element <previousInaccurateEventId> (local)
Namespace:
Type:
Content:
complex, 1 attribute, 3 elements
Defined:
locally within LoanEvent complexType in fpml-loan-5-8.xsd; see XML source
Content Model Diagram
XML Representation Summary
<previousInaccurateEventId
   
 = 
xsd:ID
   
>
   
Content: 
</previousInaccurateEventId>
Content model elements (3):
accountReference (defined in PartyAndAccountReferences.model group),
eventId,
partyReference (defined in PartyAndAccountReferences.model group)
Included in content model of elements (67):
accruingFeeChange,
accruingFeeChangeGroup,
accruingFeeExpiry,
accruingFeePayment (in accruingFeePaymentNotification),
accruingFeePayment (in accruingFeePaymentNotificationRetracted),
accruingPikOptionChange (in accrualOptionChangeNotification),
accruingPikOptionChange (in accrualOptionChangeNotificationRetracted),
accruingPikPayment (in accruingPikPaymentNotification),
accruingPikPayment (in accruingPikPaymentNotificationRetracted),
adjustment,
amendmentFeePayment,
baseRateSet,
baseRateSet (in rolloverNotification),
baseRateSet (in rolloverNotificationRetracted),
borrowing,
borrowing (in rolloverNotification),
borrowing (in rolloverNotificationRetracted),
breakageFeePayment,
breakageFeePayment (in prepaymentNotification),
breakageFeePayment (in prepaymentNotificationRetracted),
commitmentAdjustment,
commitmentAdjustment (in prepaymentNotification),
commitmentAdjustment (in prepaymentNotificationRetracted),
commitmentAdjustment (in rolloverNotification),
commitmentAdjustment (in rolloverNotificationRetracted),
defaultRateChange,
defaultRateExpiry,
facilityEventGroup,
facilityExtensionFeePayment,
facilityFeePaymentGroup,
facilityRateChangeGroup,
facilityTermination,
fixedRateOptionChange (in accrualOptionChangeNotification),
fixedRateOptionChange (in accrualOptionChangeNotificationRetracted),
floatingRateOptionChange (in accrualOptionChangeNotification),
floatingRateOptionChange (in accrualOptionChangeNotificationRetracted),
fundingFeePayment,
interestCapitalization,
interestCapitalization (in rolloverNotification),
interestCapitalization (in rolloverNotificationRetracted),
interestPayment,
interestPayment (in rolloverNotification),
interestPayment (in rolloverNotificationRetracted),
lcAdjustment,
lcEventGroup,
lcFxRevaluation,
lcIssuance,
lcIssuanceFeePayment,
lcOptionChange (in accrualOptionChangeNotification),
lcOptionChange (in accrualOptionChangeNotificationRetracted),
lcRateChange,
lcRenewal,
lcTermination,
loanContractEventGroup,
mandatoryCostRateChange,
mandatoryCostRateExpiry,
maturityChange,
miscFeePayment,
penaltyRateChange,
penaltyRateExpiry,
repayment,
repayment (in prepaymentNotification),
repayment (in prepaymentNotificationRetracted),
repayment (in rolloverNotification),
repayment (in rolloverNotificationRetracted),
upfrontFeePayment,
waiverFeePayment
Annotation
A unique id associated with a previous inaccurate event. Population of this identifier reflects the fact that this new event is being used to apply a 'corrective measure' to the referenced event (rather than this being an actual real-life event). The net result (across both events) ensures accurate accounting.
XML Source (w/o annotations (1); see within schema source)
<xsd:element minOccurs="0" name="previousInaccurateEventId" type="BusinessEventIdentifier"/>

XML schema documentation generated with DocFlex/XML 1.10b5 using DocFlex/XML XSDDoc 2.8.1 template set. All content model diagrams generated by Altova XMLSpy via DocFlex/XML XMLSpy Integration.