Data · dataset · 2026
Actif Toutes denominations monetaires des fonds de pension vis-a-vis des societes d'assurances residentes - autres changements de volume de titres de creances a court terme
Listed in banquedefrance
Description
Actif Toutes denominations monetaires des fonds de pension vis-a-vis des societes d'assurances residentes - autres changements de volume de titres de creances a court terme | Assets All currencies of denomination of PF vis-a-vis domestic IC - other changes excluding revaluations of short-term debt securities | Actif Toutes denominations monetaires des fonds de pension vis-a-vis des societes d'assurances residentes - autres changements de volume de titres de creances a court terme non consolidees | Assets All currencies of denomination of pension funds vis-a-vis domestic insurance corporations - other changes excluding revaluations of short-term debt securities non-consolidated data | type comptable: Créances, Correction statistique: Brut, Consolidation: Non consolidé, Zone géographique de contrepartie: Domestic (home or reference area), Secteur de contrepartie: des sociétés d'assurances, Devise de contrepartie: Toutes monnaies d'opération, Rupture spécifique: Total, COFOG: Non applicable, Périodicité: Trimestriel, Instrument: Instruments de dette, Maturité: Maturité d'origine à court terme (inférieure à 1 an), Prix: Prix courants, Zone géographique de référence: France, Secteur de référence: Fonds de pension, Stocks, transactions, autres flux: autres changements de volume, Transformation: Donnée non transformée, Unité: Monnaie nationale, Valorisation: Valorisation standard basée sur ESA2010/SNA2008 | Accounting entry: Assets (Net Acquisition of), Adjustment indicator code list: Neither seasonally nor working day adjusted, Consolidation codes: Non-consolidated, Counterpart geo area: Domestic (home or reference area), Counterpart sector: IC, Counterpart currency: All currencies of denomination, Custom breakdown code list: Total, COFOG: Not applicable, Frequency code list: Quarterly, Financial instruments and assets: Debt securities, Maturity: Short-term original maturity (up to 1 year), Prices: Current prices, Reference country or area: France, Institutional sector code list: PF, Stocks, transactions, other flows: other changes excluding revaluations of, Transformation codes: Non transformed data, Unit code list: Domestic currency (incl. conversion to current currency made using a fix parity), Valuation: Standard valuation based on ESA2010/SNA2008 | Comptes financiers au niveau national. | National-level financial accounts.
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Get the data
- CSV export banquedefrance.opendatasoft.com/api/explore/v2.1/catalog/datasets/cnf-q-n-fr-w2-s129-s128-n-a-… ↗
download · from banquedefrance opendatasoft com
Where it is published
- banquedefrance dataset page banquedefrance.opendatasoft.com/explore/dataset/cnf-q-n-fr-w2-s129-s128-n-a-ka-f3-s-_z-xdc-_t-… ↗
landing page · from banquedefrance opendatasoft com
Catalogue records · 1
- Explore API banquedefrance.opendatasoft.com/api/explore/v2.1/catalog/datasets/cnf-q-n-fr-w2-s129-s128-n-a-… ↗
metadata API · from banquedefrance opendatasoft com
Provenance · 1 source records, 5 field assertions
| Source | Key | Last seen | Raw |
|---|---|---|---|
| banquedefrance | cnf-q-n-fr-w2-s129-s128-n-a-ka-f3-s-_z-xdc-_t-s-v-n-_t | 4 d ago | JSON v1 |
| Field | Assertion | Extractor | Evidence |
|---|---|---|---|
| access_level | source · banquedefrance opendatasoft com | connector:banquedefrance_opendatasoft_com@1.0.0 | |
| description | source · banquedefrance opendatasoft com | connector:banquedefrance_opendatasoft_com@1.0.0 | /metas/default/description |
| publication_date | source · banquedefrance opendatasoft com | connector:banquedefrance_opendatasoft_com@1.0.0 | |
| title | source · banquedefrance opendatasoft com | connector:banquedefrance_opendatasoft_com@1.0.0 | /metas/default/title |
| updated_date | source · banquedefrance opendatasoft com | connector:banquedefrance_opendatasoft_com@1.0.0 |