Details for Selection

Standard label: Available-for-sale Securities, Sold at Par
Name: us-gaap:AvailableforsaleSecuritiesSoldAtPar
Documentation: The aggregate value of securities held, which were categorized neither as trading nor held-to-maturity, for which the interest rate reset through an auction process, that failed to be liquidated through auction, and which were sold at par value during the period.
Commentary:
Data type: Monetary (xbrli:monetaryItemType)
Period type: For period (duration)
Balance type: Debit
Object class: [Concept]