RanglerDeveloper
Financial dataMetric catalog

Balance-sheet metrics

Standard asset, liability, equity, reserve, and share metrics returned by Rangler financial statements.

This page lists 57 standard balance sheet metrics. A company returns only the metrics supported by its filings.

MetricAPI keyUnitDefinition
Assets held for saleassets_held_for_saleCurrency amountAssets held for sale, standardized from the issuer's reported balance sheet and expressed in base currency units.
Assets pledged as collateralassets_pledged_as_collateralCurrency amountAssets pledged as collateral, standardized from the issuer's reported balance sheet and expressed in base currency units.
Available for sale financial assetsavailable_for_sale_financial_assetsCurrency amountAvailable for sale financial assets, standardized from the issuer's reported balance sheet and expressed in base currency units.
Available for sale financial assets reserveavailable_for_sale_financial_assets_reserveCurrency amountAvailable for sale financial assets reserve, standardized from the issuer's reported balance sheet and expressed in base currency units.
Bank overdraftbank_overdraftCurrency amountBank overdraft, standardized from the issuer's reported balance sheet and expressed in base currency units.
BorrowingsborrowingsCurrency amountBorrowings, standardized from the issuer's reported balance sheet and expressed in base currency units.
Capital reservecapital_reserveCurrency amountCapital reserve, standardized from the issuer's reported balance sheet and expressed in base currency units.
Cash and balances with central bankcash_and_balances_with_central_bankCurrency amountCash and balances with central bank, standardized from the issuer's reported balance sheet and expressed in base currency units.
Cash and bank balancescash_and_bank_balancesCurrency amountCash and bank balances, standardized from the issuer's reported balance sheet and expressed in base currency units.
Cash and equivalentscash_and_equivalentsCurrency amountCash and equivalents, standardized from the issuer's reported balance sheet and expressed in base currency units.
Current tax liabilitiescurrent_tax_liabilitiesCurrency amountCurrent tax liabilities, standardized from the issuer's reported balance sheet and expressed in base currency units.
Customer depositscustomer_depositsCurrency amountCustomer deposits, standardized from the issuer's reported balance sheet and expressed in base currency units.
Deferred tax assetsdeferred_tax_assetsCurrency amountDeferred tax assets, standardized from the issuer's reported balance sheet and expressed in base currency units.
Deferred tax liabilitiesdeferred_tax_liabilitiesCurrency amountDeferred tax liabilities, standardized from the issuer's reported balance sheet and expressed in base currency units.
Deposits from banksdeposits_from_banksCurrency amountDeposits from banks, standardized from the issuer's reported balance sheet and expressed in base currency units.
Equity attributable to ownersequity_attributable_to_ownersCurrency amountEquity attributable to owners, standardized from the issuer's reported balance sheet and expressed in base currency units.
Fair value reservefair_value_reserveCurrency amountFair value reserve, standardized from the issuer's reported balance sheet and expressed in base currency units.
Fair value reserve fvocifair_value_reserve_fvociCurrency amountFair value reserve fvoci, standardized from the issuer's reported balance sheet and expressed in base currency units.
Financial assets at amortised costfinancial_assets_amortised_costCurrency amountFinancial assets at amortised cost, standardized from the issuer's reported balance sheet and expressed in base currency units.
Financial assets at fair value through other comprehensive incomefinancial_assets_fvociCurrency amountFinancial assets at fair value through other comprehensive income, standardized from the issuer's reported balance sheet and expressed in base currency units.
Financial assets at fair value through profit or lossfinancial_assets_fvtplCurrency amountFinancial assets at fair value through profit or loss, standardized from the issuer's reported balance sheet and expressed in base currency units.
Financial assets fvoci and amortised costfinancial_assets_fvoci_and_amortised_costCurrency amountFinancial assets fvoci and amortised cost, standardized from the issuer's reported balance sheet and expressed in base currency units.
Financial assets redemptive valuefinancial_assets_redemptive_valueCurrency amountFinancial assets redemptive value, standardized from the issuer's reported balance sheet and expressed in base currency units.
Financial liabilities at amortized costfinancial_liabilities_at_amortized_costCurrency amountFinancial liabilities at amortized cost, standardized from the issuer's reported balance sheet and expressed in base currency units.
Financial liabilities at fair value through profit or lossfinancial_liabilities_at_fair_value_through_profit_or_lossCurrency amountFinancial liabilities at fair value through profit or loss, standardized from the issuer's reported balance sheet and expressed in base currency units.
Foreign currency translation reserveforeign_currency_translation_reserveCurrency amountForeign currency translation reserve, standardized from the issuer's reported balance sheet and expressed in base currency units.
Intangible assetsintangible_assetsCurrency amountIntangible assets, standardized from the issuer's reported balance sheet and expressed in base currency units.
InventoriesinventoriesCurrency amountInventories, standardized from the issuer's reported balance sheet and expressed in base currency units.
Investment in subsidiariesinvestment_in_subsidiariesCurrency amountInvestment in subsidiaries, standardized from the issuer's reported balance sheet and expressed in base currency units.
Investment securitiesinvestment_securitiesCurrency amountInvestment securities, standardized from the issuer's reported balance sheet and expressed in base currency units.
Investments in associates accounted for using the equity methodinvestments_in_associates_accounted_for_using_the_equity_methodCurrency amountInvestments in associates accounted for using the equity method, standardized from the issuer's reported balance sheet and expressed in base currency units.
Lease liabilitieslease_liabilitiesCurrency amountLease liabilities, standardized from the issuer's reported balance sheet and expressed in base currency units.
Liabilities held for saleliabilities_held_for_saleCurrency amountLiabilities held for sale, standardized from the issuer's reported balance sheet and expressed in base currency units.
Loans and advancesloans_and_advancesCurrency amountLoans and advances, standardized from the issuer's reported balance sheet and expressed in base currency units.
Loans and advances to banksloans_and_advances_to_banksCurrency amountLoans and advances to banks, standardized from the issuer's reported balance sheet and expressed in base currency units.
Long term debtlong_term_debtCurrency amountLong term debt, standardized from the issuer's reported balance sheet and expressed in base currency units.
Net asset value per sharenet_asset_per_shareCurrency per shareNet asset value per share, standardized from the issuer's balance sheet and expressed in major currency units per share.
Other assetsother_assetsCurrency amountOther assets, standardized from the issuer's reported balance sheet and expressed in base currency units.
Other liabilitiesother_liabilitiesCurrency amountOther liabilities, standardized from the issuer's reported balance sheet and expressed in base currency units.
Property and equipmentproperty_and_equipmentCurrency amountProperty and equipment, standardized from the issuer's reported balance sheet and expressed in base currency units.
Regulatory risk reserveregulatory_risk_reserveCurrency amountRegulatory risk reserve, standardized from the issuer's reported balance sheet and expressed in base currency units.
Retained earningsretained_earningsCurrency amountRetained earnings, standardized from the issuer's reported balance sheet and expressed in base currency units.
Retirement benefit obligationsretirement_benefit_obligationsCurrency amountRetirement benefit obligations, standardized from the issuer's reported balance sheet and expressed in base currency units.
Share capitalshare_capitalCurrency amountShare capital, standardized from the issuer's reported balance sheet and expressed in base currency units.
Share premiumshare_premiumCurrency amountShare premium, standardized from the issuer's reported balance sheet and expressed in base currency units.
Shares outstandingshares_outstandingShare countShares outstanding, standardized from the issuer's balance sheet and expressed as individual shares.
Small scale investment reservesmall_scale_investment_reserveCurrency amountSmall scale investment reserve, standardized from the issuer's reported balance sheet and expressed in base currency units.
Statutory reservestatutory_reserveCurrency amountStatutory reserve, standardized from the issuer's reported balance sheet and expressed in base currency units.
Total assetstotal_assetsCurrency amountTotal assets, standardized from the issuer's reported balance sheet and expressed in base currency units.
Total current assetstotal_current_assetsCurrency amountTotal current assets, standardized from the issuer's reported balance sheet and expressed in base currency units.
Total current liabilitiestotal_current_liabilitiesCurrency amountTotal current liabilities, standardized from the issuer's reported balance sheet and expressed in base currency units.
Total depositstotal_depositsCurrency amountTotal deposits, standardized from the issuer's reported balance sheet and expressed in base currency units.
Total equitytotal_equityCurrency amountTotal equity, standardized from the issuer's reported balance sheet and expressed in base currency units.
Total equity and liabilitiestotal_equity_and_liabilitiesCurrency amountTotal equity and liabilities, standardized from the issuer's reported balance sheet and expressed in base currency units.
Total liabilitiestotal_liabilitiesCurrency amountTotal liabilities, standardized from the issuer's reported balance sheet and expressed in base currency units.
Total non current assetstotal_non_current_assetsCurrency amountTotal non current assets, standardized from the issuer's reported balance sheet and expressed in base currency units.
Total non current liabilitiestotal_non_current_liabilitiesCurrency amountTotal non current liabilities, standardized from the issuer's reported balance sheet and expressed in base currency units.

These metrics usually come from reported line items, but Rangler can calculate an equivalent value when needed. Check metric_origins and reported and calculated values to see how each value was produced.