Discontinued — last reported Q4 '19
An increase indicates that the company's international hedging positions have gained value, potentially due to favorable market movements in currency or interest rates. A decrease suggests a reduction in the value of these assets or a shift in the underlying market conditions.
This metric represents the fair market value of derivative financial instruments held by the company's non-U.S. operatio...
Comparable to derivative asset fair values reported by multinational telecommunications peers under IFRS or GAAP, often found in financial instrument disclosures.
t_segment_non_us_derivative_fair_value_of_derivative_asset