- <>ABO - Depreciable Assets 
- <>5A - Deferred Credit or Income 
- <>AGB - Operating Income or Expense 
- <>QE - Disc Premium 
- <>84 - Contract Work Authorized (with fee/profit) Actual or Projected - At Complete 
- <>T8 - Total Credits Rejected 
- <>N2 - Individual Income Taxes and Other 
- <>2N - Total All Repairs 
- <>ANC - Accrued Income 
- <>BAG - Net Annual Permit Fee Due 
- <>1U - Food Expense 
- <>C7 - Payor Responsibility - Estimated 
- <>ACV - Earnings per Share 
- <>GS - Subsequent Adjustments Total 
- <>TMM - Total Monetary Markup Amount 
- <>YM - Partial Withdrawal 
- <>TX - Total to Date 
- <>NR - Nonrecurring 
- <>GSP - Good Standing Tax Plan Payment 
- <>CPO - Closing Costs Paid by Any Other Party Other Than Seller or Buyer 
- <>L - Local 
- <>8T - Secured Loans 
- <>LOW - Lower Fund 
- <>CRM - Container Replacement Material Cost 
- <>5Q - Extraordinary Charge 
- <>AGR - Aggregate Reimbursements or Refunds 
- <>QU - Payroll Deduction 
- <>XT - Voluntary Reserves 
- <>CG - Commission Fees Deducted 
- <>51 - At Complete Variance 
- <>Q5 - Total Prenotes Rejected 
- <>KO - Committed Amount 
- <>8D - Punitive Damages 
- <>TH - Total Claim Allowed 
- <>NB - Net Compensation Position 
- <>TCS - Total Commission from Primary and Secondary Sources 
- <>73 - Accrued Expenditures plus Open Commitments 
- <>FZ - Earned Income 
- <>AA4 - Total Reimbursable Amount 
- <>S7 - Sole Proprietorship 
- <>E1 - Employer Year to Date Contribution 
- <>WS - Other Association Fees 
- <>AEP - Common Stock Par Value 
- <>IM - Adjustment for Rooms 
- <>ZF - Federal Pension Mandate - Category 1 
- <>GAR - Garnishments 
- <>XD - Base Period Wage 
- <>15 - Estimated Closing Cost Amount 
- <>CW - Earned Value 
- <>G3 - Price per Unit Area 
- <>9M - Tax Adjustments 
- <>OK - Letter of Credit Amount 
- <>MI - Minimum Incentive Fee 
- <>AHE - Profit Reserves 
- <>37 - Current Budgeted Cost for Work Scheduled (BCWS) 
- <>EAP - Brochure Expenses 
- <>A5 - Disallowed - Estimated 
- <>4X - Current Liabilities 
- <>ADY - Recoverable Depreciation of Repairs 
- <>JV - Loan Value 
- <>WC - Buyers Agency Compensation 
- <>H4 - Deposit Year to Date 
- <>ZV - Mortgage Recording Fee 
- <>LP - List Price 
- <>0L - Amount Over-collateralized 
- <>FJ - Waiver Fee 
- <>6J - Future Loan 
- <>AU - Coverage Amount 
- <>48 - Reprogram Budget 
- <>RN - Resident Manager's Salary 
- <>AFK - Short-Term Deposits 
- <>DH - Total Disbursements 
- <>J6 - Final Principal and Interest Payment 
- <>UA - Unliquidated Amount 
- <>3W - Nominal Capital 
- <>ECB - Personal Funds 
- <>4H - Capital 
- <>D8 - Discount Amount 
- <>ADI - Social Capital 
- <>PL - Positive Ledger Balance 
- <>JF - Administrative Load 
- <>U1 - Unsecured, Priority Claim Allowed 
- <>MY - Surrender Value 
- <>EBK - Matching Contribution 
- <>7S - Prepaid Orders in Progress 
- <>AAT - Restated Assets 
- <>SW - Base Award Fee 
- <>EQ - Condominium Association Fees 
- <>W3 - W-2 with Deferred Compensation 
- <>VJ - Past Due Support 
- <>HD - Postal Money Orders 
- <>UQ - Monthly Income 
- <>M9 - Net of Surrender Withdrawal 
- <>3G - Amortization Costs 
- <>ECR - Utilities Expenses 
- <>6Z - Optional Reserves 
- <>AE - Arrearage 
- <>DX - Deductible Waived 
- <>X4 - Annual Rental 
- <>BAW - Total Value of All Property 
- <>1E - Fixed Price 
- <>ACF - Principal Paid by Borrowers 
- <>GC - Price, Low Value 
- <>AAD - Application Amount 
- <>SG - Sponsor-Financing for Education 
- <>EA - Earnings Allowance 
- <>VZ - Maximum Transfer 
- <>HT - Overtime Pay 
- <>Z6 - Remaining Security Balance 
- <>L0 - Liquid Assets 
- <>7C - Outstanding Debts against Board of Directors/Managers 
- <>BN - Rental Income 
- <>EAK - Amount Rescinded 
- <>61 - Cumulative Schedule Performance Index (SPI) 
- <>4C - Notes Receivable 
- <>R5 - Fixed, Liquidated Unsecured Debt 
- <>PG - Payoff 
- <>D3 - Deferred Compensation Commissions and Bonuses 
- <>ADB - Pending Orders 
- <>JM - Employee Match Contribution 
- <>MR - Management Reserve 
- <>07 - Deferred Graduated Payment Mortgage Interest Paid 
- <>7X - Profit or Loss on Ordinary Activities after Tax 
- <>BU - Overhead Costs 
- <>F1 - Maximum Allowable Cost (MAC) Penalty Copay 
- <>EZ - Uniform Commercial Code Filing Office Fee 
- <>W8 - Discounted 
- <>VA - Total Current Rent or Mortgage Payment (Issue) 
- <>HO - Vacation Pay 
- <>UZ - Total Liquid Assets 
- <>M2 - Medical Contribution 
- <>UFD - Unsecured Borrowed Funds Not Deposited 
- <>ECY - Food and Refreshments 
- <>3L - Bad Debt Allowance 
- <>TPS - Total Paid as Submitted 
- <>BBG - Value of Authorized Shares 
- <>6Q - Income Tax 
- <>AN - Bankruptcy Fee 
- <>RU - Total Debits Rejected 
- <>AFP - Calculated Weekly Compensation Amount 
- <>DS - Alimony Income 
- <>96 - Employee Account Balance 
- <>O0 - Extraordinary Income 
- <>YV - Requested 
- <>1N - Income from Social Security and/or other Government Assistance 
- <>ACM - Loans Repay or Forebearance - 121 to 180 Days Past Due 
- <>GH - Predominate Value 
- <>BE - Disbursements for Authorized Repair 
- <>7H - Owing to Fiscal Office 
- <>AAO - Tax-Local 
- <>SL - Security Personnel's Salary 
- <>EJ - Insurance, Maintenance, Taxes and Miscellaneous 
- <>I6 - Custodian's Salary 
- <>VQ - Commission Netted 
- <>EBP - New Unpaid Expenditure 
- <>TEN - Total Maintenance Expense on All Non-Income Producing Properties 
- <>ABD - Profit (Loss) Before Extraordinary Items 
- <>5J - Equipment 
- <>AGI - Unadjusted Sales Price 
- <>QN - Quarterly Net Fee Position (Excess/Deficit) 
- <>K4 - Initial Target Fee 
- <>T3 - Total Submitted Charges 
- <>IBL - Inter-Bank Loans 
- <>N9 - Withheld and Federal Insurance Contribution Act (FICA) Taxes 
- <>2E - Value of Property Claimed as Exempt 
- <>BAL - Unclaimed Franchise Tax Credit 
- <>GX - Total Credit 
- <>YF - Other Fee Collection 
- <>LSP - Total Liabilities to be Paid at Closing Not Including Subject Property Liens 
- <>TS - Total Sales 
- <>BOR - Borrowed Amount 
- <>NY - Net Year to Date (Excess/Deficit) 
- <>G - Collateral 
- <>KT - Default Principal 
- <>7 - Discount Amount Due 
- <>2U - State Quarterly Disability Insurance Taxable Wages 
- <>ABT - Ending Principal Balance 
- <>5Z - Fixed Asset Debts 
- <>AGY - Financial Income or Expense 
- <>9V - Inventory (Stock) Purchases 
- <>OP - Original Payment Total 
- <>Y6 - Total Real Estate Owned Gross Rental Income 
- <>CL - Outstanding Balance Current Lender 
- <>GRR - Gross Restoration 
- <>8O - Revenues 
- <>KD - Undefinitized 
- <>W - Deficiency Judgment Fees 
- <>TC - Proposed Cost 
- <>NI - Medicare Paid 
- <>25 - Assets at Bankruptcy 
- <>78 - Forecast of Work - All Other 
- <>B5 - Budgeted 
- <>FQ - Firm Contractor Share 
- <>WX - Points Paid by Seller 
- <>IF - Inspection Fee 
- <>PAN - Penalty and Interest 
- <>ZM - Federal Medicare or Medicaid Payment Mandate - Category 3 
- <>LK - Loan Amount Requested 
- <>XO - Unpaid Capital 
- <>G8 - Indicated Value by Cost Approach 
- <>9F - Starting Capital 
- <>MB - Undistributed Budget 
- <>AHN - Publicly Traded Shares Amount 
- <>4S - Convertible Debentures 
- <>ADR - Non-recoverable Depreciation 
- <>PW - Per Occurrence Maximum per Week Limit 
- <>AEK - Difference in Prepayment Penalty 
- <>WH - Balance Owing All Other Liens, Subject Property 
- <>IV - Utilities Allowance 
- <>V1 - Tax and Insurance Escrow Fund 
- <>0G - Curtailment Adjustment 
- <>FA - Coordination Fee 
- <>6A - Fixed Assets 
- <>43 - Cumulative Budgeted Cost for Work Performed (BCWP) 
- <>RE - Royalty Due 
- <>P7 - Partner's K1 Tax Year Amount 
- <>DC - Unapplied Buydown Fund 
- <>UJ - Other Credits 
- <>ECI - Reported Amount 
- <>LV - Planned Periodic Payment 
- <>TRL - Total Resubordinated Liabilities 
- <>0J - Guarantee Fee Adjustment 
- <>FL - Float 
- <>AEF - Base Fee 
- <>WE - Compensation Bonus on Sale of Property 
- <>H2 - Cancellation 
- <>ZP - Coupon Face Value 
- <>UG - Total Unpaid Principal Balance for Stafford Loans 
- <>BLD - Bridge Loan Not Deposited 
- <>3Q - Long Term Tangible Assets 
- <>ECD - Postage Expenses 
- <>6L - General Expenses 
- <>AS - Average Price Per Minute 
- <>BXP - Bills of Exchange Payable 
- <>RH - Per Person Aggregate Limit 
- <>AFM - Tax Provisions 
- <>DN - Liability 
- <>J0 - Limited Partnership Capital 
- <>PJ - Past Due 
- <>ADO - Minimum 
- <>LDR - Land Rights 
- <>U7 - Land 
- <>AHS - Active Partner Capital 
- <>EAF - Amount Owed 
- <>4N - Commercial Debt 
- <>R8 - Unliquidated Unsecured Debt 
- <>AAR - Capital Leases 
- <>SQ - Special Debtors Amount 
- <>EW - Pledged Savings 
- <>W5 - Deposit Sub Total 
- <>VL - Net Negative Amortization Amount 
- <>HB - Currency 
- <>EBM - Miscellaneous Income 
- <>7U - Profit or Loss 
- <>BX - Amount Owed to Buyer at Closing 
- <>BBJ - Directors Legal Obligation Debt 
- <>AC - Average Collected Balance 
- <>DPN - Discount Points Not Financed 
- <>RX - Total Pre-advices Accepted 
- <>UW - Total Monthly Liabilities 
- <>GUP - Tax Installment Paid 
- <>LPF - Lease Purchase Funds 
- <>3A - Accounting 
- <>ECT - Subtotal 
- <>X2 - Reissued 
- <>BAQ - Overpayment 
- <>1C - Variance Adjustment Schedule 
- <>GE - Functional Depreciation 
- <>HR - Total Payroll Approved 
- <>Z0 - Insertion Cost 
- <>L6 - Total Pre-advices Received 
- <>7E - Owing from Affiliates 
- <>BH - Eviction Expenses 
- <>AAB - Conditional Receipt Coverage 
- <>SA - Campaign Summary Amount 
- <>EG - Other Income 
- <>N4 - Excise Taxes 
- <>2H - Operating Expenses 
- <>ASP - Annual Sales or Premiums 
- <>ABI - Deferred Tax Assets 
- <>5G - Director's Remuneration 
- <>AGD - Purchase Authority 
- <>QC - Deposit Fund 
- <>82 - Net Funds Required 
- <>K9 - New Price 
- <>YK - Prepayment Penalty 
- <>BAA - Net Taxable Income 
- <>1S - Telephone Payment 
- <>C1 - Co-Payment Amount 
- <>ACP - Loans Repay or Forebearance - Claims Filed, Not Yet Paid 
- <>NBF - Net Benefit 
- <>GU - Taxes Paid 
- <>J - Trustee Fees 
- <>8R - Savings 
- <>KY - Not-To-Exceed Price 
- <>NT - Unit Value 
- <>2X - Asset-Short Term 
- <>ABY - Loan Principal Disbursements 
- <>5W - Financial Expenses 
- <>AGT - Raw Material Purchases 
- <>QS - Non-Qualified (1035 Exchange) 
- <>XR - Value of Shares 
- <>CA - Contractor Cumulative to Date 
- <>PCA - Processing Allowance 
- <>ND - Per Person Monthly Limit 
- <>28 - Target Price 
- <>57 - Current Cost Performance Index (CPIp) - Planned (ACWP/BCWP) 
- <>Q3 - 401K Transfer 
- <>KI - Net Variance Amount 
- <>Z - List Price When Sold 
- <>8B - Provision for Future Purchases 
- <>E7 - Employee Year to Date Contribution 
- <>WU - Principal, Interest, Taxes and Insurance 
- <>AEV - General Reserves 
- <>IK - Indicated Monthly Market Rent 
- <>LF - Loan Remittance or Repayment 
- <>GAT - Annual Tax 
- <>75 - Contract Work Authorized - Not Definitized 
- <>B8 - Co-insurance - Estimated 
- <>AA2 - Cumulative Total 
- <>S1 - Salary Amount 
- <>G5 - Estimated Monthly Market Rent 
- <>9K - Surplus of Revaluation 
- <>OM - Other Monthly Income 
- <>XB - Maturity Value 
- <>13 - Outstanding Balance at Foreclosure 
- <>CQ - Net Claim Amount 
- <>A3 - Average Negative Collected Balance 
- <>PZ - Original Principal Balance 
- <>JP - Free Withdrawal Value 
- <>MO - Minimum Order Value 
- <>AHC - New Mortgage Amount 
- <>31 - Estimated Contract Ceiling 
- <>EAV - Draw Amount 
- <>OJ - Merchandise 
- <>XE - Withdrawal 
- <>14 - Legal Obligation Debt Amount 
- <>CV - Subcontractor at Complete 
- <>G2 - Indicated Value by Income Approach 
- <>9L - Tangible Net Worth 
- <>JW - Market Value 
- <>MH - Minimum Late Charge 
- <>AHD - Capitalized Assets 
- <>36 - Contract Budget Base (CBB) 
- <>EAQ - Bus Travel Expenses 
- <>A4 - Average Positive Ledger Balance 
- <>4Y - Damages 
- <>ADX - Actual Cash Value of Repairs 
- <>FK - Other Unlisted Amount 
- <>AEA - Non-indemnity Benefit 
- <>WB - Sub-Agency Compensation 
- <>H5 - Dump in Remittance 
- <>ZW - Deed Recording Fee 
- <>LQ - Maximum Potential Liability 
- <>0M - Trial Balance Adjustment 
- <>6K - General Accounts 
- <>AT - Total Received 
- <>49 - At Complete Budget (BAC) 
- <>RO - Provisions 
- <>AFJ - Share Price 
- <>DI - Charge Off 
- <>J7 - Conversion Fee 
- <>3V - Mortgage 
- <>ECC - Pledged Amount 
- <>EAA - Administrative Expenses 
- <>4I - Capital Associated with Principal 
- <>D9 - Cumulative Actual 
- <>ADH - Revaluation Reserves 
- <>PM - Last Premium Amount 
- <>JG - Asset Cost Applicable to Entire Contract 
- <>U0 - U.S. Government-Financing for Education 
- <>MX - Maximum Incentive Fee 
- <>EBJ - Loan Balance 
- <>IPD - Interest per Diem 
- <>7R - Preferred Stock 
- <>AAU - Owing to Clients 
- <>SV - Fixed Monthly Principal Payment 
- <>EP - Employer Annual Pledge Amount 
- <>W2 - W-2 with Bonuses 
- <>VK - Medical Support 
- <>HE - City Checks 
- <>UP - Total Unpaid Principal Balance for Parental Loans for Students 
- <>M8 - Markup Amount 
- <>3F - Amortization 
- <>ECS - Total 
- <>AD - Adjusted Total 
- <>AFZ - Disputed Amount 
- <>DY - Per Day Limit 
- <>X5 - Gross Monthly Rent 
- <>TSB - Total Stocks and Bonds 
- <>BAV - Total Assessed Value 
- <>1D - Escalation 
- <>ACG - Loans in School and Grace 
- <>UAA - User Adjusted Amount 
- <>GB - Price, High Value 
- <>7B - Outside Share in Profit or Loss 
- <>BO - Rental Expense 
- <>AAE - Approved Amount 
- <>SF - Scholarship from Admitting Educational Institution 
- <>HU - Regular Pay 
- <>Z7 - Program Cost 
- <>L1 - Legal Contribution 
- <>EBZ - Payment 
- <>HDA - Home Equity Line of Credit Draw Amount 
- <>SAG - Surplus (Deficit) after Grant 
- <>ABN - Non-restricted Equity 
- <>AGC - Income or Expense 
- <>QD - Direct Billing 
- <>85 - Best Case Estimate 
- <>T9 - Total Debits Accepted 
- <>N3 - Corporate Income and Excess Profits Tax 
- <>BAF - Permit Fee with Extension 
- <>1T - Maintenance Expense 
- <>C6 - Claim Amount Due - Actual 
- <>ACW - Inheritance 
- <>GR - Credit Line Available 
- <>YL - Partial Annuitization 
- <>PCV - Prior Contract Value 
- <>TY - Total at Complete 
- <>NS - Net Savings Amount 
- <>FAR - Federal Housing Administration (FHA) Appraiser Required Repairs and Improvements 
- <>M - Amount Due from Buyer at Appraisal Notice Date 
- <>8U - Selling Expenses 
- <>CRL - Container Replacement Labor Cost 
- <>5P - External Charge 
- <>AGS - New Loan Balance 
- <>QT - PAC - Pre-Authorized Check 
- <>OZ - Profit Distributed to Employees 
- <>PGR - Proposed Gross Rent for the Subject Property 
- <>XU - Wages 
- <>CF - Appraisal Fees 
- <>50 - At Complete Latest Revised Estimate (LRE) 
- <>Q4 - Total Prenotes Accepted 
- <>ELT - Electroconvulsive Therapy (ECT) Adjustment 
- <>KN - Gross Amount of Payment 
- <>8E - Purchase Price 
- <>TI - Title Insurance Amount on Loan 
- <>NC - Negative Collected Balance 
- <>72 - Estimated Termination Costs 
- <>AA5 - Direct Citation Amount 
- <>S6 - Subchapter S Corporation 
- <>E0 - Administration and Management Indemnity Charge 
- <>WR - Optional Service Fee 
- <>AEQ - Cost of Services Rendered 
- <>IL - Predominant Price Low 
- <>PAD - Policy Advance 
- <>ZG - Federal Pension Mandate - Category 2 
- <>LA - Definitized 
- <>KS - Taxes and Insurance 
- <>8X - Share in Profit or Loss of Minority Interest 
- <>TT - Total Transaction Amount 
- <>QY - Qualified 
- <>2R - State Quarterly Unemployment Insurance (UI) Total Wages 
- <>ABS - Taxable Amount of Real Estate 
- <>CK - Back End Load 
- <>VSM - Value of Securities at Maturity 
- <>9Q - Tax Recoverable 
- <>OW - Profit after Extraordinary Items and before Tax 
- <>Y1 - Year to Date Eligible Salary 
- <>XX - Working Capital 
- <>DEI - Delayed Interest 
- <>22 - Owner's Estimate of Value Amount 
- <>CPS - Closing Costs Paid by Seller 
- <>Q9 - Cash With Application 
- <>8H - Real Estate 
- <>KC - Obligated 
- <>P - Penalty 
- <>TD - Proposed Profit 
- <>NN - Transaction Fee 
- <>LL - Lump Sum 
- <>0P - Item 
- <>B2 - Bonuses and Commissions Divided Over 12 Months 
- <>FV - Flat Fee Paid to Date 
- <>IA - Adjusted Monthly Rent 
- <>ZJ - Federal Pension Mandate - Category 5 
- <>OG - Cable Charge 
- <>XH - Withdrawal Less Surrender 
- <>19 - Federal Housing Administration, Mortgage Insurance Premium Funding Fee Financed Amount 
- <>9A - Social Charges 
- <>ADU - Indemnity Benefit 
- <>PP - Payment Prior to Advance 
- <>JZ - Net Contract Value 
- <>MAD - Miscellaneous Adjustment 
- <>ME - Minimum Default Note Holder's Cost 
- <>AHI - Scheduled Repayment Amount 
- <>A9 - Allowed - Estimated 
- <>4T - Cost of Goods Sold 
- <>FF - Application Fee 
- <>AEL - Difference in Principal Due 
- <>WO - Dock Usage Fee 
- <>IQ - Contingent Debt 
- <>V6 - Total Principal Payoff and Repurchase Due to the Investor 
- <>H8 - Structure Value 
- <>ZZ - Mutually Defined 
- <>TRF - Total Retirement Funds 
- <>6F - Franchise Tax Balance 
- <>AY - Title Cost 
- <>44 - Cumulative Actual Cost of Work Performed (ACWP) 
- <>RB - Per Person Deductible 
- <>AFG - Retained Earnings to be Appropriated 
- <>P0 - Parental Financing for Education 
- <>DD - Direct Deposit 
- <>UM - Total Loan Amount 
- <>GCL - Gross Claim 
- <>ECN - Taxi Travel Expenses 
- <>EAL - Anonymous Contribution 
- <>66 - Adjusted Contract Price Target 
- <>4D - Bank Debentures 
- <>R2 - Contingent Secured Debt 
- <>D4 - Deferred Compensation 
- <>ADE - Pre-Tax Loss 
- <>JJ - Cost Basis 
- <>MU - Premium Tax Paid on Surrender 
- <>HH - Annual Social Security Wages 
- <>EBG - In-Kind Contribution 
- <>00 - Downpayment on the Repayment Plan Amount 
- <>BR - Adjusted Insured Loss Amount 
- <>F6 - Provider Reserves 
- <>AAX - Loan from Parent Company 
- <>UNK - Unknown Tax Plan Payment 
- <>VF - Total Monthly Expenses 
- <>DT - Child Support Expense 
- <>M5 - Minimum amount to which tax rate is applied 
- <>3K - Available Reserves 
- <>6V - Intangibles 
- <>FOA - Foreign Assets 
- <>AI - Sale Amount 
- <>RR - Reserve Requirement Amount 
- <>AFW - Officer Compensation - Statutory Minimum 
- <>91 - Site Value Amount 
- <>O7 - Long Term Debt 
- <>YQ - Payments in Advance 
- <>X8 - Funding Amount 
- <>ACJ - Loans Repay or Forebearance - 31 to 60 Days Past Due 
- <>GO - Credit Line 
- <>BB - Mortgage Insurance Premiums 
- <>7O - Patents 
- <>AAH - Replacement Amount 
- <>SK - Surrender Partial 
- <>EM - Gross Rental Income 
- <>I1 - Investment Income 
- <>VV - Capitalized Mortgage Amount 
- <>HX - Contract Price 
- <>GTS - Total Supplemental Tax Due 
- <>EBW - Original Asset Value 
- <>2B - Life Insurance Expense 
- <>ABC - Interest Expenses 
- <>5M - Equity 
- <>AGN - Lien Filing Fee 
- <>QI - Individual Retirement Account 60 Day Rollover 
- <>88 - "As Is" Appraisal Amount 
- <>K3 - Veterans Affairs Funding Fee 
- <>T4 - Total Current Balance 
- <>YA - Total Real Estate Owned Net Rental Income 
- <>BAK - Franchise Tax 
- <>1Y - Recreation Expenses 
- <>ACZ - Non Depreciable Assets 
- <>AGE - Capital Decrease 
- <>QB - Credit Card 
- <>83 - Contract Work Authorized (with fee/profit) Actual or Projected 
- <>K8 - Special Accounting Classification Reference Number (ACRN) Amount 
- <>N5 - Estate and Gift Taxes 
- <>2I - Total Projected Monthly Income 
- <>SAA - System Adjusted Amount 
- <>ABH - Contribution to Group 
- <>5F - Depreciation of Revaluation of Fixed Assets 
- <>ACQ - Agent Sales 
- <>GT - Goods and Services Tax 
- <>YJ - Curtailment 
- <>1R - Water and/or Sewer Payment 
- <>C0 - Current Expenditures 
- <>FLA - First Lien Advance 
- <>K - Attorney and Trustee Fees 
- <>8S - Secured Liability 
- <>KX - Miscellaneous Fee Collections 
- <>PCP - Previous Claim Payments 
- <>NU - Reinsurance Amount 
- <>2Y - Base Coverage 
- <>ABX - Beginning Principal Balance 
- <>5V - Financial Debt 
- <>AGU - Work in Progress Purchases 
- <>QR - Parking Income 
- <>XS - Vehicles 
- <>9Z - Labor Costs 
- <>Q2 - 1035 Exchange 
- <>8C - Provision for Risks 
- <>KH - Deduction Amount 
- <>TO - Telephone Operator's Salary 
- <>NE - Net Billed 
- <>29 - Estimated Price 
- <>56 - Current Cost Performance Index (CPIe) - Efficiency (BCWP/ACWP) 
- <>AA3 - Reimbursable Amount 
- <>S0 - Self-Financing for Education 
- <>E6 - Eligible Wage Amount 
- <>WT - Principal, Interest, Taxes 
- <>AEW - Import Volume 
- <>IJ - Net Adjusted Monthly Rent 
- <>ZA - Federal Medicare or Medicaid Claim Mandate - Category 1 
- <>LG - Laundry Income 
- <>74 - Contract Work Authorized - Definitized 
- <>B9 - Co-insurance - Actual 
- <>CP - Statutory Disbursements 
- <>G4 - Reconciliation of Final Value Estimate 
- <>9J - Supplies 
- <>OL - Outstanding Balance Other Lender 
- <>XC - Earned Wages 
- <>12 - Account Average Balance Account 
- <>30 - Contract Ceiling 
- <>EAW - Election Expenses 
- <>A2 - Average Positive Collected Balance 
- <>JQ - Front End Load 
- <>MN - Monthly Limit 
- <>AHB - Installation Materials Cost 
- <>ZQ - Initial Target Cost 
- <>LW - Tax and Insurance Escrow Fund Balance 
- <>0K - Amount Under-collateralized 
- <>FM - Fair Market Value 
- <>AEG - Target Profit Floor 
- <>WD - Variable Rate Compensation 
- <>IZ - Account High Balance 
- <>H3 - Deposit Inception to Date 
- <>J1 - Current Face Amount 
- <>UF - Discount (If Borrower Paid) 
- <>3P - Long Term Liabilities 
- <>ECE - Printing Expenses 
- <>6M - Goodwill 
- <>AR - Fees to Public Officials for Foreclosure 
- <>RI - Residual Value 
- <>AFL - Short-Term Loans 
- <>DO - Satisfaction 
- <>R9 - At Time of Filing 
- <>PK - Photograph Fee 
- <>ADN - Permit Cost 
- <>JA - Assessment 
- <>U6 - Alterations, Improvements, Repairs 
- <>NTA - New Technology Adjustment 
- <>AHR - Earnings Per Share Minus Dividends 
- <>EAG - Amount Payable 
- <>4O - Commercial Expenses 
- <>7T - Prior Results Carried Forward 
- <>BY - Additional Closing Expenses 
- <>AAS - Surplus 
- <>SP - Sales Price 
- <>EV - Presale Proceeds 
- <>W4 - W-2 without Bonuses 
- <>VM - Withhold From Wages 
- <>HC - U.S. Treasury Checks 
- <>EBL - Meeting Expenses 
- <>ECU - Grand Total 
- <>BBK - Silent Partner Capital 
- <>AB - Adjusted Collected Balance 
- <>RY - Total Pre-advices Rejected 
- <>UV - Drawback 
- <>X3 - Rollover Amount 
- <>SSC - Shares in Subsidiary Companies 
- <>BAP - Total Amount Due 
- <>1B - Variance Adjustment Cost 
- <>ACA - Principal of Loans Purchased 
- <>ENP - Maintenance Expense on Non-Income Producing Property 
- <>GD - Physical Depreciation 
- <>YZ - Total Aggregate Limit 
- <>HS - Holiday Pay 
- <>Z1 - Repackaging Labor Cost 
- <>L7 - Total Prenotes Received 
- <>7D - Owing 
- <>BI - Property Taxes 
- <>AAC - Binding Interim Coverage 
- <>EF - Estimated Financial Aid 
- <>GA - Depreciated Value of Improvements 
- <>O9 - Loss 
- <>X6 - SEP - Self Employee Pension 
- <>BAU - Occupation Fee 
- <>1G - Meals 
- <>ACD - Principal Insurance Claims 
- <>7A - Organizational Expenses 
- <>BL - Disbursements for Inspections and Boarding 
- <>AAF - Ultimate Face Amount 
- <>SE - Service Charges Which Cannot Be Compensated by Balances 
- <>EC - Allowance (Excess/Deficit) 
- <>VX - Interest Amount Paid to Date 
- <>HV - Sick Pay 
- <>Z4 - Liquidation Principal 
- <>L2 - Leasehold Insurance Amount 
- <>EBY - Party Expenses 
- <>2L - Value of Personal Property 
- <>ABM - Restricted Equity 
- <>5C - Deposits 
- <>QG - Government Allotment 
- <>86 - Worst Case Estimate 
- <>N0 - Loans or Financial Borrowings 
- <>YO - Pre Tax Equity and Fiscal Responsibility Act (TEFRA) Gain 
- <>BAE - Permit Fee Due 
- <>1W - Laundry Expense 
- <>C5 - Claim Amount Due - Estimated 
- <>ACT - Credit Line Utilized 
- <>GQ - Brokers Opinion Repair Amount 
- <>EXC - Exploration Costs 
- <>N - Net 
- <>8V - Services 
- <>TZ - Transportation Cost Total 
- <>NP - Net to Pay Total 
- <>NPP - No Tax Plan Payment 
- <>AGP - Qualified Tuition and Related Expenses 
- <>QW - Premium Received With Application 
- <>5S - Extraordinary Result 
- <>CE - Summary Amount 
- <>TLV - Total Life Insurance Net Cash Value 
- <>OY - Payment Commission 
- <>XV - Withholding 
- <>53 - Difference (Contract Budget Base - Total Allocated Budget) 
- <>Q7 - Total Post-advices Accepted 
- <>KM - Disbursed Amount 
- <>PRL - Partial Payroll Payment 
- <>8F - Purchases 
- <>TJ - Time and Expense Paid to Date 
- <>LB - Definitized Total 
- <>71 - Forecast of Billings 
- <>FX - Endorsement 
- <>AA6 - Total Direct Citation Funds 
- <>S5 - Salary with Partner's Bonuses 
- <>E3 - Employee Current Contribution 
- <>WQ - Clubhouse Fee 
- <>AER - Creditors 
- <>PPN - Pending Net Sale Proceeds from Non-Real Estate Assets 
- <>IO - Adjustment for Bedrooms 
- <>ZD - Federal Medicare or Medicaid Claim Mandate - Category 4 
- <>OI - Non-commission Charges 
- <>XF - Withdrawal Inception to Date 
- <>17 - Closing Costs or Concessions Paid by Seller 
- <>CU - Subcontractor Cumulative to Date 
- <>G1 - Indicated Value by Sales Comparison Approach 
- <>9O - Tax Capital Amount 
- <>JT - Monthly Rent 
- <>HOA - Head Office Account 
- <>MK - Gross to Pay 
- <>AHG - Monetary Correction 
- <>35 - Current Target Cost 
- <>EAR - Consultant Expenses 
- <>A7 - Noncovered Charges - Estimated 
- <>4Z - Deferred Cost 
- <>FH - Regulatory Fee 
- <>AEB - Actual Cash Value of Building 
- <>WA - Minimum Deposit 
- <>V8 - Actual Outstanding Principal Balance 
- <>H6 - Earnings 
- <>ZT - Prorated Amount 
- <>LR - Total Credit for Settlement 
- <>0N - Custodial Bank Account Adjustment 
- <>6H - Free Reserves 
- <>AW - Replacement Cost 
- <>RL - Regular Remittance 
- <>AFI - Reversal of Voluntary Earned Surplus 
- <>DJ - Liens Amount Original 
- <>J4 - Initial Monthly Payment 
- <>UC - Unspecified Aggregate Limit 
- <>3U - Miscellaneous After Tax Exempt 
- <>GCB - Corrected Tax Bill 
- <>EAB - Air Travel Expenses 
- <>68 - Funds Authorized to Date 
- <>4J - Capital of Other Subsidiaries 
- <>ADK - Training Pay 
- <>PN - Prior Gross Invoice Total 
- <>JD - Weekly Benefit 
- <>U3 - Miscellaneous Expenses 
- <>HF - Other Checks 
- <>EBI - Loan Amount Plus Interest 
- <>7Q - Pensions Provision 
- <>F8 - Usual and Customary Charge - Estimated 
- <>AAV - Shareholder Loans 
- <>SU - Surcharge 
- <>ES - Mortgage Insurance Proceeds 
- <>W1 - W-2 
- <>VH - Levy Amount 
- <>DZ - Job-related Expense 
- <>US - Total Unpaid Principal Balance for Supplemental Loans for Students 
- <>3E - Advertising Expenses 
- <>ECP - Television Advertising Expenses 
- <>6X - Interest on Loans 
- <>AG - Adjusted Gross Income 
- <>AFY - Previous Balance 
- <>FG - Licensing Fee 
- <>AEM - Appropriation of Retained Earnings Less Reversals 
- <>WN - Other Agent Compensation 
- <>IP - Interest Payable During Repayment Period 
- <>V7 - Total Interest Payoff and Repurchase Due to the Investor 
- <>H9 - Original List Price 
- <>ISS - Interest Since Claim Submission 
- <>0A - Interest Substitution Adjustment 
- <>3Z - Excess Amount Requested 
- <>ECO - Telecommunication Expenses 
- <>6G - Franchise Tax Paid 
- <>AX - Previous Price 
- <>45 - Cumulative Schedule Variance (SV) 
- <>RC - Refund Check 
- <>AFF - Profit After Tax and Minority Interest 
- <>P1 - Partner's Calendar Year Salary 
- <>DE - Estimate of Damage 
- <>UL - Mortgage Insurance Financed 
- <>MT - Pre Tax Equity and Fiscal Responsibility Act (TEFRA) Cost Basis 
- <>EAM - Balance Owed 
- <>TDA - Total Depository Accounts 
- <>67 - Adjusted Contract Price Ceiling 
- <>4E - Bank Obligations 
- <>R3 - Disputed Secured Debt 
- <>PA - Payment Cancellation Total 
- <>D5 - Dependent Care Contribution 
- <>ADD - Plant and Machinery 
- <>JK - Disability Premium 
- <>VG - Current Monthly Principal and Interest 
- <>HI - Annual Social Security Tips 
- <>01 - Fixed Installment Control Accounting Error 
- <>BS - Mortgage Note Interest 
- <>F7 - Sales Tax 
- <>AAY - Contribution Not Subject to Repayment 
- <>SZ - Certification Fee 
- <>AFV - Officer Compensation - Statutory Maximum 
- <>RS - Reserves 
- <>DU - Child Support Income 
- <>M4 - Minimum amount of tax to be paid 
- <>3J - Authorized Capital 
- <>BBA - Total Assessable Capital Stock 
- <>6W - Interest of Third Party 
- <>AH - Loan Balance Difference 
- <>ACK - Loans Repay or Forebearance - 61 to 90 Days Past Due 
- <>GN - Buy-down 
- <>90 - "Completion Per Plans" Appraisal Amount 
- <>O6 - Joint Venture Results 
- <>YP - Policy Amount 
- <>X9 - Tax Sheltered Annuity (403B Transfer) 
- <>BAZ - Total Par Value 
- <>1H - Travel Expense 
- <>BC - Billing Cycle Net Fee Position (Excess/Deficit) 
- <>7N - Participating Interest 
- <>AAI - Scheduled Contribution 
- <>SJ - Surrender Full 
- <>EL - Present Market Value 
- <>I0 - Life Insurance Coverage 
- <>VW - First Mortgage Monthly Principal and Interest 
- <>HY - Commercial Space Income 
- <>EBV - Office Rental 
- <>2C - Health Insurance Expense 
- <>ABB - Profit (Loss) Before Financial Items 
- <>NCT - Net Contribution 
- <>5L - Equities, Stocks 
- <>AGO - Additional Repair Price 
- <>QH - Initial Premium 
- <>89 - "Subject To" Appraisal Amount 
- <>K2 - Total Unpaid Security Balance 
- <>T5 - Total Claims 
- <>BAJ - Total Permit Fee Due 
- <>1X - Medical and/or Dental Expense 
- <>KR - Liability-Long Term 
- <>A - Adjusted Chargeback Claim Amount 
- <>8Y - Share Premium Capital 
- <>RPC - Repackaging Cost 
- <>TU - Transportation Cost per Unit of Measure 
- <>QX - Profit Sharing Trust 
- <>1 - Line Item Total 
- <>2S - State Quarterly Unemployment Insurance (UI) Excess Wages 
- <>ABR - Income Subject to Taxes 
- <>CJ - Other Deductions 
- <>GRT - Grant Amount 
- <>9P - Tax on Extraordinary Items 
- <>HZC - Hazardous Clean-up Cost 
- <>OV - Profit and Loss Deficit 
- <>Y0 - Self Insurance Amount 
- <>XY - Sales Price Per Dwelling Unit 
- <>23 - Appraised Value Amount 
- <>SFD - Secured Borrowed Funds Not Deposited 
- <>Q8 - Total Post-advices Rejected 
- <>8I - Receivables 
- <>KB - Estimated Net Adjustment 
- <>Q - Amount Owed to Buyer at Appraisal Notice Date 
- <>TE - Proposed Fee 
- <>NO - Non Commission Sales 
- <>ZK - Federal Medicare or Medicaid Payment Mandate - Category 1 
- <>LM - Limit 
- <>0Q - Schedule 
- <>B3 - Bonuses Divided Over 12 Months 
- <>FW - Flat Fee Paid Current Month 
- <>OF - Contractor's Offer 
- <>XI - Withdrawal Less Taxes 
- <>18 - Prepaid Items Amount 
- <>CZ - Cumulative Earned Value 
- <>GRD - Grants Not Deposited 
- <>ADT - Overhead 
- <>PQ - Advance Amount 
- <>U8L - Tax Payment Refinanced by Same Lender 
- <>MD - Minimum Due 
- <>A8 - Noncovered Charges - Actual 
- <>4U - Cost of Sales 
- <>9E - Specific Performance 
- <>OC - Opening Bank Charges 
- <>UHI - Unsecured Home Improvements 
- <>XL - Uncalled Capital 
- <>AHM - Certificates of Deposit Amount 
- <>EAX - Endorsement Amount 
- <>4P - Common Stock 
- <>ADQ - Labor Per Hour 
- <>PT - Per Occurrence Aggregate Limit 
- <>MA - Maximum Amount 
- <>V2 - Interest Due to Investor 
- <>LX - Loan Expense 
- <>0D - Prepaid Principal 
- <>FB - Calculation Fee 
- <>AEH - Target Profit Ceiling 
- <>WK - Per Week Limit 
- <>IU - Accrued Unpaid Interest Not To Be Capitalized 
- <>DPP - Defaulted Tax Plan Payment 
- <>RF - Restitution 
- <>AFC - Non-Operating Income 
- <>P4 - Prior Year's Wage 
- <>UI - Total Costs 
- <>ECJ - Retainer 
- <>6B - Fixed Assets for Sale 
- <>40 - Current Schedule Variance (SV) 
- <>R6 - Contingent Unsecured Debt 
- <>PD - Credit 
- <>D0 - Administration and Management Costs 
- <>ADA - Partially Paid Amount per Share 
- <>JN - Employer Contribution 
- <>U9 - Estimated Prepaid Items 
- <>MQ - Post Tax Equity and Fiscal Responsibility Act (TEFRA) Cost Basis 
- <>EAH - Amount Raised 
- <>62 - To Complete Performance Index (TCPI) for Budget at Complete (BAC) 
- <>04 - Adjustable Rate Mortgage Change 
- <>BV - Uncollected Interest 
- <>F2 - Patient Responsibility - Actual 
- <>EY - Subject To Broker's Opinion 
- <>VB - Total Non-liquid Assets 
- <>HL - Federal Income Tax Withheld 
- <>EIP - Maintenance Expense on Income Producing Property 
- <>EBC - Family Care Expenses 
- <>ECZ - Polling Expenses 
- <>3O - Long Term Assets 
- <>BBD - Par Value of In-State Assets 
- <>6R - Income Tax, Corporate 
- <>AM - Amount Financed 
- <>RV - Total Payments Rejected 
- <>AFS - Employee Gross Wage 
- <>DP - Exemption 
- <>UY - Total Assets 
- <>M1 - Maximum Out of Pocket Amount 
- <>O3 - Intangible Assets Written Off 
- <>YU - In Process 
- <>1M - Income on Real Property 
- <>ACN - Loans Repay or Forebearance - 181 to 270 Days Past Due 
- <>GK - Average Customer Purchase 
- <>95 - Death Benefit Decrement 
- <>I5 - Gross Annual Income 
- <>VR - Total Monthly Debt 
- <>L8 - Total Post-advices Received 
- <>EBS - Nomination Expenses 
- <>7K - Own Work Capitalized 
- <>BF - Hazard Insurance Premium 
- <>AAL - Subsequent Contribution 
- <>SO - Special Creditors Amount 
- <>EI - Mortgage Payment(s) 
- <>AGJ - Sales Concessions 
- <>QM - Keogh/HR 10 Transfer 
- <>K7 - Price 
- <>T0 - Third-Party Government-Financing for Education 
- <>2F - Automobile Payment 
- <>BTR - Betterment 
- <>ABG - Income from Sale of Fixed Assets 
- <>5I - Doubtful Receivables 
- <>YE - Constant Principal and Interest 
- <>D4D - Dollar For Dollar Deductions 
- <>BAO - Total Franchise Tax Due 
- <>CDC - Clean-up Costs Associated with Deficiency 
- <>D - Payor Amount Paid 
- <>KW - Default Taxes and Insurance 
- <>TP - Total payment amount 
- <>NZ - Equalization Account 
- <>2V - State Quarterly Tip Wages 
- <>ABW - Adjustments for Difference in Average Daily Principal Balance 
- <>5Y - Finished Goods 
- <>AGZ - Extraordinary Income or Expense 
- <>4 - Lock Box Total 
- <>OS - Other Salaries 
- <>Y5 - Total Real Estate Owned Market Value 
- <>CO - Taxes on Deed 
- <>VSI - Value of Securities at Issue Date 
- <>9U - Inventory (Stock) Depreciation 
- <>8L - Restructuring Costs 
- <>KG - Net Collected Amount 
- <>T - Tax 
- <>BOA - Borrower Advance 
- <>NJ - Other Insurance Paid Amount 
- <>UIP - Updated Interest on Presale 
- <>26 - Negotiated Cost 
- <>59 - Cumulative Cost Performance Index (CPIe) - Efficiency (BCWP/ACWP) 
- <>FR - Estimated Government Share 
- <>E9 - Initial Fee 
- <>AEX - Income Tax Credit 
- <>IE - Excise Tax Amount 
- <>PAM - Minimum Delivery Purchase Amount 
- <>ZN - Federal Medicare or Medicaid Payment Mandate - Category 4 
- <>LH - Baseline 
- <>0T - Currently Due 
- <>B6 - Allowed - Actual 
- <>52 - Total Allocated Budget 
- <>Q6 - Automatic Premium Deduction 
- <>KL - Collected Amount 
- <>8G - Raw Materials 
- <>TK - Total Amount of Contract 
- <>NA - Net Adjustment 
- <>ZE - Federal Medicare or Medicaid Claim Mandate - Category 5 
- <>LC - Lessor's Cost 
- <>70 - Open Commitments 
- <>FY - First Payment 
- <>AA7 - Chargeable Amount 
- <>S4 - Salary with Subchapter S Corporation Income 
- <>E2 - Employee Annual Pledge Amount 
- <>WP - Pool Usage Fee 
- <>AES - Declared Profit 
- <>IN - Installment 
- <>9N - Tax Balance 
- <>OH - Handling Charges 
- <>XG - Withdrawal Less Market Value Adjustment 
- <>16 - Discount Fees Paid by Borrower Amount 
- <>CT - Contract 
- <>G0 - Initial Adjustment Total 
- <>TOL - Total Omitted Liabilities 
- <>ADZ - Non-recoverable Depreciation of Repairs 
- <>JU - Judgment 
- <>MJ - Maximum Default Note Holder's Cost 
- <>AHF - Share in Profit or Loss in Other Companies 
- <>34 - Negotiated Contract Changes 
- <>EAS - Corrected Amount 
- <>A6 - Disallowed - Actual 
- <>FI - First Interest Payment Amount 
- <>AEC - Government Share 
- <>V9 - Face Amount 
- <>H7 - Life Insurance Cash Value 
- <>ZU - Loan Charge 
- <>LS - Net Settlement 
- <>TRI - Total Non-rental Income 
- <>3T - Member Risk Capital 
- <>ECA - Personal Expenses 
- <>6I - Furniture 
- <>AV - Actual Cash Value 
- <>RM - Remittance Refund 
- <>AFH - Revaluation Surplus or Deficit 
- <>DK - Release of Lien 
- <>J5 - Original Principal and Interest Payment 
- <>UB - Unpaid Principal Balance 
- <>MZ - Valuation Price 
- <>EAC - Amount Forgiven 
- <>69 - Accrued Expenditures 
- <>4K - Capital Stock 
- <>ADJ - Statutory Profit 
- <>PO - Percent Override 
- <>JE - Lease 
- <>U2 - Ingredient Cost Claimed 
- <>VI - Current Support 
- <>HG - Home Government Financing for Education 
- <>EBH - Incurred Amount 
- <>7P - Pension Debts 
- <>F9 - Usual and Customary - Actual 
- <>AAW - Accumulated Deficit 
- <>ST - State 
- <>ER - Homeowner Association Fees 
- <>W0 - Trade Debtors 
- <>UR - Unearned Income 
- <>LPC - Total Subject Property Liens Paid by Closing 
- <>3D - Advanced Dividends 
- <>ECQ - Unpaid Expenditure 
- <>6Y - Operating Income (Loss) 
- <>AF - Average Float 
- <>ACE - Principal Guarantee Voided 
- <>ENT - Entitlement Amount 
- <>O8 - Long Term Provisions 
- <>BAT - Gross Receipts 
- <>1F - Lodging 
- <>TGD - Total Gifts Not Deposited 
- <>BM - Adjustments 
- <>AAG - Requested Amount from All Reinsurers 
- <>SD - Sales Charge 
- <>EB - Collected Balance (Excess/Deficit) 
- <>VY - Minimum Transfer 
- <>HW - Special Pay 
- <>Z5 - Remaining Pool Balance 
- <>L3 - Total Unidentified Payments Rejected 
- <>EBX - Original Loan Amount 
- <>2M - Monthly Overtime 
- <>ABL - Pledged Assets 
- <>5B - Deferred Taxation 
- <>AGA - Non-Operating Income or Expense 
- <>QF - Electronic Funds Transfer (EFT) 
- <>87 - Most Likely Estimate 
- <>N1 - Net Worth 
- <>YN - Post Tax Equity and Fiscal Responsibility Act (TEFRA) Gain 
- <>BAD - Reinstatement Fee 
- <>1V - Clothing Expense 
- <>C4 - Prior Payment - Actual 
- <>ACU - Direct Sales 
- <>GP - Appraisal Repair Amount 
- <>O - Court Cost 
- <>8W - Share Capital 
- <>NQ - Adjusted Nonrecurring 
- <>IVP - Investment Property 
- <>AGQ - Qualified Financial Assistance 
- <>QV - Pension 
- <>5R - Extraordinary Current Asset Write Downs 
- <>CD - Overpaid Section 235 Subsidy 
- <>OX - Profit after Tax and Before Extraordinary Items 
- <>XW - Original Value 
- <>ABA - Income After Depreciation 
- <>5O - Exports 
- <>QK - Individual Retirement Account Regular Contribution 
- <>K1 - Unpaid Security Balance 
- <>T6 - Claim 
- <>YC - Scheduled Unpaid Principal Balance 
- <>BAI - Permit Fee Interest Due 
- <>C9 - Disallowed Cost Containment - Actual 
- <>ACX - Invested Capital 
- <>KQ - Incremental Order Amount 
- <>B - Estimated 
- <>8Z - Shares in Affiliated Companies 
- <>TV - Level of Premium Insurance - Retention 
- <>OLA - Other Liability Amounts 
- <>ABQ - Income from Business 
- <>CRC - Container Replacement Cost 
- <>2 - Batch Total 
- <>2P - Total Recommended Repairs 
- <>CI - Funds Held for Insured 
- <>9S - Trade Creditors 
- <>OU - Profit 
- <>Y3 - Total Liabilities 
- <>XZ - Sales Price Per Room 
- <>NL - Negative Ledger Balance 
- <>20 - Federal Housing Administration, Mortgage Insurance Premium or Veteran's Administration Funding Fee Amount 
- <>DVP - Development Properties 
- <>8J - Regularization Account 
- <>KA - Estimated Contract 
- <>R - Spend Down 
- <>TF - Total Proposed Price 
- <>ZH - Federal Pension Mandate - Category 3 
- <>LN - Lien Payoff 
- <>0R - Regular Plan 
- <>B0 - Bond 
- <>FT - Endorsement Premium Amount 
- <>S9 - Secured Claim Allowed 
- <>IC - Accrued Unpaid Interest To Be Capitalized 
- <>9C - Special Reserves 
- <>OE - Miscellaneous Charges 
- <>XJ - Withdrawal Year to Date 
- <>CY - Cumulative Budget 
- <>4V - Cost(s) 
- <>ADW - Replacement Cost of Repairs 
- <>PR - Per Occurrence Limit 
- <>JX - Market Value Adjusted Value 
- <>MG - Maximum Late Charge 
- <>AHK - Due from Parent Company 
- <>39 - Current Actual Cost of Work Performed (ACWP) 
- <>0B - Principal Substitution Adjustment 
- <>FD - Direct Deposit Flipped to Check 
- <>AEN - Appropriations 
- <>WM - Total Original Principal Balance 
- <>IS - Independent Scholarship 
- <>PPR - Pending Net Sale Proceeds from Real Estate Assets 
- <>V4 - Total Interest Due to the Investor 
- <>ZX - Release Recording Fee 
- <>3Y - Non-operational Fixed Assets 
- <>ECL - Sub-Contract Value 
- <>6D - Fixtures and Equipment 
- <>46 - Cumulative Cost Variance (CV) 
- <>AFE - Preferred Stock Par Value 
- <>P2 - Prior Plan Year Gross Salary 
- <>DF - Authorized Bid 
- <>J8 - Ending Balance 
- <>UO - Cash from or to Borrower 
- <>MW - Sales Loads 
- <>EAN - Bank Charges 
- <>64 - Initial Contract Price Target 
- <>4F - Buildings 
- <>R0 - Loans to Participants 
- <>PB - Billed Amount 
- <>D6 - Disallowed Cost Containment - Estimated 
- <>ADG - Registered Capital 
- <>JH - Asset Cost Applicable to Portion of Contract 
- <>VD - Actual Person Day Rate 
- <>HJ - Annual Wages, Tips, and Other Compensation 
- <>EBE - Filing Fee 
- <>02 - Graduated Payment Mortgage Adjustment 
- <>BP - Average Net Collected Balance 
- <>F4 - Postage Claimed 
- <>AAZ - Income Before Depreciation 
- <>SY - Initial Buydown Balance 
- <>AFU - Officer Compensation - Actual Flat 
- <>DPF - Discount Points Financed 
- <>RP - Repair 
- <>DV - Separate Maintenance Expense 
- <>M7 - Maximum amount to which tax rate is applied 
- <>3I - Asset Investment 
- <>BBB - Apportioned Value 
- <>6T - Injunction 
- <>AK - Attorney Fees 
- <>ACH - Loans in Authorized Deferment 
- <>GM - Average Case Sales 
- <>93 - Contribution 
- <>O5 - Interest Receivable 
- <>YS - Cancelled 
- <>BAY - Total Value of Out-of-State Property 
- <>1K - Union Dues 
- <>EBU - Office Expenses 
- <>SOF - Setoff 
- <>AVE - Average 
- <>7M - Par Value 
- <>AAJ - Scheduled Disbursement 
- <>SI - Subsequent Interest Payment Amount 
- <>EO - Capital Reserves 
- <>I3 - Price, Gross Living Area 
- <>VT - Current Value 
- <>HZ - Utilities Paid by Owner 
- <>Z8 - Override to Handling Fee 
- <>O2 - Other Family Financing for Education 
- <>YT - Denied 
- <>1L - Regular Income 
- <>ACO - Loans Repay or Forebearance - 271 or More Days Past Due 
- <>GJ - Average Neighborhood Income 
- <>94 - Death Benefit 
- <>AAM - Subsequent Distribution 
- <>SN - Sales Administration Expense 
- <>EH - Amount of Mortgages and Liens 
- <>I4 - Total Estimated Rent 
- <>VS - Other Financing Payment 
- <>CJL - Collections, Judgments, and Liens 
- <>L9 - Total Debit for Settlement 
- <>EBR - Newspaper Advertising Expenses 
- <>7J - Owing to Participants 
- <>BG - Eviction Attorney Fees 
- <>5H - Dividends 
- <>AGK - Property Value 
- <>QL - Keogh/HR 10 
- <>K6 - Maximum Fee 
- <>ETD - Ever To Date (ETD) Claim Loss 
- <>T1 - Teacher 
- <>2G - Other Type of Installment Payment 
- <>ABF - Income Before Allocations 
- <>APT - Amount of Purchase Exempt From Tax or Fee 
- <>BAN - Franchise Tax Penalty Due 
- <>FBA - Final Balance 
- <>GZ - Total Finance Charge 
- <>YD - Principal Due to Investor 
- <>E - Estimated Credit 
- <>KV - Liability-Short Term 
- <>TQ - Subsidies for Operating Costs 
- <>2W - Asset-Long Term 
- <>ABV - Interest Amount 
- <>5X - Financial Income 
- <>INB - Installment Balance After the Current Installment is Applied 
- <>5 - Total Invoice Amount 
- <>9T - Inventory (Stock) 
- <>OR - Letter of Credit Remaining Amount 
- <>Y4 - Total Liability Monthly Payments 
- <>CN - Special Assessments 
- <>58 - Current Schedule Performance Index (SPI) 
- <>8M - Result 
- <>KF - Net Paid Amount 
- <>U - Underpayment 
- <>TA - Total Annual Sales 
- <>NK - Total in Force and Applied Coverage 
- <>27 - Authorized Unpriced Work 
- <>B7 - Deductible - Estimated 
- <>FS - Expense 
- <>E8 - Education Contribution 
- <>WZ - Severance Pay 
- <>AEY - Long-Term Deposits 
- <>ID - Import Duty Amount 
- <>ZO - Federal Medicare or Medicaid Payment Mandate - Category 5 
- <>LI - Line Item Unit Price 
- <>0U - Coverage Premium 
- <>XM - Unemployment Contribution 
- <>9D - Specially Secured Creditors 
- <>OB - Outstanding Loan Balance 
- <>AHL - Owing from Subsidiary Companies 
- <>EAY - Entertainment Expenses 
- <>4Q - Consequential Damages 
- <>ADP - Additional Amount to Meet Minimum 
- <>PU - Unsecured Priority Claim 
- <>PBG - Profit (Loss) Before Grants 
- <>IT - Incentive Fee 
- <>V3 - Total Principal Due to the Investor 
- <>LY - Total Remaining Principal Balance for the Issuer 
- <>0E - Delinquent Interest 
- <>FC - Expected Family Contribution 
- <>AEI - Labor Per Day 
- <>WJ - Dual Agency Compensation 
- <>RG - Budgeted Redemption 
- <>AFB - Non-Operating Expense 
- <>P5 - Partner's Tax Year Salary 
- <>DA - Original Mortgage 
- <>UH - Subordinate Financing 
- <>GFD - Gifts Not Deposited 
- <>ED4 - Tuition and Required Fees 
- <>LPY - Lease Payments 
- <>ECK - Sign Expenses 
- <>TPA - Total Previous Adjusted Claim 
- <>6C - Fixtures 
- <>41 - Current Cost Variance (CV) 
- <>63 - To Complete Performance Index (TCPI) for Estimate At Complete (EAC) 
- <>4A - Nonissued Capital 
- <>R7 - Disputed Unsecured Debt 
- <>PE - Plan Period Election 
- <>D1 - Deferred Compensation Commissions 
- <>JO - Free Look Value 
- <>U8 - Refinance 
- <>MP - Monthly Payment Amount 
- <>PEX - Profit (Loss) after Extraordinary Items and Tax 
- <>EAI - Amount Received 
- <>05 - Fixed Installment Control Substitution Adjustment 
- <>7Z - Proposed Dividend 
- <>BW - Amount Due from Buyer at Closing 
- <>F3 - Patient Responsibility - Estimated 
- <>TBC - Total Buyer Closing Costs 
- <>EX - As Is Broker's Opinion 
- <>VC - Authorized 
- <>HM - Advance Earned Income Credit 
- <>COA - Corporate Assets 
- <>EBB - Expenditure Amount 
- <>M0 - Loans from Officers 
- <>3N - Bank Account(s) 
- <>BBE - In-State Business Revenue 
- <>6S - Income Tax, Noncorporate 
- <>AL - Average Ledger Balance 
- <>RW - Total Delinquency 
- <>AFR - Benefit Type Net Weekly Amount 
- <>DQ - Settlement 
- <>UX - Utilities, Furniture, and Amenities Included in Rent 
- <>GFT - Gift Amount 
- <>EU - Insurance Proceeds (Primary Settlement) 
- <>W7 - Direct Transfer 
- <>VN - Commission Basis 
- <>EBO - New Loan Amount 
- <>08 - Interest Accounting Error 
- <>7W - Profit or Loss before Taxes 
- <>BZ - Deficiency Judgment Expenses 
- <>AAP - Tax-State 
- <>SS - Campaign Summary Amount to be Shared 
- <>BBH - Ordinance Amount 
- <>AA - Allocated 
- <>RZ - Lender's Total Delinquency 
- <>UU - Clearing House Settlement 
- <>3C - Accounts Receivable 
- <>ECV - Incidental Expenses 
- <>ACB - Principal Cured 
- <>GG - Adjusted Sales Price of Comparable Sales 
- <>99 - Single Premium 
- <>YY - Returned 
- <>X0 - Treble Damages 
- <>BAS - Gross In-State Receipts 
- <>1A - Variance 
- <>7G - Owing to Affiliates 
- <>BJ - Disbursements Not Shown Elsewhere 
- <>SC - Total Service Charge 
- <>EE - Other Expense 
- <>I9 - Indicated Value by Market Approach Estimate of Market Value 
- <>HP - Gross Pay Submitted 
- <>Z2 - Repackaging Material Cost 
- <>L4 - Total Credits Received 
- <>N6 - Carrier Tax Act Taxes 
- <>2J - Total Projected Monthly Expenses 
- <>ABK - Non-taxed Reserves 
- <>5E - Depreciation of Fixed Assets 
- <>AGF - Capital Increase 
- <>QA - Combined 
- <>80 - Funding - Total Requirements 
- <>YI - New Principal and Interest 
- <>BAC - Addition to Tax 
- <>1Q - Electric and/or Fuel Payment 
- <>C3 - Prior Payment - Estimated 
- <>ACR - Amount Involved 
- <>GW - Total Charge 
- <>H - Bid Amount 
- <>8P - Sales 
- <>PCS - Prior Contract Surrender Charge 
- <>NV - Renewal Amount 
- <>5U - Financial Charges 
- <>AGV - Operating Cash Flow 
- <>QQ - Payroll Taxes 
- <>8 - Total Monetary Discount Amount 
- <>2Z - Commission Retained 
- <>CC - Chargeback Claim Amount 
- <>9Y - Issued Capital 
- <>Y9 - Total Real Estate Owned Miscellaneous Expenses 
- <>XP - Unsecured Liabilities 
- <>NF - Monthly Net Fee Position (Excess/Deficit) 
- <>55 - At Complete Forecast 
- <>Q1 - Proposed 
- <>KK - Item Gross Amount 
- <>X - Deficiency Judgment Expenses and Fees 
- <>PCC - Prior Contract Cost Basis 
- <>TL - Total Prior Loan Amount Owed 
- <>ZB - Federal Medicare or Medicaid Claim Mandate - Category 2 
- <>LD - Incremental 
- <>77 - Forecast of Work - Not Yet Authorized 
- <>S3 - Salary with Commissions 
- <>E5 - Employer Current Contribution 
- <>WW - Amount that Would Have Been Paid in the Absence of Capitation 
- <>AET - Discounted Notes 
- <>II - Irregular Interest Payment Amount 
- <>9I - Suit Amount 
- <>OO - Overdrafts 
- <>AJC - Adjusted Claim 
- <>11 - Liabilities at Bankruptcy 
- <>UEP - Updated Expenses on Presale 
- <>CS - Commission Sales 
- <>G7 - Sales or Financing Concessions 
- <>PX - Per Person Maximum per Week Limit 
- <>JR - Guaranteed Minimum Death Benefit 
- <>MM - Payout 
- <>AHA - Unfinished Production Carried Forward 
- <>33 - Original Contract Target Cost 
- <>EAT - Disability Expenses 
- <>A1 - Average Negative Ledger Balance 
- <>0H - Serial Note Principal Available for Distribution 
- <>FN - Fine 
- <>AED - Contractor Share 
- <>WG - Security Trade Amount 
- <>IY - Debentures 
- <>H0 - Host Government (government of the institution) Financing for Education 
- <>VES - Vested/Earned Upper Fund 
- <>ZR - Increase 
- <>LT - Total Award 
- <>3S - Machines and Tools 
- <>ECF - Public Funds 
- <>HEM - Hemophilia Adjustment 
- <>6N - Grants for Operating Costs 
- <>AQ - Average Price Per Call 
- <>RJ - Rate Amount 
- <>AFO - Voluntary Earned Surplus 
- <>P8 - Partner's K1 Calendar Year Amount 
- <>DL - Debit 
- <>J2 - Original Face Amount 
- <>UE - Mortgage Insurance 
- <>AHQ - Investment Securities Amount 
- <>EAD - Amount Guaranteed 
- <>4L - Cash 
- <>ADM - Expected Reimbursement Amount 
- <>PH - Per Occurrence Deductible 
- <>JB - Equity Claimed as Exempt 
- <>U5 - Cost of Improvements 
- <>9B - Social Security (FICA) 
- <>OD - Draft Amount 
- <>DFA - Deferred Assets 
- <>XK - Unavailable Reserves 
- <>CX - Actual 
- <>4W - Current Assets 
- <>PS - Per Occurrence per Day Limit 
- <>JY - Market Value Adjustment 
- <>MF - Administrative Fees 
- <>AHJ - Amounts Placed with Other Banks 
- <>38 - Current Budgeted Cost for Work Performed (BCWP) 
- <>0C - Prepaid Interest 
- <>FE - Fee 
- <>AEO - Billings and Costs-Profit Differential 
- <>WL - Lender's Opinion of Value 
- <>IR - Insurance Recovery 
- <>V5 - Total Curtailment Due to the Investor 
- <>ZY - Assumption 
- <>GUI - Tax Installment Due 
- <>3X - Nominal Damages 
- <>ECM - Tax Receipts 
- <>6E - Franchise 
- <>AZ - Other Foreclosure and Acquisition Expenses 
- <>47 - Reprogram Cost Variance 
- <>RA - Accelerated Royalty 
- <>AFD - Operating Profit or Loss 
- <>P3 - Premium Amount 
- <>DG - Escrow Balance 
- <>J9 - Beginning Balance 
- <>UN - Unsecured, Nonpriority Claim 
- <>EDB - Books and Supplies 
- <>MV - Premium Tax Paid up Front 
- <>EAO - Bank Loan 
- <>65 - Initial Contract Price Ceiling 
- <>4G - Buildings Under Construction 
- <>UPF - Upper Fund 
- <>R1 - Fixed, Liquidated Secured Debt 
- <>PC - Positive Collected Balance 
- <>D7 - Dispensing Fee 
- <>ADF - Pre-Tax Profit 
- <>JI - Annual Fee 
- <>SX - Severance Tax 
- <>VE - Estimated Person Day Rate 
- <>HK - Social Security Employee Tax Withheld 
- <>EBD - Federal Share Amount 
- <>03 - Growing Equity Mortgage Adjustment 
- <>BQ - Bail 
- <>F5 - Patient Amount Paid 
- <>BBC - Estimated In-State Real Property Value 
- <>6U - Intangible Depreciation 
- <>AJ - Funds Held by Mortgagee 
- <>AFT - Garage Gross Wages 
- <>RQ - Recommended Amount 
- <>DW - Separate Maintenance Income 
- <>M6 - Maximum amount of tax to be paid 
- <>3H - Amount of Decree 
- <>BAX - Value of In-State Property 
- <>1J - Insurance Expense 
- <>ACI - Loans Repay or Forebearance - Current or Less than 31 Days 
- <>GL - Weekly Dollar Sales 
- <>92 - Compensation 
- <>O4 - Interest Payable 
- <>YR - Payments in Arrears 
- <>OEQ - Office Equipment 
- <>EBT - Non-Federal Share 
- <>BA - Bargain 
- <>7L - Paid in Capital 
- <>AAK - Short Term Investment 
- <>SH - Surrender Charge 
- <>EN - Cancellation Fee 
- <>I2 - Income 
- <>VU - Closing Cost 
- <>Z9 - Production Cost 
- <>T7 - Total Credits Accepted 
- <>2A - Home Insurance Expense 
- <>ATF - Amount of Tax or Fee Exemption 
- <>5N - Exceptional Item 
- <>AGM - Partial Release Amount 
- <>QJ - Individual Retirement Account Direct Transfer 
- <>K0 - Discounted Bills not Due 
- <>YB - Actual Unpaid Principal Balance 
- <>LST - Loss on Sale Of Property 
- <>BAH - Permit Fee Penalty Due 
- <>1Z - Charitable Contributions 
- <>C8 - Payor Responsibility - Actual 
- <>ACY - Loan from Family Members 
- <>NBO - Net Worth of Business Owned 
- <>KP - Principal and Interest 
- <>C - City 
- <>TW - Technicians Indemnity Provision 
- <>ABP - Taxable Assets 
- <>QZ - Payment Amount 
- <>3 - Deposit Total 
- <>2Q - State Quarterly Total Gross Wages 
- <>CH - Change Amount 
- <>9R - Taxed Reserves 
- <>OT - Commission Amendment Charges 
- <>Y2 - Total Real Estate Owned 
- <>TG - Alternate Proposed Price 
- <>NM - Non-collateralized Amount 
- <>21 - Original Cost of Property Amount 
- <>8K - Research and Development 
- <>S - Submitted Chargeback Claim Amount 
- <>IB - Investable Balance 
- <>ZI - Federal Pension Mandate - Category 4 
- <>LO - Money Purchase 
- <>0S - Previously Billed 
- <>B1 - Benefit Amount 
- <>FU - Commercial Staff Indemnity Charge 
- <>S8 - Period Rental 
- <>PRD - Property Damage 
- <>8N - Retained Earnings 
- <>KE - Annual Revenue 
- <>V - Cost of Deficiency 
- <>TB - Total Annual Sales to Customer 
- <>NH - Medicare Deductible 
- <>24 - Gross Monthly Income Amount 
- <>TRP - Total Liabilities for Rental Properties 
- <>79 - Forecast of Work - Total 
- <>B4 - Bonuses and Commissions 
- <>FP - Fees Paid Year to Date 
- <>WY - Loan Withdrawal 
- <>AEZ - Long-Term Loans 
- <>IG - Adjustment for Gross Living Area 
- <>OUT - Inpatient Outlier Adjustment 
- <>ZL - Federal Medicare or Medicaid Payment Mandate - Category 2 
- <>LJ - Legal and Audit 
- <>XN - Unlimited Capital, Minimum Fixed 
- <>GRC - Gross Contribution 
- <>G9 - As-is Value of Site Improvements 
- <>9G - Statutory Reserves 
- <>OA - Principal Balance Amount 
- <>MC - Cost of Money 
- <>AHO - Non Publicly Traded Shares Amount 
- <>EAZ - Excess Expenses 
- <>4R - Compensatory Damages 
- <>ADS - Recoverable Depreciation 
- <>PV - Prepetition Charges 
- <>AEJ - Difference in Interest Due 
- <>WI - Other Financing 
- <>IW - Furniture Allowance 
- <>V0 - Value Added 
- <>LZ - Delinquent Payment 
- <>0F - Delinquent Principal 
- <>42 - Cumulative Budgeted Cost for Work Scheduled (BCWS) 
- <>RD - Per Person Limit 
- <>AFA - Minority Interest 
- <>P6 - Premium Due 
- <>DB - Unapplied Section 235 Funds 
- <>UK - Base Loan Amount (w/o financed Mortgage Insurance) 
- <>ECH - Reimbursed Amount 
- <>60 - Cumulative Cost Performance Index (CPIp) - Planned (ACWP/BCWP) 
- <>4B - Notes Payable 
- <>R4 - Unliquidated Secured Debt 
- <>PF - Principal 
- <>D2 - Deductible Amount 
- <>ADC - Personal Loan 
- <>JL - Employee Additional Contribution 
- <>MS - Past-Due Taxes and Assessment Remaining Unpaid 
- <>EAJ - Amount Refunded 
- <>EBA - Expected Expenditure Amount 
- <>06 - Interest Adjustment 
- <>7Y - Progress Payments 
- <>BT - Bank Reject Total 
- <>F0 - Commercial Staff Labor Costs 
- <>W9 - Secondary Finance 
- <>HN - Commission 
- <>M3 - Tax rate expressed as a flat fee 
- <>ECX - Gift Value 
- <>3M - Bad Debts 
- <>TPR - Total Net Proceeds from Real Estate Assets 
- <>BBF - Subscription Price 
- <>6P - Income Stated in Advance 
- <>AO - Amount Override 
- <>RT - Last Payment 
- <>AFQ - Benefit Type Gross Weekly Amount 
- <>DR - Alimony Expense 
- <>O1 - Amount of First Mortgage Being Refinanced 
- <>YW - Paid 
- <>ACL - Loans Repay or Forebearance - 91 to 120 Days Past Due 
- <>GI - Average Customer Income 
- <>97 - Loan Repayment 
- <>AAN - Tax-Federal 
- <>SM - Supplemental 
- <>EK - Net Rental Income 
- <>I7 - Engineer's Salary 
- <>VP - Current Monthly Payment 
- <>EBQ - Newsletter Expenses 
- <>7I - Owing to National Social Security Office 
- <>BD - Balance Due 
- <>SAL - Salvage 
- <>ABE - Profit (Loss) After Financial Items 
- <>5K - Equipment Subsidies 
- <>AGH - Transferred Amount 
- <>QO - List Billing 
- <>K5 - Minimum Fee 
- <>T2 - Total Claim Before Taxes 
- <>TIS - Total Self-employed Income from Primary and Secondary Sources 
- <>N8 - Miscellaneous Taxes 
- <>2D - Automobile Insurance Expense 
- <>BAM - Net Franchise Tax Due 
- <>GY - Total Debit 
- <>YG - Beginning Scheduled Unpaid Principal Balance 
- <>NX - Retention Per Policy 
- <>F - Annual Limit 
- <>KU - Default Interest 
- <>TR - Target Cost 
- <>2T - State Quarterly Unemployment Insurance (UI) Taxable Wages 
- <>ABU - Average Daily Principal Balance 
- <>AGX - Set Aside for Provisions 
- <>6 - Amount Subject to Total Monetary Discount 
- <>9W - Investment in Own Shares 
- <>OQ - Payroll Costs 
- <>Y7 - Total Real Estate Owned Mortgages and Liens 
- <>CM - Claimant Requested Total 
- <>TEP - Total Maintenance Expense on All Income Producing Properties 
- <>ABZ - Principal Increases 
- <>5T - Financial Assets 
- <>AGW - Payments for Outside Work 
- <>QP - Modal Premium 
- <>9 - Total Operational Statement Amount 
- <>XQ - Value Added Tax 
- <>CB - Collected Balance Required 
- <>9X - Investments 
- <>Y8 - Total Real Estate Owned Mortgage Payments 
- <>TM - Time and Expense Paid Current Month 
- <>NG - Medicare Copayment 
- <>54 - Forecast 
- <>Q0 - Loans to Affiliated Companies 
- <>KJ - Minimum Contract Amount 
- <>Y - Current List Price 
- <>8A - Provision for Depreciation of Stock or Inventory 
- <>WV - Total Points Paid at Closing 
- <>AEU - Endorsed Notes 
- <>IH - Predominant Price High 
- <>ZC - Federal Medicare or Medicaid Claim Mandate - Category 3 
- <>LE - Loan Eligibility Amount 
- <>NRE - Net Restoration Expenses 
- <>76 - Contract Work Authorized - Total 
- <>AA1 - Excess Funds 
- <>S2 - Salary with Bonuses 
- <>E4 - Employer Pledge Amount 
- <>G6 - Adjusted Sales Price 
- <>DLQ - Delinquent Taxes 
- <>9H - Subscribed Capital 
- <>TLA - Total Other Liquid Assets 
- <>ON - Negotiating Bank Charges 
- <>XA - Maximum Award Fee 
- <>10 - Shipment Value in U.S. Dollars 
- <>CR - Contractor at Complete 
- <>A0 - Assistantship from Admitting Educational Institution 
- <>PY - Per Person per Day Limit 
- <>JS - Interim Value 
- <>ML - Prior Net Invoice Total 
- <>32 - Target Fee or Profit Amount 
- <>EAU - Disposed Amount 
- <>0I - Servicing Fee 
- <>FO - Fees Paid 
- <>AEE - Award Fee 
- <>WF - Veterans Affairs Loan Guarantee 
- <>ERN - Earnest Money 
- <>H1 - Legal Reserves 
- <>ZS - Decrease 
- <>LU - Option Amount 
- <>3R - Losses on Capital 
- <>ECG - Radio Advertising Expenses 
- <>6O - Group Related Financial Income 
- <>AP - Amount Prior to Fractionalization 
- <>RK - Provision for Long Term Depreciation 
- <>AFN - Unallocated Profit 
- <>P9 - Current Mortgage Principal Balance 
- <>DM - Asset 
- <>J3 - Fixed Default Note Holder's Amount 
- <>UD - Unsecured, Nonpriority Claim Allowed 
- <>U4 - Present Value of Lot 
- <>AHP - Trading Securities Amount 
- <>EAE - Amount Over Fair Market Value 
- <>4M - Capital Subsidies Received 
- <>ADL - Retroactive Pay 
- <>PI - Per Occurrence Monthly Limit 
- <>JC - Counter Claim 
- <>AAQ - Trust Fund 
- <>SR - Secured Claim 
- <>ET - Net Proceeds from Sale of Real Estate Property 
- <>W6 - Direct Rollover 
- <>VO - Commission Earned 
- <>HA - Coin 
- <>EBN - Miscellaneous Receipts 
- <>09 - Principal Accounting Error 
- <>7V - Profit or Loss after Taxes 
- <>BBI - Capital for a Cooperative 
- <>UT - Value Added Sales 
- <>GUS - Total Supplemental Tax Paid 
- <>3B - Accounts Payable 
- <>ECW - Transportation Expenses 
- <>BAR - Amount to be Refunded 
- <>ACC - Principal Sold 
- <>GF - External Depreciation 
- <>98 - Prior W2 
- <>YX - Paid for This Facility 
- <>X1 - Transfer to Untaxed Reserves 
- <>L5 - Total Debits Received 
- <>7F - Owing from Participants 
- <>BK - Disbursements for Protection and Preservation 
- <>AAA - Temporary Term Coverage 
- <>SB - Stated Amount 
- <>ED - Estimated Cost of Attendance 
- <>I8 - Elevator Operator's Salary 
- <>HQ - Intersell Commission Sales 
- <>Z3 - Unit Cost of Discrepant Material 
- <>N7 - Federal Unemployment Tax Act Taxes 
- <>2K - Excess Income 
- <>ABJ - Blocked Accounts 
- <>5D - Depreciation 
- <>AGG - Deed Capital 
- <>81 - Funds Carryover 
- <>YH - Tax and Insurance Principal Balance 
- <>BAB - Original Amount of Instrument 
- <>1P - Total Monthly Income 
- <>C2 - Child Rider Coverage 
- <>ACS - Assigned Capital 
- <>GV - Gross Value 
- <>I - Interest 
- <>8Q - Sales and Use Tax 
- <>KZ - Mortgagor's Monthly Obligations 
- <>NW - Retention Per Life 
- <>MMA - Modified Mortgage Amount