fpml:finalSettlementDate
The final date for settlement. This is the date on which any residual exchange amount will be delivered. * This is an adjusted date i.e. a good business day for delivery in the location(s) specified in executionPeriodDates /businessCenters
Element information
Namespace: http://www.fpml.org/FpML-5/transparency
Schema document: fpml-fx-5-5.xsd
Type: xsd:date
Properties: Local, Qualified
Content
Used in
- Type fpml:FxFlexibleForward (Element fpml:fxFlexibleForward)
Sample instance
<fpml:finalSettlementDate>2000-01-01</fpml:finalSettlementDate>