fpml:CashSettlementPaymentDate
A type defining the cash settlement payment date(s) as either a set of explicit dates, together with applicable adjustments, or as a date relative to some other (anchor) date, or as any date in a range of contiguous business days.
Complex type information
Namespace: http://www.fpml.org/FpML-5/confirmation
Schema document: fpml-ird-5-5.xsd
Content
- Choice [1..1]
- fpml:adjustableDates A series of dates that shall be subject to adjustment if they would otherwise fall on a day that is not a business day in the specified business centers, together with the convention for adjusting the date.
- fpml:relativeDate A date specified as some offset to another date (the anchor date).
- fpml:businessDateRange A range of contiguous business days.
Attributes
Name | Occ | Type | Description | Notes |
---|---|---|---|---|
id | [0..1] | xsd:ID |
Used by
- Element fpml:cashSettlementPaymentDate