Schema Central > FpML 5.5 Transparency > fpml-dividend-swaps-5-5.xsd > fpml:equityExercise
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fpml:equityExercise

The parameters for defining how the equity option can be exercised, how it is valued and how it is settled.

Element information

Content

Attributes

None

Used in

Sample instance

<equityExercise>
   <equityEuropeanExercise>
      <expirationDate>
         <adjustableDate>
            <unadjustedDate>2004-07-13</unadjustedDate>
         </adjustableDate>
      </expirationDate>
      <equityExpirationTimeType>OSP</equityExpirationTimeType>
   </equityEuropeanExercise>
   <equityValuation>
      <valuationDate id="FinalValuationDate">
         <adjustableDate>
            <unadjustedDate>2004-07-13</unadjustedDate>
         </adjustableDate>
      </valuationDate>
      <valuationTimeType>Close</valuationTimeType>
   </equityValuation>
   <settlementDate>
      <relativeDate>
         <periodMultiplier>2</periodMultiplier>
         <period>D</period>
         <dateRelativeTo href="FinalValuationDate"/>
      </relativeDate>
   </settlementDate>
   <settlementCurrency>EUR</settlementCurrency>
   <settlementType>Physical</settlementType>
</equityExercise>

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