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Financial Statistics


Status: Released

Where a tiering structure is in place, the tiering structure should have the same values in fields (superannuation product identifier, investment menu identifier, investment option identifier, component type, component activity, investment manager level, investment charge type, tier type, tier arrangement). The tier number should be set to 1, 2, 3... etc. for each additional tier that is added.

Where the tier type is not applicable, this field has no meaning and should be reported as 0.
Unique identifier
Used by
Australian Prudential Regulation Agency
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