It does correspond to the sum of the caducity funds, the provision funds for the renewing and the subvention funds of all the selected assets to be renewed. This amount is calculated at each modification of the assets to be renewed grid, the effective renewing date or the issue rule. This re-calculation is carried out:
-either automatically when the Calculation of the funds indicator is ticked,
-or by activating the button,available when this indicator is not ticked.
The time needed for the calculation depends on the number of assets selected to be renewed.