element <currency> (local)
Namespace:
Type:
Content:
simple, 1 attribute
Defined:
locally within MoneyBase complexType in fpml-shared-5-8.xsd; see XML source
Content Model Diagram
XML Representation Summary
<currency
   
 = 
xsd:anyURI : "http://www.fpml.org/coding-scheme/external/iso4217-2001-08-15"
   
>
   
Content: 
{ xsd:normalizedString }
</currency>
Simple Content Detail:
MaxLength:
255
MinLength:
0

Included in content model of elements (143):
accrualAmount,
accrualsAmount,
accruedInterest (defined in PendingPayment complexType),
allocatedNotional,
amount (defined in AccruingFeePayment complexType),
amount (defined in AccruingPikPayment complexType),
amount (defined in Adjustment complexType),
amount (defined in Borrowing complexType),
amount (defined in InterestCapitalization complexType),
amount (defined in InterestPayment complexType),
amount (defined in LetterOfCreditSummary complexType),
amount (defined in LoanContractSummary complexType),
amount (defined in NonRecurringFeePayment complexType),
amount (defined in PendingPayment complexType),
amount (defined in Repayment complexType),
amount (in adjustment),
amount (in assignmentFee),
amount (in knockoutLevel),
amount (in lcAdjustment),
amount (in lcIssuance),
amount (in lcIssuanceFeePayment),
amount (in outstandingsPosition),
amount (in taxWithholding),
basketAmount,
brokerageFee,
calculationAmount (in fixedAmountCalculation),
calculationAmount (in floatingAmountCalculation),
calculationAmount (in protectionTerms),
callCurrencyAmount,
cashSettlementAmount,
cashflowAmount,
changeInKnownAmount,
changeInNotionalAmount (defined in TradeLegNotionalChange.model group),
changeInNotionalAmount (defined in TradeNotionalChange.model group),
contractRate,
contractRateStep,
creditChargeAmount,
currentDealAmount,
defaultRequirement,
dividend,
exerciseInNotionalAmount (defined in OptionExerciseAmount.model group),
exerciseInNotionalAmount (in specifiedExercise),
factoredCalculationAmount,
featurePaymentAmount (defined in CommodityBarrier complexType),
featurePaymentAmount (in digital),
fixedAmount (defined in PeriodicPayment complexType),
fixedAmount (in singlePayment),
flatRateAmount,
forecastAmount,
forecastPaymentAmount,
forwardPrice,
fundedUtilizedAmount (defined in Utilization.model group),
fundedUtilizedAmount (defined in Utilization.model group),
futureValueNotional,
interest,
issuedAmount,
marginThreshold,
maximumNotionalAmount (in multipleExercise in americanExercise in fxOption),
maximumPaymentAmount,
maximumTransactionPaymentAmount,
minLcIssuanceFeeAmount (defined in LcOption complexType),
minLcIssuanceFeeAmount (defined in LetterOfCreditFeatures.model group),
minimumExecutionAmount,
minimumNotionalAmount (in multipleExercise in americanExercise in fxOption),
minimumQuotationAmount,
minimumTransferAmount,
netAmount,
nominal,
nominalAmount,
notional (defined in EquityDerivativeBase complexType),
notional (defined in FxPerformanceSwap complexType),
notional (in fra),
notional (in straddle),
notionalAmount (defined in FxCashSettlement complexType),
notionalAmount (defined in OptionBaseExtended complexType),
notionalAmount (defined in ReturnSwapNotional complexType),
notionalAmount (in commodityDigitalOption),
notionalAmount (in commodityInterestLeg),
notionalAmount (in commodityReturnLeg),
notionalAmount (in commodityVarianceLeg),
notionalAmount (in correlation),
notionalAmount (in fxFlexibleForward),
notionalAmount (in notionalAmountBasket),
novatedAmount,
originalCommitment,
outstandingKnownAmount,
outstandingNotionalAmount (defined in OptionExerciseAmount.model group),
outstandingNotionalAmount (defined in TradeLegNotionalChange.model group),
outstandingNotionalAmount (defined in TradeNotionalChange.model group),
outstandingNotionalAmount (in specifiedExercise),
partialExerciseAmount,
payment (in payoff defined in FxTargetConstantPayoffRegion complexType),
paymentAmount (defined in EquityPremium complexType),
paymentAmount (defined in NonNegativePayment complexType),
paymentAmount (defined in Payment complexType),
paymentAmount (defined in SimplePayment complexType),
paymentAmount (in additionalPaymentAmount),
paymentAmount (in adjustedPaymentDates),
paymentAmount (in fixedPayment),
paymentAmount (in initialPayment),
paymentAmount (in paymentDetail),
paymentAmount (in paymentDetail),
paymentRequirement,
payout,
prePaymentAmount,
premiumPerUnit,
presentValueAmount (defined in Payment complexType),
presentValueAmount (in paymentCalculationPeriod),
presentValueAmount (in premium defined in OptionBaseExtended complexType),
presentValuePrincipalExchangeAmount,
pricePerOption (defined in EquityPremium complexType),
pricePerOption (in premium defined in OptionBaseExtended complexType),
principal (in termDeposit),
principalAmount (in principalExchangeAmount in principalExchangeDescriptions),
priorAmount,
projectedAmount,
putCurrencyAmount,
quotationAmount,
referenceAmount (defined in AccrualPeriod complexType),
remaining,
remainingAmount,
settlementAmount (defined in SettlementAmountOrCurrency.model group),
settlementAmount (in fxFlexibleForward),
settlementAmount (in nearLeg in repo),
splitSettlementAmount,
spread (defined in FloatingLegCalculation complexType),
spreadStep,
strikePricePerUnit,
strikePricePerUnitStep,
stubAmount,
totalCommitmentAmount,
totalPrice (in fixedLeg in commodityForward),
totalPrice (in fixedLeg),
unavailableToUtilizeAmount,
underlyerNotional,
unfundedUtilizedAmount (defined in Utilization.model group),
unfundedUtilizedAmount (defined in Utilization.model group),
unitPrice,
value (in collateralValueAllocation),
varianceAmount,
vegaNotional,
weatherNotionalAmount (in commodityOption),
weatherNotionalAmount (in weatherLeg)
Annotation
The currency in which an amount is denominated.
XML Source (w/o annotations (1); see within schema source)
<xsd:element name="currency" type="Currency"/>

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.