decrease- Prior Tax Positions
330 TXTUBPOSPINC Num 8 Increase- Prior Tax Positions
331 TXTUBSETTLE Num 8 Settlements with Tax Authorities
332 TXTUBSOFLIMIT Num 8 Lapse of Statute of Limitations
333 TXTUBTXTR Num 8 Impact on Effective Tax Rate
334 TXTUBXINTBS Num 8 Interest & Penalties Accrued - B/S
335 TXTUBXINTIS Num 8 Interest & Penalties Reconized - I/S
336 TXVA Num 8 Value Added Taxes
337 TXW Num 8 Excise Taxes
338 UAOLOCH Num 8 Other Assets and Liabilities - Net Change (Statement of Cash Flows)
339 UAOX Num 8 Other Assets - Utility
340 UAPT Num 8 Accounts Payable - Utility
341 UCAPS Num 8 Paid in Capital - Other
342 UCCONS Num 8 Contributions in Aid of Construction
343 UCEQ Num 8 Common Equity Total - Utility
344 UCUSTAD Num 8 Customer Advances for Construction
345 UDCOPRES Num 8 Deferred Credits and Operating Reserves - Other
346 UDD Num 8 Debt (Debentures)
347 UDFCC Num 8 Deferred Fuel - Increase (Decrease) (Statement of Cash Flows)
348 UDMB Num 8 Debt (Mortgage Bonds) - Utility
349 UDOLT Num 8 Debt (Other Long-Term) - Utility
350 UDPCO Num 8 Debt (Pollution Control Obligations) - Utility
351 UDPFA Num 8 Depreciation of Fixed Assets
352 UDVP Num 8 Preferred Dividend Requirements
353 UFRETSD Num 8 Funds for Retirement of Securities and Short-Term Debt (Cash Flow)
354 UGI Num 8 Gross Income (Income Before Interest Charges)
355 UI Num 8 Unearned Income
356 UINVT Num 8 Inventories - Utility
357 ULCM Num 8 Current Liabilities - Miscellaneous
358 ULCO Num 8 Current Liabilities - Other - Utility
359 UNIAMI Num 8 Net Income before Extraordinary Items and after Noncontrolling Interest
360 UNL Num 8 Unappropriated Net Loss
361 UNNP Num 8 Unappropriated Net Profit (Stockholders\'\'\'\' Equity)
362 UNNPL Num 8 Unappropriated Net Profit
363 UNOPINC Num 8 Nonoperating Income (Net) - Other
364 UNWCC Num 8 Working Capital (Use) - Increase (Decrease) (Cash Flow)
365 UOIS Num 8 Other Internal Sources - Net (Cash Flow)
366 UOPI Num 8 Operating Income - Total - Utility
367 UOPRES Num 8 Operating Reserves
368 UPDVP Num 8 Preference Dividend Requirements*
369 UPMCSTK Num 8 Premium on Common Stock*
370 UPMPF Num 8 Premium on Preferred Stock*
371 UPMPFS Num 8 Premium on Preference Stock*
372 UPMSUBP Num 8 Premium on Subsidiary Preferred Stock*
373 UPSTK Num 8 Preferred Stock at Carrying Value
374 UPSTKC Num 8 Preference Stock at Carrying Value*
375 UPSTKSF Num 8 Preferred/Preference Stock Sinking Fund Requirement
376 URECT Num 8 Receivables (Net)
377 URECTR Num 8 Accounts Receivable - Trade - Utility
378 UREVUB Num 8 Accrued Unbilled Revenues (Balance Sheet)
379 USPI Num 8 Special Items
380 USTDNC Num 8 Short-Term Debt - Decrease (Increase) (Cash Flow)
381 USUBDVP Num 8 Subsidiary Preferred Dividends
382 USUBPSTK Num 8 Subsidiary Preferred Stock at Carrying Value
383 UTFDOC Num 8 Total Funds From Operations (Cash Flow)
384 UTFOSC Num 8 Total Funds from Outside Sources (Cash Flow)
385 UTME Num 8 Maintenance Expense - Total
386 UTXFED Num 8 Current Taxes - Federal (Operating)
387 UWKCAPC Num 8 Working Capital (Source) - Decrease (Increase) (Cash Flow)
388 UXINST Num 8 Interest On Short-Term Debt -
Utility
389 UXINTD Num 8 Interest on Long-Term Debt*
390 VPAC Num 8 Investments - Permanent - Associated Companies
391 VPO Num 8 Investments - Permanent - Other
392 WCAP Num 8 Working Capital (Balance Sheet)
393 WCAPC Num 8 Working Capital Change - Other - Increase/(Decrease)
394 WCAPCH Num 8 Working Capital Change - Total
395 WCAPCHC Num 8 Working Capital - Change
396 WCAPOPC Num 8 Working Capital/Net Operating Assets - Change
397 WCAPS Num 8 Working Capital Change - Source of Funds
398 WCAPSA Num 8 Working Capital Change (Separate Account)
399 WCAPSU Num 8 Source and Use of Funds/Working Capital Adjustments - Other
400 WCAPT Num 8 Working Capital/Cash/Net Funds Change - Total
401 WCAPU Num 8 Working Capital Change - Use of Funds
402 WDA Num 8 Writedowns After-tax
403 WDD Num 8 Writedowns Diluted EPS Effect
404 WDEPS Num 8 Writedowns Basic EPS Effect
405 WDP Num 8 Writedowns Pretax
406 XACC Num 8 Accrued Expenses
407 XACCFS Num 8 Accrued Expenses & Deferred Income - FS (Memo)
408 XAD Num 8 Advertising Expense
409 XAGO Num 8 Administrative and General Expense - Other
410 XAGT Num 8 Administrative and General Expense - Total
411 XCOM Num 8 Communications Expense
412 XCOMI Num 8 Commissions Expense (Insurance)
413 XDEPL Num 8 Depletion Expense (Schedule VI)
414 XDP Num 8 Depreciation Expense (Schedule VI)
415 XDVRE Num 8 Expense - Development (Real Estate)
416 XEQO Num 8 Equipment and Occupancy Expense
417 XI Num 8 Extraordinary Items
418 XIDO Num 8 Extraordinary Items and Discontinued Operations
419 XIDOC Num 8 Extraordinary Items and Discontinued Operations (Cash Flow)
420 XINDB Num 8 Interest Expense - Deposits - Banks
421 XINDC Num 8 Interest Expense - Deposits - Customer
422 XINS Num 8 Interest Expense - Sundry
423 XINST Num 8 Interest Expense - Short-Term Borrowings
424 XINT Num 8 Interest and Related Expense - Total
425 XINTD Num 8 Interest Expense - Long-Term Debt
426 XINTOPT Num 8 Implied Option Expense
427 XIVI Num 8 Investment Expense (Insurance)
428 XIVRE Num 8 Expense - Investment (Real Estate)
429 XLR Num 8 Staff Expense - Total
430 XNBI Num 8 Other Insurance Expense
431 XNF Num 8 Non-Financial Services Expense
432 XNINS Num 8 Other Expense - Noninsurance
433 XNITB Num 8 Expense - Noninterest - Total (Bank)
434 XOBD Num 8 Expense - Other (Broker/Dealer)
435 XOI Num 8 Expenses - Other (Insurance)
436 XOPR Num 8 Operating Expenses - Total
437 XOPRAR Num 8 Operatings Expenses - As Reported
438 XOPRO Num 8 Operating Expense - Other
439 XOPTD Num 8 Implied Option EPS Diluted
440 XOPTEPS Num 8 Implied Option EPS Basic
441 XORE Num 8 Expense - Other (Real Estate)
442 XPP Num 8 Prepaid Expenses
443 XPPFS Num 8 Prepaid Expenses & Accrued Income - FS (Memo)
444 XPR Num 8 Pension and Retirement Expense
445 XRD Num 8 Research and Development Expense
446 XRENT Num 8 Rental Expense
447 XS Num 8 Expense - Sundry
448 XSGA Num 8 Selling, General and Administrative Expense
449 XSTF Num 8 Staff Expense (Income Account)
450 XSTFO Num 8 Staff Expense - Other
451 XSTFWS Num 8 Staff Expense - Wages and Salaries
452 XT Num 8 Expense - Total
453 XUW Num 8 Other Underwriting Expenses - Insurance
454 XUWLI Num 8 Underwriting Expense - Life
455 XUWNLI Num 8 Underwriting Expense - Non-Life
456 XUWOI Num 8 Underwriting Expense - Other
457 XUWREI Num 8 Underwriting Expense - Reinsurance
458 XUWTI Num 8 Underwriting Expense - Total
459 datadate Num 8 Data Date