element <businessCenters> (local)
Namespace:
Type:
Content:
complex, 1 attribute, 1 element
Defined:
Content Model Diagram
XML Representation Summary
<businessCenters
   
 = 
xsd:ID
   
>
   
Content: 
</businessCenters>
Content model elements (1):
businessCenter (defined in BusinessCenters complexType)
Included in content model of elements (54):
businessDateRange,
calculationPeriodDatesAdjustments (defined in PeriodicDates complexType),
calculationPeriodDatesAdjustments (in calculationPeriodDates),
cashSettlementValuationDate,
dateAdjustments (defined in AdjustableDate.model group),
dateAdjustments (defined in AdjustableDate2 complexType),
dateAdjustments (defined in AdjustableDates complexType),
dateAdjustments (defined in DividendPeriod complexType),
dateAdjustments (defined in FxAdjustedDateAndDateAdjustments complexType),
dateAdjustments (defined in FxSchedule complexType),
dateAdjustments (defined in ParametricSchedule.model group),
dateAdjustments (in fixingSchedule defined in FxAccrual complexType),
dateAdjustments (in fixingSchedule defined in FxAveragingProcess complexType),
dateAdjustments (in generalTerms),
environmentalPhysicalLeg,
expirySchedule (defined in FxExpiryDateOrSchedule.model group),
expirySchedule (in fxTargetKnockoutForward),
feePaymentDate (defined in ExerciseFeeSchedule complexType),
feePaymentDate (in exerciseFee),
fixingDateOffset,
fixingDates (in resetDates),
fixingSchedule (defined in FxAccrual complexType),
fixingSchedule (defined in FxAveragingProcess complexType),
fixingSchedule (defined in FxPerformanceSwap complexType),
fxFixingDate,
initialFixingDate (in interestLegResetDates),
initialFixingDate (in resetDates),
noticePeriod (in partyNoticePeriod),
noticePeriod (in repo),
paymentDate (in fixedPayment),
paymentDates (in weatherLeg),
paymentDatesAdjustments,
relativeCommencementDates,
relativeDate (defined in AdjustableDatesOrRelativeDateOffset complexType),
relativeDate (defined in AdjustableOrRelativeDate complexType),
relativeDate (defined in Composite complexType),
relativeDate (in cashSettlementPaymentDate),
relativeDateAdjustments,
relativeDateSequence (defined in AdjustableRelativeOrPeriodicDates complexType),
relativeDateSequence (in valuationDate defined in EquityValuation complexType),
relativeDates (defined in AdjustableOrRelativeDates complexType),
relativeDates (defined in AdjustableRelativeOrPeriodicDates2 complexType),
relativeEffectiveDate,
relativeExpirationDates (in americanExercise defined in CommodityPhysicalExercise complexType),
relativeExpirationDates (in europeanExercise defined in CommodityPhysicalExercise complexType),
relativePaymentDates,
relativeTerminationDate,
resetDatesAdjustments,
settlementDateOffset,
settlementSchedule (defined in FxSettlementDateOrSchedule.model group),
settlementSchedule (in fxTargetKnockoutForward),
valuationDateOffset,
varyingNotionalFixingDates,
varyingNotionalInterimExchangePaymentDates
XML Source (see within schema source)
<xsd:element name="businessCenters" type="BusinessCenters"/>

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.