fpml:RateIndex
Complex type information
Namespace: http://www.fpml.org/FpML-5/confirmation
Schema document: fpml-asset-5-5.xsd
Content
- Sequence [1..1]
- fpml:instrumentId [1..*] Identification of the underlying asset, using public and/or private identifiers.
- fpml:description [0..1] Long name of the underlying asset.
- fpml:currency [0..1] Trading currency of the underlyer when transacted as a cash instrument.
- fpml:exchangeId [0..1] Identification of the exchange on which this asset is transacted for the purposes of calculating a contractural payoff. The term "Exchange" is assumed to have the meaning as defined in the ISDA 2002 Equity Derivatives Definitions.
- fpml:clearanceSystem [0..1] Identification of the clearance system associated with the transaction exchange.
- fpml:definition [0..1] An optional reference to a full FpML product that defines the simple product in greater detail. In case of inconsistency between the terms of the simple product and those of the detailed definition, the values in the simple product override those in the detailed definition.
- fpml:floatingRateIndex [1..1]
- fpml:term [1..1] Specifies the term of the simple swap, e.g. 5Y.
- fpml:paymentFrequency [0..1] Specifies the frequency at which the index pays, e.g. 6M.
- fpml:dayCountFraction [0..1] The day count basis for the index.
from type fpml:IdentifiedAssetfrom type fpml:UnderlyingAsset
Attributes
Name | Occ | Type | Description | Notes |
---|---|---|---|---|
id | [0..1] | xsd:ID | from type fpml:Asset |
Used by
- Element fpml:rateIndex
Type inheritance chain
- fpml:Asset
- fpml:IdentifiedAsset
- fpml:UnderlyingAsset
- fpml:RateIndex
- fpml:UnderlyingAsset
- fpml:IdentifiedAsset