Document built: Wed 10/19/2005 10:38:14.36
A copy of this license is available at http://www.fpml.org/documents/license
The FpML specifications provided are without warranty of any kind, either expressed or implied, including, without limitation, warranties that FpML, or the FpML specifications are free of defects, merchantable, fit for a particular purpose or non-infringing. The entire risk as to the quality and performance of the specifications is with you. Should any of the FpML specifications prove defective in any respect, you assume the cost of any necessary servicing or repair. Under no circumstances and under no legal theory, whether tort (including negligence), contract, or otherwise, shall ISDA, any of its members, or any distributor of documents or software containing any of the FpML specifications, or any supplier of any of such parties, be liable to you or any other person for any indirect, special, incidental, or consequential damages of any character including, without limitation, damages for loss of goodwill, work stoppage, computer failure or malfunction, or any and all other commercial damages or losses, even if such party shall have been informed of the possibility of such damages.
1 Index of All Components
1.1 Index of All Components - Global Elements
1.2 Index of All Components - Local Elements
1.3 Index of All Components - Complex Types
2 Base Financial Types
2.1 Base Financial Types - Global Elements
2.2 Base Financial Types - Local Elements
2.3 Base Financial Types - Complex Types
3 Dates and Times
3.1 Dates and Times - Global Elements
3.2 Dates and Times - Local Elements
3.3 Dates and Times - Complex Types
4 Entities and Reference Data
4.1 Entities and Reference Data - Global Elements
4.2 Entities and Reference Data - Local Elements
4.3 Entities and Reference Data - Complex Types
5 Documentation and Legal
5.1 Documentation and Legal - Global Elements
5.2 Documentation and Legal - Local Elements
5.3 Documentation and Legal - Complex Types
6 Settlement
6.1 Settlement - Global Elements
6.2 Settlement - Local Elements
6.3 Settlement - Complex Types
7 Valuation
7.1 Valuation - Global Elements
7.2 Valuation - Local Elements
7.3 Valuation - Complex Types
8 References
8.1 References - Global Elements
8.2 References - Local Elements
8.3 References - Complex Types
9 Option Structures
9.1 Option Structures - Global Elements
9.2 Option Structures - Local Elements
9.3 Option Structures - Complex Types
10 Basic Financial Structures
10.1 Basic Financial Structures - Global Elements
10.2 Basic Financial Structures - Local Elements
10.3 Basic Financial Structures - Complex Types
11 Products
11.1 Products - Global Elements
11.2 Products - Local Elements
11.3 Products - Complex Types
12 Interest Rates
12.1 Interest Rates - Global Elements
12.2 Interest Rates - Local Elements
12.3 Interest Rates - Complex Types
13 FX and Currency
13.1 FX and Currency - Global Elements
13.2 FX and Currency - Local Elements
13.3 FX and Currency - Complex Types
| Component | Contained In | File |
| americanExercise | fpml-shared-4-2.xsd | |
| bankruptcy | fpml-posttrade-4-2.xsd | |
| bermudaExercise | fpml-shared-4-2.xsd | |
| bond | fpml-asset-4-2.xsd | |
| brokerEquityOption | fpml-eqd-4-2.xsd | |
| bulletPayment | fpml-ird-4-2.xsd | |
| capFloor | fpml-ird-4-2.xsd | |
| cash | fpml-asset-4-2.xsd | |
| convertibleBond | fpml-asset-4-2.xsd | |
| creditCurve | fpml-mktenv-4-2.xsd | |
| creditCurveValuation | fpml-mktenv-4-2.xsd | |
| creditDefaultSwap | fpml-cd-4-2.xsd | |
| creditEvent | fpml-posttrade-4-2.xsd | |
| creditEventNotice | fpml-posttrade-4-2.xsd | |
| deposit | fpml-asset-4-2.xsd | |
| equity | fpml-asset-4-2.xsd | |
| equityForward | fpml-eqd-4-2.xsd | |
| equityLeg | fpml-return-swaps-4-2.xsd | |
| equityOption | fpml-eqd-4-2.xsd | |
| equityOptionTransactionSupplement | fpml-eqd-4-2.xsd | |
| equitySwap | fpml-return-swaps-4-2.xsd | |
| equitySwapTransactionSupplement | fpml-return-swaps-4-2.xsd | |
| europeanExercise | fpml-shared-4-2.xsd | |
| event | fpml-doc-4-2.xsd | |
| exchangeTradedFund | fpml-asset-4-2.xsd | |
| exercise | fpml-shared-4-2.xsd | |
| failureToPay | fpml-posttrade-4-2.xsd | |
| floatingRateCalculation | fpml-ird-4-2.xsd | |
| FpML | fpml-main-4-2.xsd | |
| fra | fpml-ird-4-2.xsd | |
| future | fpml-asset-4-2.xsd | |
| fxAverageRateOption | fpml-fx-4-2.xsd | |
| fxBarrierOption | fpml-fx-4-2.xsd | |
| fxCurve | fpml-mktenv-4-2.xsd | |
| fxCurveValuation | fpml-mktenv-4-2.xsd | |
| fxDigitalOption | fpml-fx-4-2.xsd | |
| fxRate | fpml-asset-4-2.xsd | |
| fxSimpleOption | fpml-fx-4-2.xsd | |
| fxSingleLeg | fpml-fx-4-2.xsd | |
| fxSwap | fpml-fx-4-2.xsd | |
| index | fpml-asset-4-2.xsd | |
| inflationRateCalculation | fpml-ird-4-2.xsd | |
| interestLeg | fpml-return-swaps-4-2.xsd | |
| market | fpml-mktenv-4-2.xsd | |
| mutualFund | fpml-asset-4-2.xsd | |
| obligationAcceleration | fpml-posttrade-4-2.xsd | |
| obligationDefault | fpml-posttrade-4-2.xsd | |
| portfolio | fpml-reporting-4-2.xsd | |
| pricingStructure | fpml-mktenv-4-2.xsd | |
| pricingStructureValuation | fpml-mktenv-4-2.xsd | |
| product | fpml-shared-4-2.xsd | |
| queryPortfolio | fpml-reporting-4-2.xsd | |
| quotableFxSingleLeg | fpml-pretrade-4-2.xsd | |
| quotableProduct | fpml-pretrade-4-2.xsd | |
| rateCalculation | fpml-ird-4-2.xsd | |
| rateIndex | fpml-asset-4-2.xsd | |
| repudiationMoratorium | fpml-posttrade-4-2.xsd | |
| restructuring | fpml-posttrade-4-2.xsd | |
| returnLeg | fpml-return-swaps-4-2.xsd | |
| returnSwap | fpml-return-swaps-4-2.xsd | |
| returnSwapLeg | fpml-return-swaps-4-2.xsd | |
| simpleCreditDefaultSwap | fpml-asset-4-2.xsd | |
| simpleFra | fpml-asset-4-2.xsd | |
| simpleIrSwap | fpml-asset-4-2.xsd | |
| strategy | fpml-doc-4-2.xsd | |
| swap | fpml-ird-4-2.xsd | |
| swaption | fpml-ird-4-2.xsd | |
| termDeposit | fpml-fx-4-2.xsd | |
| underlyingAsset | fpml-asset-4-2.xsd | |
| valuationSet | fpml-valuation-4-2.xsd | |
| varianceLeg | fpml-return-swaps-4-2.xsd | |
| volatilityMatrixValuation | fpml-mktenv-4-2.xsd | |
| volatilityRepresentation | fpml-mktenv-4-2.xsd | |
| yieldCurve | fpml-mktenv-4-2.xsd | |
| yieldCurveValuation | fpml-mktenv-4-2.xsd |
| Component | Contained In | File |
| acceleratedOrMatured | DeliverableObligations | fpml-cd-4-2.xsd |
| account | Party | fpml-doc-4-2.xsd |
| account | PartyRole | fpml-doc-4-2.xsd |
| accountant | TradeSide | fpml-doc-4-2.xsd |
| accountBeneficiary | Account | fpml-doc-4-2.xsd |
| accountId | Account | fpml-doc-4-2.xsd |
| accountName | Account | fpml-doc-4-2.xsd |
| accountReference | Allocation | fpml-doc-4-2.xsd |
| accruedInterest | CashSettlementTerms | fpml-cd-4-2.xsd |
| accruedInterest | DeliverableObligations | fpml-cd-4-2.xsd |
| accruedInterest | PendingPayment | fpml-asset-4-2.xsd |
| accruedInterestPrice | Price | fpml-asset-4-2.xsd |
| activityProvider | ReportingRoles | fpml-valuation-4-2.xsd |
| additionalAcknowledgements | Representations | fpml-eq-shared-4-2.xsd |
| additionalData | MessageRejected | fpml-msg-4-2.xsd |
| additionalData | Reason | fpml-msg-4-2.xsd |
| additionalDisruptionEvents | ExtraordinaryEvents | fpml-eq-shared-4-2.xsd |
| additionalDividends | ReturnSwapAmount | fpml-return-swaps-4-2.xsd |
| additionalPayment | CapFloor | fpml-ird-4-2.xsd |
| additionalPayment | ReturnSwap | fpml-return-swaps-4-2.xsd |
| additionalPayment | Swap | fpml-ird-4-2.xsd |
| additionalPaymentAmount | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| additionalPaymentDate | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| additionalTerm | GeneralTerms | fpml-cd-4-2.xsd |
| additionalTerms | Swap | fpml-ird-4-2.xsd |
| adjustableDate | AdjustableOrRelativeDate | fpml-shared-4-2.xsd |
| adjustableDate | DividendPaymentDate | fpml-shared-4-2.xsd |
| adjustableDate | EquityValuationDate | fpml-eq-shared-4-2.xsd |
| adjustableDate | ScheduledTerminationDate | fpml-cd-4-2.xsd |
| adjustableDate | StartingDate | fpml-return-swaps-4-2.xsd |
| adjustableDates | AdjustableOrRelativeDates | fpml-shared-4-2.xsd |
| adjustableDates | AdjustableRelativeOrPeriodicDates | fpml-shared-4-2.xsd |
| adjustableDates | CashSettlementPaymentDate | fpml-ird-4-2.xsd |
| adjustablePaymentDate | InitialPayment | fpml-cd-4-2.xsd |
| adjustablePaymentDate | PaymentDetail | fpml-doc-4-2.xsd |
| adjustablePaymentDate | SinglePayment | fpml-cd-4-2.xsd |
| adjustedCashSettlementPaymentDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustedDate | ScheduledDate | fpml-valuation-4-2.xsd |
| adjustedDate | ScheduledDate | fpml-valuation-4-2.xsd |
| adjustedEarlyTerminationDate | CancellationEvent | fpml-ird-4-2.xsd |
| adjustedEarlyTerminationDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedEarlyTerminationDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustedEffectiveDate | Fra | fpml-ird-4-2.xsd |
| adjustedEndDate | CalculationPeriod | fpml-ird-4-2.xsd |
| adjustedExerciseDate | CancellationEvent | fpml-ird-4-2.xsd |
| adjustedExerciseDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedExerciseDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedExerciseDate | ExtensionEvent | fpml-ird-4-2.xsd |
| adjustedExerciseFeePaymentDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedExerciseFeePaymentDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedExtendedTerminationDate | ExtensionEvent | fpml-ird-4-2.xsd |
| adjustedFixingDate | RateObservation | fpml-shared-4-2.xsd |
| adjustedFxSpotFixingDate | FxLinkedNotionalAmount | fpml-ird-4-2.xsd |
| adjustedPaymentDate | AdjustedPaymentDates | fpml-cd-4-2.xsd |
| adjustedPaymentDate | InitialPayment | fpml-cd-4-2.xsd |
| adjustedPaymentDate | Payment | fpml-shared-4-2.xsd |
| adjustedPaymentDate | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| adjustedPaymentDate | PaymentDetail | fpml-doc-4-2.xsd |
| adjustedPaymentDate | SinglePayment | fpml-cd-4-2.xsd |
| adjustedPaymentDates | PeriodicPayment | fpml-cd-4-2.xsd |
| adjustedPrincipalExchangeDate | PrincipalExchange | fpml-ird-4-2.xsd |
| adjustedRelevantSwapEffectiveDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedStartDate | CalculationPeriod | fpml-ird-4-2.xsd |
| adjustedTerminationDate | Fra | fpml-ird-4-2.xsd |
| adjustment | VolatilityMatrix | fpml-mktenv-4-2.xsd |
| adjustmentValue | ParametricAdjustmentPoint | fpml-mktenv-4-2.xsd |
| affectedTransactions | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| agreementsRegardingHedging | Representations | fpml-eq-shared-4-2.xsd |
| algorithm | YieldCurve | fpml-mktenv-4-2.xsd |
| allGuarantees | ReferenceInformation | fpml-cd-4-2.xsd |
| allocatedFraction | Allocation | fpml-doc-4-2.xsd |
| allocatedNotional | Allocation | fpml-doc-4-2.xsd |
| allocation | Allocations | fpml-doc-4-2.xsd |
| allocations | RequestAllocation | fpml-posttrade-4-2.xsd |
| allocations | Trade | fpml-doc-4-2.xsd |
| allocationTradeId | Allocation | fpml-doc-4-2.xsd |
| allocationTradeId | BlockTradeIdentifier | fpml-doc-4-2.xsd |
| amendedTrade | TradeAmendment | fpml-posttrade-4-2.xsd |
| amendment | AllocationAmended | fpml-posttrade-4-2.xsd |
| amendment | AmendmentConfirmed | fpml-posttrade-4-2.xsd |
| amendment | RequestAmendmentConfirmation | fpml-posttrade-4-2.xsd |
| amendment | TradeAmendmentRequest | fpml-posttrade-4-2.xsd |
| amendment | TradeAmendmentResponse | fpml-posttrade-4-2.xsd |
| amendmentEffectiveDate | Amendment | fpml-posttrade-4-2.xsd |
| amendmentTradeDate | Amendment | fpml-posttrade-4-2.xsd |
| amount | ActualPrice | fpml-asset-4-2.xsd |
| amount | FeaturePayment | fpml-eq-shared-4-2.xsd |
| amount | Money | fpml-shared-4-2.xsd |
| amount | PendingPayment | fpml-asset-4-2.xsd |
| amount | ReturnLeg | fpml-return-swaps-4-2.xsd |
| amountRelativeTo | FxConversion | fpml-asset-4-2.xsd |
| amountRelativeTo | Price | fpml-asset-4-2.xsd |
| amountRelativeTo | PrincipalExchangeAmount | fpml-return-swaps-4-2.xsd |
| amountRelativeTo | ReturnSwapNotional | fpml-return-swaps-4-2.xsd |
| approval | Approvals | fpml-doc-4-2.xsd |
| approvals | Allocation | fpml-doc-4-2.xsd |
| approver | Approval | fpml-doc-4-2.xsd |
| asian | OptionFeatures | fpml-eq-shared-4-2.xsd |
| ask | TermPoint | fpml-mktenv-4-2.xsd |
| asOfDate | PositionReport | fpml-reporting-4-2.xsd |
| asset | VolatilityRepresentation | fpml-mktenv-4-2.xsd |
| assetQuote | QuotedAssetSet | fpml-mktenv-4-2.xsd |
| assetReference | ForwardRateCurve | fpml-mktenv-4-2.xsd |
| assetReference | PricingMethod | fpml-mktenv-4-2.xsd |
| assetReference | ScheduledDate | fpml-valuation-4-2.xsd |
| assetValuation | ValuationSet | fpml-valuation-4-2.xsd |
| assignableLoan | DeliverableObligations | fpml-cd-4-2.xsd |
| associatedValue | ScheduledDate | fpml-valuation-4-2.xsd |
| associatedValueReference | ScheduledDate | fpml-valuation-4-2.xsd |
| automaticExercise | EquityExercise | fpml-eqd-4-2.xsd |
| automaticExercise | ExerciseProcedure | fpml-shared-4-2.xsd |
| averaged | DerivativeCalculationProcedure | fpml-riskdef-4-2.xsd |
| averageRateObservationDate | FxAverageRateOption | fpml-fx-4-2.xsd |
| averageRateObservationSchedule | FxAverageRateOption | fpml-fx-4-2.xsd |
| averageRateQuoteBasis | FxAverageRateOption | fpml-fx-4-2.xsd |
| averageRateWeightingFactor | FxAverageRateObservationDate | fpml-fx-4-2.xsd |
| averagingDateTimes | EquityAveragingPeriod | fpml-eq-shared-4-2.xsd |
| averagingInOut | Asian | fpml-eq-shared-4-2.xsd |
| averagingMethod | FloatingRateCalculation | fpml-shared-4-2.xsd |
| averagingPeriodIn | Asian | fpml-eq-shared-4-2.xsd |
| averagingPeriodOut | Asian | fpml-eq-shared-4-2.xsd |
| bankruptcy | CreditEvents | fpml-cd-4-2.xsd |
| barrier | OptionFeatures | fpml-eq-shared-4-2.xsd |
| barrierCap | Barrier | fpml-eq-shared-4-2.xsd |
| barrierFloor | Barrier | fpml-eq-shared-4-2.xsd |
| baseCurrency | SideRates | fpml-fx-4-2.xsd |
| baseDate | PricingStructureValuation | fpml-mktenv-4-2.xsd |
| baseParty | ReportingRoles | fpml-valuation-4-2.xsd |
| baseParty | ValuationSet | fpml-valuation-4-2.xsd |
| basePath | TradeDifference | fpml-tradeexec-4-2.xsd |
| baseValuationScenario | DerivedValuationScenario | fpml-valuation-4-2.xsd |
| baseValue | TradeDifference | fpml-tradeexec-4-2.xsd |
| baseYieldCurve | DefaultProbabilityCurve | fpml-mktenv-4-2.xsd |
| basket | Underlyer | fpml-asset-4-2.xsd |
| basketAmount | ConstituentWeight | fpml-asset-4-2.xsd |
| basketConstituent | Basket | fpml-asset-4-2.xsd |
| basketDivisor | Basket | fpml-asset-4-2.xsd |
| basketPercentage | ConstituentWeight | fpml-asset-4-2.xsd |
| benchmarkPricingMethod | Market | fpml-mktenv-4-2.xsd |
| benchmarkQuotes | Market | fpml-mktenv-4-2.xsd |
| beneficiary | SettlementInstruction | fpml-shared-4-2.xsd |
| beneficiary | SplitSettlement | fpml-shared-4-2.xsd |
| beneficiary | TradeSide | fpml-doc-4-2.xsd |
| beneficiaryBank | SettlementInstruction | fpml-shared-4-2.xsd |
| beneficiaryBank | SplitSettlement | fpml-shared-4-2.xsd |
| bermudaExerciseDates | BermudaExercise | fpml-shared-4-2.xsd |
| bermudaExerciseDates | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| bestFitTrade | TradeMismatched | fpml-tradeexec-4-2.xsd |
| bestFitTradeId | TradeAlleged | fpml-tradeexec-4-2.xsd |
| bestFitTradeId | TradeUnmatched | fpml-tradeexec-4-2.xsd |
| bid | TermPoint | fpml-mktenv-4-2.xsd |
| blockTradeId | AllocationTradeIdentifier | fpml-doc-4-2.xsd |
| blockTradeId | BlockTradeIdentifier | fpml-doc-4-2.xsd |
| blockTradeIdentifier | RequestAllocation | fpml-posttrade-4-2.xsd |
| bondReference | SwapAdditionalTerms | fpml-ird-4-2.xsd |
| brokerageFee | BrokerEquityOption | fpml-eqd-4-2.xsd |
| brokerConfirmation | Documentation | fpml-shared-4-2.xsd |
| brokerConfirmationType | BrokerConfirmation | fpml-shared-4-2.xsd |
| brokerNotes | BrokerEquityOption | fpml-eqd-4-2.xsd |
| brokerPartyReference | Trade | fpml-doc-4-2.xsd |
| buildDateTime | PricingStructureValuation | fpml-mktenv-4-2.xsd |
| businessCenter | BasicQuotation | fpml-valuation-base-4-2.xsd |
| businessCenter | BusinessCenters | fpml-shared-4-2.xsd |
| businessCenter | BusinessCenterTime | fpml-shared-4-2.xsd |
| businessCenter | CreditEventNotice | fpml-cd-4-2.xsd |
| businessCenter | ExerciseNotice | fpml-shared-4-2.xsd |
| businessCenter | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| businessCenter | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| businessCenter | Quotation | fpml-valuation-4-2.xsd |
| businessCenter | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| businessCenters | BusinessDateRange | fpml-shared-4-2.xsd |
| businessCenters | BusinessDayAdjustments | fpml-shared-4-2.xsd |
| businessCenters | FxFixingDate | fpml-ird-4-2.xsd |
| businessCenters | RelativeDateOffset | fpml-shared-4-2.xsd |
| businessCenters | RelativeDateSequence | fpml-shared-4-2.xsd |
| businessCentersReference | BusinessDateRange | fpml-shared-4-2.xsd |
| businessCentersReference | BusinessDayAdjustments | fpml-shared-4-2.xsd |
| businessCentersReference | FxFixingDate | fpml-ird-4-2.xsd |
| businessCentersReference | RelativeDateOffset | fpml-shared-4-2.xsd |
| businessCentersReference | RelativeDateSequence | fpml-shared-4-2.xsd |
| businessDateRange | CashSettlementPaymentDate | fpml-ird-4-2.xsd |
| businessDayConvention | BusinessDateRange | fpml-shared-4-2.xsd |
| businessDayConvention | BusinessDayAdjustments | fpml-shared-4-2.xsd |
| businessDayConvention | DateOffset | fpml-shared-4-2.xsd |
| businessDayConvention | FxFixingDate | fpml-ird-4-2.xsd |
| businessDayConvention | RelativeDateOffset | fpml-shared-4-2.xsd |
| businessDays | PhysicalSettlementPeriod | fpml-cd-4-2.xsd |
| businessDays | SingleValuationDate | fpml-cd-4-2.xsd |
| businessDaysNotSpecified | PhysicalSettlementPeriod | fpml-cd-4-2.xsd |
| businessDaysThereafter | MultipleValuationDates | fpml-cd-4-2.xsd |
| buyer | Strike | fpml-shared-4-2.xsd |
| buyer | StrikeSchedule | fpml-shared-4-2.xsd |
| buyerPartyReference | CancelableProvision | fpml-ird-4-2.xsd |
| buyerPartyReference | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| buyerPartyReference | ExtendibleProvision | fpml-ird-4-2.xsd |
| buyerPartyReference | Fra | fpml-ird-4-2.xsd |
| buyerPartyReference | FxAverageRateOption | fpml-fx-4-2.xsd |
| buyerPartyReference | FxDigitalOption | fpml-fx-4-2.xsd |
| buyerPartyReference | FxOptionLeg | fpml-fx-4-2.xsd |
| buyerPartyReference | GeneralTerms | fpml-cd-4-2.xsd |
| buyerPartyReference | NotifyingParty | fpml-cd-4-2.xsd |
| buyerPartyReference | ReturnSwapBase | fpml-return-swaps-4-2.xsd |
| buyerPartyReference | SinglePartyOption | fpml-ird-4-2.xsd |
| buyerPartyReference | Swaption | fpml-ird-4-2.xsd |
| calculatedRate | FloatingRateDefinition | fpml-ird-4-2.xsd |
| calculater | TradeSide | fpml-doc-4-2.xsd |
| calculation | CalculationPeriodAmount | fpml-ird-4-2.xsd |
| calculationAgent | MandatoryEarlyTermination | fpml-ird-4-2.xsd |
| calculationAgent | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| calculationAgent | Swaption | fpml-ird-4-2.xsd |
| calculationAgent | Trade | fpml-doc-4-2.xsd |
| calculationAgentBusinessCenter | Trade | fpml-doc-4-2.xsd |
| calculationAgentParty | CalculationAgent | fpml-shared-4-2.xsd |
| calculationAgentPartyReference | CalculationAgent | fpml-shared-4-2.xsd |
| calculationAmount | FixedAmountCalculation | fpml-cd-4-2.xsd |
| calculationAmount | ProtectionTerms | fpml-cd-4-2.xsd |
| calculationDates | LegAmount | fpml-return-swaps-4-2.xsd |
| calculationEndDate | PeriodicDates | fpml-shared-4-2.xsd |
| calculationPeriod | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| calculationPeriodAmount | InterestRateStream | fpml-ird-4-2.xsd |
| calculationPeriodDates | InterestRateStream | fpml-ird-4-2.xsd |
| calculationPeriodDatesAdjustments | CalculationPeriodDates | fpml-ird-4-2.xsd |
| calculationPeriodDatesAdjustments | PeriodicDates | fpml-shared-4-2.xsd |
| calculationPeriodDatesReference | InterestLegResetDates | fpml-return-swaps-4-2.xsd |
| calculationPeriodDatesReference | NotionalStepRule | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | PaymentDates | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | ResetDates | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | StubCalculationPeriodAmount | fpml-ird-4-2.xsd |
| calculationPeriodFrequency | CalculationPeriodDates | fpml-ird-4-2.xsd |
| calculationPeriodFrequency | FxAverageRateObservationSchedule | fpml-fx-4-2.xsd |
| calculationPeriodFrequency | PeriodicDates | fpml-shared-4-2.xsd |
| calculationPeriodNumberOfDays | CalculationPeriod | fpml-ird-4-2.xsd |
| calculationPeriodNumberOfDays | Fra | fpml-ird-4-2.xsd |
| calculationProcedure | PricingParameterDerivative | fpml-riskdef-4-2.xsd |
| calculationProcedure | SensitivitySetDefinition | fpml-riskdef-4-2.xsd |
| calculationStartDate | PeriodicDates | fpml-shared-4-2.xsd |
| calendarSpread | StrategyFeature | fpml-eqd-4-2.xsd |
| callCurrencyAmount | FxAverageRateOption | fpml-fx-4-2.xsd |
| callCurrencyAmount | FxOptionLeg | fpml-fx-4-2.xsd |
| cancelableProvision | Swap | fpml-ird-4-2.xsd |
| cancelableProvisionAdjustedDates | CancelableProvision | fpml-ird-4-2.xsd |
| cancellationEvent | CancelableProvisionAdjustedDates | fpml-ird-4-2.xsd |
| capFloorStream | CapFloor | fpml-ird-4-2.xsd |
| capRate | FloatingRateDefinition | fpml-ird-4-2.xsd |
| capRateSchedule | FloatingRate | fpml-shared-4-2.xsd |
| cashflows | InterestRateStream | fpml-ird-4-2.xsd |
| cashflowsMatchParameters | Cashflows | fpml-ird-4-2.xsd |
| cashFlowType | BasicQuotation | fpml-valuation-base-4-2.xsd |
| cashFlowType | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| cashFlowType | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| cashFlowType | Quotation | fpml-valuation-4-2.xsd |
| cashFlowType | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| cashPriceAlternateMethod | CashSettlement | fpml-ird-4-2.xsd |
| cashPriceMethod | CashSettlement | fpml-ird-4-2.xsd |
| cashSettlement | MandatoryEarlyTermination | fpml-ird-4-2.xsd |
| cashSettlement | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| cashSettlement | ReturnSwapAmount | fpml-return-swaps-4-2.xsd |
| cashSettlement | Swaption | fpml-ird-4-2.xsd |
| cashSettlementAmount | CashSettlementTerms | fpml-cd-4-2.xsd |
| cashSettlementBusinessDays | CashSettlementTerms | fpml-cd-4-2.xsd |
| cashSettlementCurrency | CashPriceMethod | fpml-ird-4-2.xsd |
| cashSettlementPaymentDate | CashSettlement | fpml-ird-4-2.xsd |
| cashSettlementPaymentDate | VarianceAmount | fpml-return-swaps-4-2.xsd |
| cashSettlementReferenceBanks | CashPriceMethod | fpml-ird-4-2.xsd |
| cashSettlementReferenceBanks | SettlementRateSource | fpml-ird-4-2.xsd |
| cashSettlementTerms | CreditDefaultSwap | fpml-cd-4-2.xsd |
| cashSettlementTerms | FxOptionLeg | fpml-fx-4-2.xsd |
| cashSettlementValuationDate | CashSettlement | fpml-ird-4-2.xsd |
| cashSettlementValuationTime | CashSettlement | fpml-ird-4-2.xsd |
| category | DeliverableObligations | fpml-cd-4-2.xsd |
| category | Obligations | fpml-cd-4-2.xsd |
| changeInLaw | AdditionalDisruptionEvents | fpml-eq-shared-4-2.xsd |
| city | Address | fpml-shared-4-2.xsd |
| cleanNetPrice | Price | fpml-asset-4-2.xsd |
| clearanceSystem | Equity | fpml-eq-shared-4-2.xsd |
| clearanceSystem | UnderlyingAsset | fpml-asset-4-2.xsd |
| closingLevel | Variance | fpml-return-swaps-4-2.xsd |
| coefficient | FormulaTerm | fpml-riskdef-4-2.xsd |
| collateral | Allocation | fpml-doc-4-2.xsd |
| collateral | Trade | fpml-doc-4-2.xsd |
| commencementDate | AmericanExercise | fpml-shared-4-2.xsd |
| commencementDate | SharedAmericanExercise | fpml-shared-4-2.xsd |
| comments | Resource | fpml-posttrade-4-2.xsd |
| commission | Price | fpml-asset-4-2.xsd |
| commissionAmount | Commission | fpml-asset-4-2.xsd |
| commissionDenomination | Commission | fpml-asset-4-2.xsd |
| commissionPerTrade | Commission | fpml-asset-4-2.xsd |
| componentDescription | FormulaComponent | fpml-return-swaps-4-2.xsd |
| composite | FxFeature | fpml-eq-shared-4-2.xsd |
| compositionOfCombinedConsideration | ExtraordinaryEvents | fpml-eq-shared-4-2.xsd |
| compoundingFrequency | ZeroRateCurve | fpml-mktenv-4-2.xsd |
| compoundingMethod | Calculation | fpml-ird-4-2.xsd |
| compoundingMethod | InterestAccrualsCompoundingMethod | fpml-shared-4-2.xsd |
| conditionPrecedentBond | BondReference | fpml-ird-4-2.xsd |
| confirmationSenderPartyReference | FxLeg | fpml-fx-4-2.xsd |
| confirmer | TradeSide | fpml-doc-4-2.xsd |
| consentRequiredLoan | DeliverableObligations | fpml-cd-4-2.xsd |
| constantNotionalScheduleReference | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| constituent | Position | fpml-valuation-4-2.xsd |
| constituentWeight | BasketConstituent | fpml-asset-4-2.xsd |
| constituentWeight | ReferencePoolItem | fpml-cd-4-2.xsd |
| contractReference | ExchangeTradedContract | fpml-asset-4-2.xsd |
| contractualDefinitions | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | Documentation | fpml-shared-4-2.xsd |
| contractualDefinitions | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | Novation | fpml-posttrade-4-2.xsd |
| contractualDefinitions | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualMatrix | Documentation | fpml-shared-4-2.xsd |
| contractualSupplement | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | Documentation | fpml-shared-4-2.xsd |
| contractualSupplement | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | Novation | fpml-posttrade-4-2.xsd |
| contractualSupplement | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| conversationId | MessageHeader | fpml-msg-4-2.xsd |
| conversationId | NotificationMessageHeader | fpml-msg-4-2.xsd |
| conversationId | RequestMessageHeader | fpml-msg-4-2.xsd |
| conversationId | ResponseMessageHeader | fpml-msg-4-2.xsd |
| coordinate | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| coordinate | SensitivityDefinition | fpml-riskdef-4-2.xsd |
| coordinateReference | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| coordinateReference | SensitivityDefinition | fpml-riskdef-4-2.xsd |
| copyTo | MessageHeader | fpml-msg-4-2.xsd |
| copyTo | NotificationMessageHeader | fpml-msg-4-2.xsd |
| copyTo | RequestMessageHeader | fpml-msg-4-2.xsd |
| copyTo | ResponseMessageHeader | fpml-msg-4-2.xsd |
| correspondentInformation | SettlementInstruction | fpml-shared-4-2.xsd |
| country | Address | fpml-shared-4-2.xsd |
| couponPayment | BasketConstituent | fpml-asset-4-2.xsd |
| couponPayment | SingleUnderlyer | fpml-asset-4-2.xsd |
| couponRate | Bond | fpml-asset-4-2.xsd |
| couponType | Bond | fpml-asset-4-2.xsd |
| creationTimestamp | MessageHeader | fpml-msg-4-2.xsd |
| creationTimestamp | NotificationMessageHeader | fpml-msg-4-2.xsd |
| creationTimestamp | RequestMessageHeader | fpml-msg-4-2.xsd |
| creationTimestamp | ResponseMessageHeader | fpml-msg-4-2.xsd |
| creditChargeAmount | Allocation | fpml-doc-4-2.xsd |
| creditDerivativesNotices | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| creditDerivativesNotices | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| creditDerivativesNotices | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| creditDerivativesNotices | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| creditDerivativesNotices | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| creditDerivativesNotices | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| creditDerivativesNotices | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| creditDerivativesNotices | Novation | fpml-posttrade-4-2.xsd |
| creditDerivativesNotices | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| creditDerivativesNotices | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| creditDerivativesNotices | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| creditEntityReference | CreditCurve | fpml-mktenv-4-2.xsd |
| creditEntityReference | SimpleCreditDefaultSwap | fpml-asset-4-2.xsd |
| creditEvent | CreditDerivativesNotices | fpml-posttrade-4-2.xsd |
| creditEventDate | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| creditEventNotice | CreditEventNotification | fpml-posttrade-4-2.xsd |
| creditEventNotice | CreditEvents | fpml-cd-4-2.xsd |
| creditEventNoticeDate | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| creditEvents | CreditCurve | fpml-mktenv-4-2.xsd |
| creditEvents | ProtectionTerms | fpml-cd-4-2.xsd |
| creditor | TradeSide | fpml-doc-4-2.xsd |
| creditSupportDocument | Documentation | fpml-shared-4-2.xsd |
| currency | ActualPrice | fpml-asset-4-2.xsd |
| currency | AmountSchedule | fpml-shared-4-2.xsd |
| currency | BasicQuotation | fpml-valuation-base-4-2.xsd |
| currency | Cash | fpml-asset-4-2.xsd |
| currency | Commission | fpml-asset-4-2.xsd |
| currency | CreditCurve | fpml-mktenv-4-2.xsd |
| currency | Equity | fpml-eq-shared-4-2.xsd |
| currency | EquityStrike | fpml-eqd-4-2.xsd |
| currency | FeaturePayment | fpml-eq-shared-4-2.xsd |
| currency | Money | fpml-shared-4-2.xsd |
| currency | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| currency | NotDomesticCurrency | fpml-cd-4-2.xsd |
| currency | PaymentCurrency | fpml-shared-4-2.xsd |
| currency | PricingStructure | fpml-mktenv-4-2.xsd |
| currency | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| currency | Quotation | fpml-valuation-4-2.xsd |
| currency | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| currency | SideRate | fpml-fx-4-2.xsd |
| currency | SpecifiedCurrency | fpml-cd-4-2.xsd |
| currency | UnderlyingAsset | fpml-asset-4-2.xsd |
| currency1 | QuotedCurrencyPair | fpml-shared-4-2.xsd |
| currency1SideRate | SideRates | fpml-fx-4-2.xsd |
| currency1ValueDate | FxLeg | fpml-fx-4-2.xsd |
| currency2 | QuotedCurrencyPair | fpml-shared-4-2.xsd |
| currency2SideRate | SideRates | fpml-fx-4-2.xsd |
| currency2ValueDate | FxLeg | fpml-fx-4-2.xsd |
| cutName | ExpiryDateTime | fpml-fx-4-2.xsd |
| datapoint | ParametricAdjustment | fpml-mktenv-4-2.xsd |
| dataPoints | VolatilityMatrix | fpml-mktenv-4-2.xsd |
| dataSetName | PositionReport | fpml-reporting-4-2.xsd |
| date | DateList | fpml-shared-4-2.xsd |
| date | TimeDimension | fpml-mktenv-4-2.xsd |
| dateAdjustments | AdjustableDate | fpml-shared-4-2.xsd |
| dateAdjustments | AdjustableDate2 | fpml-shared-4-2.xsd |
| dateAdjustments | AdjustableDates | fpml-shared-4-2.xsd |
| dateAdjustments | GeneralTerms | fpml-cd-4-2.xsd |
| dateAdjustmentsReference | AdjustableDate2 | fpml-shared-4-2.xsd |
| dateOffset | RelativeDateSequence | fpml-shared-4-2.xsd |
| dateRelativeTo | RelativeDateOffset | fpml-shared-4-2.xsd |
| dateRelativeTo | RelativeDateSequence | fpml-shared-4-2.xsd |
| dateRelativeTo | StartingDate | fpml-return-swaps-4-2.xsd |
| dateRelativeToPaymentDates | FxFixingDate | fpml-ird-4-2.xsd |
| dateTime | DateTimeList | fpml-shared-4-2.xsd |
| dayCountFraction | Bond | fpml-asset-4-2.xsd |
| dayCountFraction | Calculation | fpml-ird-4-2.xsd |
| dayCountFraction | Deposit | fpml-asset-4-2.xsd |
| dayCountFraction | FixedAmountCalculation | fpml-cd-4-2.xsd |
| dayCountFraction | Fra | fpml-ird-4-2.xsd |
| dayCountFraction | InterestCalculation | fpml-return-swaps-4-2.xsd |
| dayCountFraction | RateIndex | fpml-asset-4-2.xsd |
| dayCountFraction | SimpleFra | fpml-asset-4-2.xsd |
| dayCountFraction | SimpleIRSwap | fpml-asset-4-2.xsd |
| dayCountFraction | TermDeposit | fpml-fx-4-2.xsd |
| dayCountYearFraction | CalculationPeriod | fpml-ird-4-2.xsd |
| dayOfWeek | EquitySchedule | fpml-eq-shared-4-2.xsd |
| dayType | Offset | fpml-shared-4-2.xsd |
| dealer | CashSettlementTerms | fpml-cd-4-2.xsd |
| decreaseInNotionalAmount | PartialTerminationAmount | fpml-posttrade-4-2.xsd |
| decreaseInNumberOfOptions | PartialTerminationAmount | fpml-posttrade-4-2.xsd |
| defaultProbabilities | DefaultProbabilityCurve | fpml-mktenv-4-2.xsd |
| defaultProbabilityCurve | CreditCurveValuation | fpml-mktenv-4-2.xsd |
| defaultRequirement | CreditEvents | fpml-cd-4-2.xsd |
| definition | TermPoint | fpml-mktenv-4-2.xsd |
| definition | UnderlyingAsset | fpml-asset-4-2.xsd |
| definitionReference | SensitivitySet | fpml-valuation-4-2.xsd |
| delisting | ExtraordinaryEvents | fpml-eq-shared-4-2.xsd |
| deliverableObligations | CreditCurve | fpml-mktenv-4-2.xsd |
| deliverableObligations | PhysicalSettlementTerms | fpml-cd-4-2.xsd |
| deltaCrossed | BrokerEquityOption | fpml-eqd-4-2.xsd |
| denominatorTerm | DerivativeFormula | fpml-riskdef-4-2.xsd |
| derivativeFormula | DerivativeCalculationProcedure | fpml-riskdef-4-2.xsd |
| description | Cash | fpml-asset-4-2.xsd |
| description | Equity | fpml-eq-shared-4-2.xsd |
| description | PricingParameterDerivative | fpml-riskdef-4-2.xsd |
| description | Reason | fpml-msg-4-2.xsd |
| description | UnderlyingAsset | fpml-asset-4-2.xsd |
| detail | ValuationSet | fpml-valuation-4-2.xsd |
| determinationMethod | Composite | fpml-eq-shared-4-2.xsd |
| determinationMethod | PaymentCurrency | fpml-shared-4-2.xsd |
| determinationMethod | Price | fpml-asset-4-2.xsd |
| determinationMethod | PrincipalExchangeAmount | fpml-return-swaps-4-2.xsd |
| determinationMethod | ReturnSwapNotional | fpml-return-swaps-4-2.xsd |
| determiningPartyReference | AdditionalDisruptionEvents | fpml-eq-shared-4-2.xsd |
| differences | BestFitTrade | fpml-tradeexec-4-2.xsd |
| differences | TradeMatched | fpml-tradeexec-4-2.xsd |
| differenceSeverity | TradeDifference | fpml-tradeexec-4-2.xsd |
| differenceType | TradeDifference | fpml-tradeexec-4-2.xsd |
| directLoanParticipation | DeliverableObligations | fpml-cd-4-2.xsd |
| discountFactor | Payment | fpml-shared-4-2.xsd |
| discountFactor | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| discountFactor | PrincipalExchange | fpml-ird-4-2.xsd |
| discountFactorCurve | YieldCurveValuation | fpml-mktenv-4-2.xsd |
| discounting | Calculation | fpml-ird-4-2.xsd |
| discountingType | Discounting | fpml-ird-4-2.xsd |
| discountRate | Discounting | fpml-ird-4-2.xsd |
| discountRateDayCountFraction | Discounting | fpml-ird-4-2.xsd |
| discrepancyClause | BondReference | fpml-ird-4-2.xsd |
| dividendAmount | DividendConditions | fpml-shared-4-2.xsd |
| dividendConditions | EquityDerivativeLongFormBase | fpml-eqd-4-2.xsd |
| dividendConditions | Return | fpml-return-swaps-4-2.xsd |
| dividendDateReference | DividendPaymentDate | fpml-shared-4-2.xsd |
| dividendEntitlement | DividendConditions | fpml-shared-4-2.xsd |
| dividendFxTriggerDate | DividendConditions | fpml-shared-4-2.xsd |
| dividendPayment | DividendPayout | fpml-asset-4-2.xsd |
| dividendPaymentDate | DividendConditions | fpml-shared-4-2.xsd |
| dividendPayout | BasketConstituent | fpml-asset-4-2.xsd |
| dividendPayout | SingleUnderlyer | fpml-asset-4-2.xsd |
| dividendPayoutConditions | DividendPayout | fpml-asset-4-2.xsd |
| dividendPayoutRatio | DividendPayout | fpml-asset-4-2.xsd |
| dividendPeriod | DividendConditions | fpml-shared-4-2.xsd |
| dividendPeriodEffectiveDate | DividendConditions | fpml-shared-4-2.xsd |
| dividendPeriodEndDate | DividendConditions | fpml-shared-4-2.xsd |
| dividendReinvestment | DividendConditions | fpml-shared-4-2.xsd |
| documentation | Trade | fpml-doc-4-2.xsd |
| earliestExerciseDateTenor | ExercisePeriod | fpml-ird-4-2.xsd |
| earliestExerciseTime | AmericanExercise | fpml-shared-4-2.xsd |
| earliestExerciseTime | BermudaExercise | fpml-shared-4-2.xsd |
| earliestExerciseTime | EuropeanExercise | fpml-shared-4-2.xsd |
| earlyTermination | ReturnSwap | fpml-return-swaps-4-2.xsd |
| earlyTerminationEvent | OptionalEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| earlyTerminationProvision | Swap | fpml-ird-4-2.xsd |
| effectiveDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| effectiveDate | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| effectiveDate | GeneralTerms | fpml-cd-4-2.xsd |
| effectiveDate | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| effectiveDate | ReturnLeg | fpml-return-swaps-4-2.xsd |
| element | TradeDifference | fpml-tradeexec-4-2.xsd |
| encodedDescription | LegAmount | fpml-return-swaps-4-2.xsd |
| endDate | EquitySchedule | fpml-eq-shared-4-2.xsd |
| endDate | PricingStructureValuation | fpml-mktenv-4-2.xsd |
| endTerm | SimpleFra | fpml-asset-4-2.xsd |
| entityId | LegalEntity | fpml-shared-4-2.xsd |
| entityId | LegalEntity | fpml-shared-4-2.xsd |
| entityName | LegalEntity | fpml-shared-4-2.xsd |
| entityType | ReferencePair | fpml-cd-4-2.xsd |
| equityAmericanExercise | EquityExercise | fpml-eqd-4-2.xsd |
| equityAmount | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| equityAmount | VarianceLeg | fpml-return-swaps-4-2.xsd |
| equityBermudaExercise | EquityExercise | fpml-eqd-4-2.xsd |
| equityEffectiveDate | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| equityEuropeanExercise | EquityExercise | fpml-eqd-4-2.xsd |
| equityExercise | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| equityExpirationTime | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| equityExpirationTime | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| equityExpirationTime | EquityEuropeanExercise | fpml-eqd-4-2.xsd |
| equityExpirationTimeType | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| equityExpirationTimeType | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| equityExpirationTimeType | EquityEuropeanExercise | fpml-eqd-4-2.xsd |
| equityFeatures | EquityDerivativeLongFormBase | fpml-eqd-4-2.xsd |
| equityMultipleExercise | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| equityMultipleExercise | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| equityNotionalReset | DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd |
| equityPaymentDateFinal | DeprecatedEquityPaymentDates | fpml-return-swaps-4-2.xsd |
| equityPaymentDates | DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd |
| equityPaymentDatesInterim | DeprecatedEquityPaymentDates | fpml-return-swaps-4-2.xsd |
| equityPremium | EquityDerivativeShortFormBase | fpml-eqd-4-2.xsd |
| equityPremium | EquityOption | fpml-eqd-4-2.xsd |
| equityValuation | DeprecatedEquityLegValuationPrice | fpml-return-swaps-4-2.xsd |
| equityValuation | EquityExercise | fpml-eqd-4-2.xsd |
| equityValuation | VarianceLeg | fpml-return-swaps-4-2.xsd |
| escrow | PhysicalSettlementTerms | fpml-cd-4-2.xsd |
| eventId | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| eventId | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| eventId | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| eventId | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| eventId | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| eventId | Event | fpml-doc-4-2.xsd |
| eventId | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| eventId | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| eventId | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| eventId | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| eventId | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| excessDividendAmount | DividendConditions | fpml-shared-4-2.xsd |
| exchangedCurrency | QuotableFxLeg | fpml-pretrade-4-2.xsd |
| exchangedCurrency1 | FxLeg | fpml-fx-4-2.xsd |
| exchangedCurrency2 | FxLeg | fpml-fx-4-2.xsd |
| exchangeId | BasicQuotation | fpml-valuation-base-4-2.xsd |
| exchangeId | Equity | fpml-eq-shared-4-2.xsd |
| exchangeId | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| exchangeId | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| exchangeId | Quotation | fpml-valuation-4-2.xsd |
| exchangeId | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| exchangeId | UnderlyingAsset | fpml-asset-4-2.xsd |
| exchangeLookAlike | EquityOptionTransactionSupplement | fpml-eqd-4-2.xsd |
| exchangeRate | FxLeg | fpml-fx-4-2.xsd |
| exchangeRate | QuotableFxLeg | fpml-pretrade-4-2.xsd |
| exchangeTradedContractNearest | EquityOptionTransactionSupplement | fpml-eqd-4-2.xsd |
| exchangeTradedContractNearest | Variance | fpml-return-swaps-4-2.xsd |
| excluded | DeliverableObligations | fpml-cd-4-2.xsd |
| excluded | Obligations | fpml-cd-4-2.xsd |
| excludedReferenceEntity | IndexReferenceInformation | fpml-cd-4-2.xsd |
| executor | TradeSide | fpml-doc-4-2.xsd |
| exerciseEvent | SwaptionAdjustedDates | fpml-ird-4-2.xsd |
| exerciseFee | EuropeanExercise | fpml-shared-4-2.xsd |
| exerciseFeeSchedule | AmericanExercise | fpml-shared-4-2.xsd |
| exerciseFeeSchedule | BermudaExercise | fpml-shared-4-2.xsd |
| exerciseFrequency | ExercisePeriod | fpml-ird-4-2.xsd |
| exerciseNotice | CancelableProvision | fpml-ird-4-2.xsd |
| exerciseNotice | ExtendibleProvision | fpml-ird-4-2.xsd |
| exerciseNotice | ManualExercise | fpml-shared-4-2.xsd |
| exerciseNotice | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| exerciseNoticePartyReference | ExerciseNotice | fpml-shared-4-2.xsd |
| exerciseProcedure | Swaption | fpml-ird-4-2.xsd |
| exerciseStyle | FxAverageRateOption | fpml-fx-4-2.xsd |
| exerciseStyle | FxOptionLeg | fpml-fx-4-2.xsd |
| expectedN | Variance | fpml-return-swaps-4-2.xsd |
| expiration | PricingDataPointCoordinate | fpml-mktenv-4-2.xsd |
| expirationDate | AmericanExercise | fpml-shared-4-2.xsd |
| expirationDate | EquityEuropeanExercise | fpml-eqd-4-2.xsd |
| expirationDate | EuropeanExercise | fpml-shared-4-2.xsd |
| expirationDate | ExchangeTradedContract | fpml-asset-4-2.xsd |
| expirationDate | SharedAmericanExercise | fpml-shared-4-2.xsd |
| expirationDateTwo | CalendarSpread | fpml-eqd-4-2.xsd |
| expirationTime | AmericanExercise | fpml-shared-4-2.xsd |
| expirationTime | BermudaExercise | fpml-shared-4-2.xsd |
| expirationTime | EuropeanExercise | fpml-shared-4-2.xsd |
| expiryDate | ExpiryDateTime | fpml-fx-4-2.xsd |
| expiryDateTime | FxAverageRateOption | fpml-fx-4-2.xsd |
| expiryDateTime | FxDigitalOption | fpml-fx-4-2.xsd |
| expiryDateTime | FxOptionLeg | fpml-fx-4-2.xsd |
| expiryTime | BasicQuotation | fpml-valuation-base-4-2.xsd |
| expiryTime | ExpiryDateTime | fpml-fx-4-2.xsd |
| expiryTime | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| expiryTime | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| expiryTime | Quotation | fpml-valuation-4-2.xsd |
| expiryTime | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| expiryTimestamp | MessageHeader | fpml-msg-4-2.xsd |
| expiryTimestamp | NotificationMessageHeader | fpml-msg-4-2.xsd |
| expiryTimestamp | RequestMessageHeader | fpml-msg-4-2.xsd |
| expiryTimestamp | ResponseMessageHeader | fpml-msg-4-2.xsd |
| extendibleProvision | Swap | fpml-ird-4-2.xsd |
| extendibleProvisionAdjustedDates | ExtendibleProvision | fpml-ird-4-2.xsd |
| extensionEvent | ExtendibleProvisionAdjustedDates | fpml-ird-4-2.xsd |
| extraElement | TradeDifference | fpml-tradeexec-4-2.xsd |
| extraOrdinaryDividends | DividendConditions | fpml-shared-4-2.xsd |
| extraordinaryEvents | EquityDerivativeLongFormBase | fpml-eqd-4-2.xsd |
| extraordinaryEvents | ReturnSwap | fpml-return-swaps-4-2.xsd |
| extrapolationPermitted | TermCurve | fpml-mktenv-4-2.xsd |
| faceAmount | Bond | fpml-asset-4-2.xsd |
| faceOnCurrency | QuotedAs | fpml-fx-4-2.xsd |
| failureToDeliver | AdditionalDisruptionEvents | fpml-eq-shared-4-2.xsd |
| failureToDeliver | ExtraordinaryEvents | fpml-eq-shared-4-2.xsd |
| failureToPay | CreditEvents | fpml-cd-4-2.xsd |
| fallbackExercise | ManualExercise | fpml-shared-4-2.xsd |
| featurePayment | TriggerEvent | fpml-eq-shared-4-2.xsd |
| featurePaymentDate | FeaturePayment | fpml-eq-shared-4-2.xsd |
| feeAmount | ExerciseFee | fpml-shared-4-2.xsd |
| feeAmountSchedule | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| feeLeg | CreditDefaultSwap | fpml-cd-4-2.xsd |
| feePaymentDate | ExerciseFee | fpml-shared-4-2.xsd |
| feePaymentDate | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| feeRate | ExerciseFee | fpml-shared-4-2.xsd |
| feeRateSchedule | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| finalExchange | PrincipalExchanges | fpml-shared-4-2.xsd |
| finalRateRounding | FloatingRateCalculation | fpml-shared-4-2.xsd |
| finalStub | StubCalculationPeriod | fpml-return-swaps-4-2.xsd |
| finalStub | StubCalculationPeriod | fpml-return-swaps-4-2.xsd |
| finalStub | StubCalculationPeriodAmount | fpml-ird-4-2.xsd |
| firstNotionalStepDate | NotionalStepRule | fpml-ird-4-2.xsd |
| firstPaymentDate | PaymentDates | fpml-ird-4-2.xsd |
| firstPaymentDate | PeriodicPayment | fpml-cd-4-2.xsd |
| firstPeriodStartDate | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| firstPeriodStartDate | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | Novation | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | PeriodicPayment | fpml-cd-4-2.xsd |
| firstPeriodStartDate | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstRegularPeriodStartDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| fixedAmount | PeriodicPayment | fpml-cd-4-2.xsd |
| fixedAmount | SinglePayment | fpml-cd-4-2.xsd |
| fixedAmountCalculation | PeriodicPayment | fpml-cd-4-2.xsd |
| fixedPaymentAmount | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| fixedRate | CalculationPeriod | fpml-ird-4-2.xsd |
| fixedRate | FixedAmountCalculation | fpml-cd-4-2.xsd |
| fixedRate | Fra | fpml-ird-4-2.xsd |
| fixedRate | InterestAccrualsMethod | fpml-shared-4-2.xsd |
| fixedRate | TermDeposit | fpml-fx-4-2.xsd |
| fixedRateSchedule | Calculation | fpml-ird-4-2.xsd |
| fixing | FxCashSettlement | fpml-shared-4-2.xsd |
| fixingDate | FxFixing | fpml-shared-4-2.xsd |
| fixingDateOffset | Fra | fpml-ird-4-2.xsd |
| fixingDates | ResetDates | fpml-ird-4-2.xsd |
| fixingTime | FxAverageRateOption | fpml-fx-4-2.xsd |
| fixingTime | FxSpotRateSource | fpml-shared-4-2.xsd |
| floatingRate | Stub | fpml-ird-4-2.xsd |
| floatingRateCalculation | InterestAccrualsMethod | fpml-shared-4-2.xsd |
| floatingRateDefinition | CalculationPeriod | fpml-ird-4-2.xsd |
| floatingRateIndex | FloatingRate | fpml-shared-4-2.xsd |
| floatingRateIndex | ForecastRateIndex | fpml-shared-4-2.xsd |
| floatingRateIndex | Fra | fpml-ird-4-2.xsd |
| floatingRateIndex | RateIndex | fpml-asset-4-2.xsd |
| floatingRateMultiplier | FloatingRateDefinition | fpml-ird-4-2.xsd |
| floatingRateMultiplierSchedule | FloatingRate | fpml-shared-4-2.xsd |
| floorRate | FloatingRateDefinition | fpml-ird-4-2.xsd |
| floorRateSchedule | FloatingRate | fpml-shared-4-2.xsd |
| followUpConfirmation | CancelableProvision | fpml-ird-4-2.xsd |
| followUpConfirmation | ExerciseProcedure | fpml-shared-4-2.xsd |
| followUpConfirmation | ExtendibleProvision | fpml-ird-4-2.xsd |
| followUpConfirmation | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| forecastAmount | CalculationPeriod | fpml-ird-4-2.xsd |
| forecastCurrencyYieldCurve | FxCurveValuation | fpml-mktenv-4-2.xsd |
| forecastPaymentAmount | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| forecastRate | CalculationPeriod | fpml-ird-4-2.xsd |
| forecastRate | RateObservation | fpml-shared-4-2.xsd |
| forecastRateIndex | YieldCurve | fpml-mktenv-4-2.xsd |
| formula | AdditionalPaymentAmount | fpml-return-swaps-4-2.xsd |
| formula | FormulaComponent | fpml-return-swaps-4-2.xsd |
| formula | InterestRateStream | fpml-ird-4-2.xsd |
| formula | LegAmount | fpml-return-swaps-4-2.xsd |
| formula | SensitivityDefinition | fpml-riskdef-4-2.xsd |
| formulaComponent | Formula | fpml-return-swaps-4-2.xsd |
| formulaDescription | Formula | fpml-return-swaps-4-2.xsd |
| forwardCurve | YieldCurveValuation | fpml-mktenv-4-2.xsd |
| forwardPoints | ExchangeRate | fpml-fx-4-2.xsd |
| forwardPoints | SideRate | fpml-fx-4-2.xsd |
| forwardPrice | EquityForward | fpml-eqd-4-2.xsd |
| fraDiscounting | Fra | fpml-ird-4-2.xsd |
| frequency | EquitySchedule | fpml-eq-shared-4-2.xsd |
| frequencyType | EquitySchedule | fpml-eq-shared-4-2.xsd |
| full | Termination | fpml-posttrade-4-2.xsd |
| fullFaithAndCreditObLiability | DeliverableObligations | fpml-cd-4-2.xsd |
| fullFaithAndCreditObLiability | Obligations | fpml-cd-4-2.xsd |
| fullFirstCalculationPeriod | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | Novation | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| fundManager | ExchangeTradedFund | fpml-asset-4-2.xsd |
| fundManager | MutualFund | fpml-asset-4-2.xsd |
| futureContractReference | Future | fpml-asset-4-2.xsd |
| futureId | Index | fpml-asset-4-2.xsd |
| futuresPriceValuation | EquityValuation | fpml-eq-shared-4-2.xsd |
| fxAmericanTrigger | FxDigitalOption | fpml-fx-4-2.xsd |
| fxBarrier | FxBarrierOption | fpml-fx-4-2.xsd |
| fxBarrierType | FxBarrier | fpml-fx-4-2.xsd |
| fxConversion | Price | fpml-asset-4-2.xsd |
| fxEuropeanTrigger | FxDigitalOption | fpml-fx-4-2.xsd |
| fxFeature | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| fxFeature | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| fxFeature | ReturnLeg | fpml-return-swaps-4-2.xsd |
| fxFixingDate | NonDeliverableSettlement | fpml-ird-4-2.xsd |
| fxForwardCurve | FxCurveValuation | fpml-mktenv-4-2.xsd |
| fxForwardPointsCurve | FxCurveValuation | fpml-mktenv-4-2.xsd |
| fxLinkedNotionalAmount | CalculationPeriod | fpml-ird-4-2.xsd |
| fxLinkedNotionalSchedule | Calculation | fpml-ird-4-2.xsd |
| fxOptionPremium | FxAverageRateOption | fpml-fx-4-2.xsd |
| fxOptionPremium | FxDigitalOption | fpml-fx-4-2.xsd |
| fxOptionPremium | FxOptionLeg | fpml-fx-4-2.xsd |
| fxRate | AssetValuation | fpml-valuation-4-2.xsd |
| fxRate | Commission | fpml-asset-4-2.xsd |
| fxRate | FxConversion | fpml-asset-4-2.xsd |
| fxRate | Quanto | fpml-eq-shared-4-2.xsd |
| fxSpotRateSource | Composite | fpml-eq-shared-4-2.xsd |
| fxSpotRateSource | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| fxSpotRateSource | Quanto | fpml-eq-shared-4-2.xsd |
| fxStrikePrice | FxAverageRateOption | fpml-fx-4-2.xsd |
| fxStrikePrice | FxOptionLeg | fpml-fx-4-2.xsd |
| generalFundObligationLiability | DeliverableObligations | fpml-cd-4-2.xsd |
| generalFundObligationLiability | Obligations | fpml-cd-4-2.xsd |
| generalTerms | CreditDefaultSwap | fpml-cd-4-2.xsd |
| generic | PricingDataPointCoordinate | fpml-mktenv-4-2.xsd |
| governingLaw | Trade | fpml-doc-4-2.xsd |
| gracePeriod | GracePeriodExtension | fpml-cd-4-2.xsd |
| gracePeriodExtension | FailureToPay | fpml-cd-4-2.xsd |
| grossPrice | Price | fpml-asset-4-2.xsd |
| guarantor | ReferenceObligation | fpml-cd-4-2.xsd |
| guarantorReference | ReferenceObligation | fpml-cd-4-2.xsd |
| header | Message | fpml-msg-4-2.xsd |
| header | NotificationMessage | fpml-msg-4-2.xsd |
| header | RequestMessage | fpml-msg-4-2.xsd |
| header | ResponseMessage | fpml-msg-4-2.xsd |
| hedgingDisruption | AdditionalDisruptionEvents | fpml-eq-shared-4-2.xsd |
| hourMinuteTime | BusinessCenterTime | fpml-shared-4-2.xsd |
| increase | IncreaseConfirmed | fpml-posttrade-4-2.xsd |
| increase | RequestIncreaseConfirmation | fpml-posttrade-4-2.xsd |
| increase | TradeIncreaseRequest | fpml-posttrade-4-2.xsd |
| increase | TradeIncreaseResponse | fpml-posttrade-4-2.xsd |
| increasedCostOfHedging | AdditionalDisruptionEvents | fpml-eq-shared-4-2.xsd |
| increasedCostOfStockBorrow | AdditionalDisruptionEvents | fpml-eq-shared-4-2.xsd |
| increaseEffectiveDate | Increase | fpml-posttrade-4-2.xsd |
| increaseInNotionalAmount | Increase | fpml-posttrade-4-2.xsd |
| increaseInNumberOfOptions | Increase | fpml-posttrade-4-2.xsd |
| increaseTradeDate | Increase | fpml-posttrade-4-2.xsd |
| independentAmount | Collateral | fpml-doc-4-2.xsd |
| indexAdjustmentEvents | ExtraordinaryEvents | fpml-eq-shared-4-2.xsd |
| indexAnnexDate | IndexReferenceInformation | fpml-cd-4-2.xsd |
| indexAnnexSource | IndexReferenceInformation | fpml-cd-4-2.xsd |
| indexAnnexVersion | IndexReferenceInformation | fpml-cd-4-2.xsd |
| indexCancellation | IndexAdjustmentEvents | fpml-eq-shared-4-2.xsd |
| indexDisclaimer | Representations | fpml-eq-shared-4-2.xsd |
| indexDisruption | IndexAdjustmentEvents | fpml-eq-shared-4-2.xsd |
| indexId | IndexReferenceInformation | fpml-cd-4-2.xsd |
| indexId | IndexReferenceInformation | fpml-cd-4-2.xsd |
| indexModification | IndexAdjustmentEvents | fpml-eq-shared-4-2.xsd |
| indexName | IndexReferenceInformation | fpml-cd-4-2.xsd |
| indexReferenceInformation | GeneralTerms | fpml-cd-4-2.xsd |
| indexSeries | IndexReferenceInformation | fpml-cd-4-2.xsd |
| indexSource | InflationRateCalculation | fpml-ird-4-2.xsd |
| indexTenor | FloatingRate | fpml-shared-4-2.xsd |
| indexTenor | ForecastRateIndex | fpml-shared-4-2.xsd |
| indexTenor | Fra | fpml-ird-4-2.xsd |
| indirectLoanParticipation | DeliverableObligations | fpml-cd-4-2.xsd |
| inflationLag | InflationRateCalculation | fpml-ird-4-2.xsd |
| informationSource | FxAmericanTrigger | fpml-fx-4-2.xsd |
| informationSource | FxBarrier | fpml-fx-4-2.xsd |
| informationSource | FxEuropeanTrigger | fpml-fx-4-2.xsd |
| informationSource | SettlementRateSource | fpml-ird-4-2.xsd |
| initialExchange | PrincipalExchanges | fpml-shared-4-2.xsd |
| initialFixingDate | ResetDates | fpml-ird-4-2.xsd |
| initialIndexLevel | InflationRateCalculation | fpml-ird-4-2.xsd |
| initialLevel | Variance | fpml-return-swaps-4-2.xsd |
| initialPayerReference | TermDeposit | fpml-fx-4-2.xsd |
| initialPayment | FeeLeg | fpml-cd-4-2.xsd |
| initialPrice | DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd |
| initialPrice | ReturnLegValuation | fpml-return-swaps-4-2.xsd |
| initialRate | FloatingRateCalculation | fpml-shared-4-2.xsd |
| initialReceiverReference | TermDeposit | fpml-fx-4-2.xsd |
| initialStub | StubCalculationPeriod | fpml-return-swaps-4-2.xsd |
| initialStub | StubCalculationPeriodAmount | fpml-ird-4-2.xsd |
| initialValue | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| initialValue | Schedule | fpml-shared-4-2.xsd |
| inputDataDate | PricingStructureValuation | fpml-mktenv-4-2.xsd |
| inputDateReference | PricingParameterDerivative | fpml-riskdef-4-2.xsd |
| inputs | CreditCurveValuation | fpml-mktenv-4-2.xsd |
| inputs | YieldCurveValuation | fpml-mktenv-4-2.xsd |
| inputUnits | ParametricAdjustment | fpml-mktenv-4-2.xsd |
| inReplyTo | MessageHeader | fpml-msg-4-2.xsd |
| inReplyTo | NotificationMessageHeader | fpml-msg-4-2.xsd |
| inReplyTo | ResponseMessageHeader | fpml-msg-4-2.xsd |
| insolvencyFiling | AdditionalDisruptionEvents | fpml-eq-shared-4-2.xsd |
| instrumentId | Cash | fpml-asset-4-2.xsd |
| instrumentId | Equity | fpml-eq-shared-4-2.xsd |
| instrumentId | UnderlyingAsset | fpml-asset-4-2.xsd |
| instrumentSet | QuotedAssetSet | fpml-mktenv-4-2.xsd |
| integralMultipleAmount | PartialExercise | fpml-shared-4-2.xsd |
| integralMultipleExercise | EquityMultipleExercise | fpml-eqd-4-2.xsd |
| interest | TermDeposit | fpml-fx-4-2.xsd |
| interestAccrualsMethod | DividendConditions | fpml-shared-4-2.xsd |
| interestAmount | InterestLeg | fpml-return-swaps-4-2.xsd |
| interestCalculation | InterestLeg | fpml-return-swaps-4-2.xsd |
| interestLegCalculationPeriodDates | InterestLeg | fpml-return-swaps-4-2.xsd |
| interestLegPaymentDates | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| interestLegResetDates | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| intermediaryInformation | SettlementInstruction | fpml-shared-4-2.xsd |
| intermediarySequenceNumber | IntermediaryInformation | fpml-shared-4-2.xsd |
| intermediateExchange | PrincipalExchanges | fpml-shared-4-2.xsd |
| interpolationMethod | InflationRateCalculation | fpml-ird-4-2.xsd |
| interpolationMethod | TermCurve | fpml-mktenv-4-2.xsd |
| introducer | TradeSide | fpml-doc-4-2.xsd |
| issuerName | Bond | fpml-asset-4-2.xsd |
| knock | OptionFeatures | fpml-eq-shared-4-2.xsd |
| knockIn | Knock | fpml-eq-shared-4-2.xsd |
| knockOut | Knock | fpml-eq-shared-4-2.xsd |
| knownAmountSchedule | CalculationPeriodAmount | fpml-ird-4-2.xsd |
| language | Resource | fpml-posttrade-4-2.xsd |
| lastNotionalStepDate | NotionalStepRule | fpml-ird-4-2.xsd |
| lastRegularPaymentDate | PaymentDates | fpml-ird-4-2.xsd |
| lastRegularPaymentDate | PeriodicPayment | fpml-cd-4-2.xsd |
| lastRegularPeriodEndDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| latestExerciseTime | AmericanExercise | fpml-shared-4-2.xsd |
| latestExerciseTime | BermudaExercise | fpml-shared-4-2.xsd |
| latestExerciseTime | SharedAmericanExercise | fpml-shared-4-2.xsd |
| latestExerciseTimeType | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| latestExerciseTimeType | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| length | Resource | fpml-posttrade-4-2.xsd |
| lengthUnit | ResourceLength | fpml-posttrade-4-2.xsd |
| lengthValue | ResourceLength | fpml-posttrade-4-2.xsd |
| level | Trigger | fpml-eq-shared-4-2.xsd |
| levelPercentage | FeaturePayment | fpml-eq-shared-4-2.xsd |
| levelPercentage | Trigger | fpml-eq-shared-4-2.xsd |
| linkId | PartyTradeIdentifier | fpml-doc-4-2.xsd |
| listed | DeliverableObligations | fpml-cd-4-2.xsd |
| listed | Obligations | fpml-cd-4-2.xsd |
| location | Reason | fpml-msg-4-2.xsd |
| lossOfStockBorrow | AdditionalDisruptionEvents | fpml-eq-shared-4-2.xsd |
| mainPublication | InflationRateCalculation | fpml-ird-4-2.xsd |
| makeWholeDate | MakeWholeProvisions | fpml-eq-shared-4-2.xsd |
| makeWholeProvisions | EquityOption | fpml-eqd-4-2.xsd |
| mandatoryEarlyTermination | EarlyTerminationProvision | fpml-ird-4-2.xsd |
| mandatoryEarlyTermination | EarlyTerminationProvision | fpml-ird-4-2.xsd |
| mandatoryEarlyTerminationAdjustedDates | MandatoryEarlyTermination | fpml-ird-4-2.xsd |
| mandatoryEarlyTerminationDate | MandatoryEarlyTermination | fpml-ird-4-2.xsd |
| mandatoryEarlyTerminationDateTenor | EarlyTerminationProvision | fpml-ird-4-2.xsd |
| manualExercise | ExerciseProcedure | fpml-shared-4-2.xsd |
| marketDisruption | EquityAveragingPeriod | fpml-eq-shared-4-2.xsd |
| marketFixedRate | FeeLeg | fpml-cd-4-2.xsd |
| marketReference | DerivedValuationScenario | fpml-valuation-4-2.xsd |
| marketReference | ValuationScenario | fpml-valuation-4-2.xsd |
| masterAgreement | Documentation | fpml-shared-4-2.xsd |
| masterAgreementDate | MasterAgreement | fpml-shared-4-2.xsd |
| masterAgreementType | MasterAgreement | fpml-shared-4-2.xsd |
| masterConfirmation | Documentation | fpml-shared-4-2.xsd |
| masterConfirmationAnnexDate | MasterConfirmation | fpml-shared-4-2.xsd |
| masterConfirmationDate | Allocation | fpml-doc-4-2.xsd |
| masterConfirmationDate | MasterConfirmation | fpml-shared-4-2.xsd |
| masterConfirmationType | MasterConfirmation | fpml-shared-4-2.xsd |
| math | Formula | fpml-return-swaps-4-2.xsd |
| matrixTerm | ContractualMatrix | fpml-shared-4-2.xsd |
| matrixType | ContractualMatrix | fpml-shared-4-2.xsd |
| maturity | Bond | fpml-asset-4-2.xsd |
| maturity | Future | fpml-asset-4-2.xsd |
| maturityDate | TermDeposit | fpml-fx-4-2.xsd |
| maximumBusinessDays | PhysicalSettlementPeriod | fpml-cd-4-2.xsd |
| maximumMaturity | DeliverableObligations | fpml-cd-4-2.xsd |
| maximumNotionalAmount | MultipleExercise | fpml-shared-4-2.xsd |
| maximumNumberOfOptions | EquityMultipleExercise | fpml-eqd-4-2.xsd |
| measureType | BasicQuotation | fpml-valuation-base-4-2.xsd |
| measureType | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| measureType | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| measureType | Quotation | fpml-valuation-4-2.xsd |
| measureType | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| mergerEvents | ExtraordinaryEvents | fpml-eq-shared-4-2.xsd |
| message | TradeDifference | fpml-tradeexec-4-2.xsd |
| messageId | MessageHeader | fpml-msg-4-2.xsd |
| messageId | NotificationMessageHeader | fpml-msg-4-2.xsd |
| messageId | RequestMessageHeader | fpml-msg-4-2.xsd |
| messageId | ResponseMessageHeader | fpml-msg-4-2.xsd |
| method | DerivativeCalculationProcedure | fpml-riskdef-4-2.xsd |
| methodOfAdjustment | EquityDerivativeLongFormBase | fpml-eqd-4-2.xsd |
| methodOfAdjustment | EquityOptionTransactionSupplement | fpml-eqd-4-2.xsd |
| mid | TermPoint | fpml-mktenv-4-2.xsd |
| mimeType | Resource | fpml-posttrade-4-2.xsd |
| minimumNotionalAmount | PartialExercise | fpml-shared-4-2.xsd |
| minimumNumberOfOptions | EquityMultipleExercise | fpml-eqd-4-2.xsd |
| minimumQuotationAmount | CashSettlementTerms | fpml-cd-4-2.xsd |
| missingElement | TradeDifference | fpml-tradeexec-4-2.xsd |
| multipleCreditEventNotices | Restructuring | fpml-cd-4-2.xsd |
| multipleExchangeIndexAnnexFallback | EquityOptionTransactionSupplement | fpml-eqd-4-2.xsd |
| multipleExercise | AmericanExercise | fpml-shared-4-2.xsd |
| multipleExercise | BermudaExercise | fpml-shared-4-2.xsd |
| multipleHolderObligation | Restructuring | fpml-cd-4-2.xsd |
| multipleValuationDates | ValuationDate | fpml-cd-4-2.xsd |
| multiplier | ExchangeTradedContract | fpml-asset-4-2.xsd |
| multiplier | Future | fpml-asset-4-2.xsd |
| mutualEarlyTermination | EquitySwapTransactionSupplement | fpml-return-swaps-4-2.xsd |
| name | DerivedValuationScenario | fpml-valuation-4-2.xsd |
| name | Market | fpml-mktenv-4-2.xsd |
| name | ParametricAdjustment | fpml-mktenv-4-2.xsd |
| name | PricingStructure | fpml-mktenv-4-2.xsd |
| name | Resource | fpml-posttrade-4-2.xsd |
| name | SensitivityDefinition | fpml-riskdef-4-2.xsd |
| name | SensitivitySet | fpml-valuation-4-2.xsd |
| name | SensitivitySetDefinition | fpml-riskdef-4-2.xsd |
| name | ValuationScenario | fpml-valuation-4-2.xsd |
| name | ValuationSet | fpml-valuation-4-2.xsd |
| nationalisationOrInsolvency | ExtraordinaryEvents | fpml-eq-shared-4-2.xsd |
| negativeInterestRateTreatment | FloatingRateCalculation | fpml-shared-4-2.xsd |
| netPrice | Price | fpml-asset-4-2.xsd |
| newTransaction | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | Novation | fpml-posttrade-4-2.xsd |
| newTransaction | Novation | fpml-posttrade-4-2.xsd |
| newTransaction | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransaction | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | Novation | fpml-posttrade-4-2.xsd |
| newTransactionReference | Novation | fpml-posttrade-4-2.xsd |
| newTransactionReference | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| nonDeliverableForward | FxLeg | fpml-fx-4-2.xsd |
| nonDeliverableForward | QuotableFxLeg | fpml-pretrade-4-2.xsd |
| nonDeliverableSettlement | SettlementProvision | fpml-ird-4-2.xsd |
| nonReliance | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| nonReliance | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| nonReliance | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| nonReliance | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| nonReliance | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| nonReliance | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| nonReliance | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| nonReliance | Novation | fpml-posttrade-4-2.xsd |
| nonReliance | Representations | fpml-eq-shared-4-2.xsd |
| nonReliance | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| nonReliance | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| nonReliance | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| noReferenceObligation | ReferenceInformation | fpml-cd-4-2.xsd |
| noReferenceObligation | ReferencePair | fpml-cd-4-2.xsd |
| notBearer | DeliverableObligations | fpml-cd-4-2.xsd |
| notContingent | DeliverableObligations | fpml-cd-4-2.xsd |
| notContingent | Obligations | fpml-cd-4-2.xsd |
| notDomesticCurrency | DeliverableObligations | fpml-cd-4-2.xsd |
| notDomesticCurrency | Obligations | fpml-cd-4-2.xsd |
| notDomesticIssuance | DeliverableObligations | fpml-cd-4-2.xsd |
| notDomesticIssuance | Obligations | fpml-cd-4-2.xsd |
| notDomesticLaw | DeliverableObligations | fpml-cd-4-2.xsd |
| notDomesticLaw | Obligations | fpml-cd-4-2.xsd |
| notifiedPartyReference | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| notifyingParty | CreditEventNotice | fpml-cd-4-2.xsd |
| notifyingPartyReference | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| notional | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| notional | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| notional | Fra | fpml-ird-4-2.xsd |
| notional | InterestLeg | fpml-return-swaps-4-2.xsd |
| notional | ReturnLeg | fpml-return-swaps-4-2.xsd |
| notionalAdjustments | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| notionalAdjustments | ReturnLeg | fpml-return-swaps-4-2.xsd |
| notionalAmount | CalculationPeriod | fpml-ird-4-2.xsd |
| notionalAmount | FxLinkedNotionalAmount | fpml-ird-4-2.xsd |
| notionalAmount | ReturnSwapNotional | fpml-return-swaps-4-2.xsd |
| notionalAmountReference | PercentageRule | fpml-doc-4-2.xsd |
| notionalReference | ExerciseFee | fpml-shared-4-2.xsd |
| notionalReference | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| notionalReference | PartialExercise | fpml-shared-4-2.xsd |
| notionalReset | ReturnLegValuation | fpml-return-swaps-4-2.xsd |
| notionalSchedule | Calculation | fpml-ird-4-2.xsd |
| notionalStepAmount | NotionalStepRule | fpml-ird-4-2.xsd |
| notionalStepParameters | Notional | fpml-ird-4-2.xsd |
| notionalStepRate | NotionalStepRule | fpml-ird-4-2.xsd |
| notionalStepSchedule | Notional | fpml-ird-4-2.xsd |
| notSovereignLender | DeliverableObligations | fpml-cd-4-2.xsd |
| notSovereignLender | Obligations | fpml-cd-4-2.xsd |
| notSubordinated | DeliverableObligations | fpml-cd-4-2.xsd |
| notSubordinated | Obligations | fpml-cd-4-2.xsd |
| novatedAmount | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | Novation | fpml-posttrade-4-2.xsd |
| novatedAmount | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | Novation | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| novation | NovateTrade | fpml-posttrade-4-2.xsd |
| novation | NovationAlleged | fpml-posttrade-4-2.xsd |
| novation | NovationConfirmed | fpml-posttrade-4-2.xsd |
| novation | NovationConsentGranted | fpml-posttrade-4-2.xsd |
| novation | NovationConsentRefused | fpml-posttrade-4-2.xsd |
| novation | NovationConsentRequest | fpml-posttrade-4-2.xsd |
| novation | NovationMatched | fpml-posttrade-4-2.xsd |
| novation | NovationStatusNotification | fpml-posttrade-4-2.xsd |
| novation | RequestNovationConfirmation | fpml-posttrade-4-2.xsd |
| novation | TradeNovated | fpml-posttrade-4-2.xsd |
| novationDate | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | Novation | fpml-posttrade-4-2.xsd |
| novationDate | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | Novation | fpml-posttrade-4-2.xsd |
| novationTradeDate | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| numberOfOptions | EquityDerivativeShortFormBase | fpml-eqd-4-2.xsd |
| numberOfOptions | EquityOption | fpml-eqd-4-2.xsd |
| numberValuationDates | MultipleValuationDates | fpml-cd-4-2.xsd |
| objectReference | Valuation | fpml-valuation-base-4-2.xsd |
| obligationAcceleration | CreditEvents | fpml-cd-4-2.xsd |
| obligationDefault | CreditEvents | fpml-cd-4-2.xsd |
| obligations | CreditCurve | fpml-mktenv-4-2.xsd |
| obligations | ProtectionTerms | fpml-cd-4-2.xsd |
| observationDate | FxAverageRateObservationDate | fpml-fx-4-2.xsd |
| observationDate | ObservedRates | fpml-fx-4-2.xsd |
| observationEndDate | FxAmericanTrigger | fpml-fx-4-2.xsd |
| observationEndDate | FxAverageRateObservationSchedule | fpml-fx-4-2.xsd |
| observationEndDate | FxBarrier | fpml-fx-4-2.xsd |
| observationStartDate | FxAmericanTrigger | fpml-fx-4-2.xsd |
| observationStartDate | FxAverageRateObservationSchedule | fpml-fx-4-2.xsd |
| observationStartDate | FxBarrier | fpml-fx-4-2.xsd |
| observationStartDate | VarianceAmount | fpml-return-swaps-4-2.xsd |
| observationWeight | RateObservation | fpml-shared-4-2.xsd |
| observedFxSpotRate | FxLinkedNotionalAmount | fpml-ird-4-2.xsd |
| observedRate | ObservedRates | fpml-fx-4-2.xsd |
| observedRate | RateObservation | fpml-shared-4-2.xsd |
| observedRates | FxAverageRateOption | fpml-fx-4-2.xsd |
| oldTransaction | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransaction | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransaction | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransaction | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransaction | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransaction | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransaction | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransaction | Novation | fpml-posttrade-4-2.xsd |
| oldTransaction | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransaction | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransaction | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | Novation | fpml-posttrade-4-2.xsd |
| oldTransactionReference | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| openEndedFund | MutualFund | fpml-asset-4-2.xsd |
| openUnits | Basket | fpml-asset-4-2.xsd |
| openUnits | ConstituentWeight | fpml-asset-4-2.xsd |
| openUnits | SingleUnderlyer | fpml-asset-4-2.xsd |
| optionalEarlyTermination | EarlyTerminationProvision | fpml-ird-4-2.xsd |
| optionalEarlyTermination | EarlyTerminationProvision | fpml-ird-4-2.xsd |
| optionalEarlyTerminationAdjustedDates | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| optionalEarlyTerminationParameters | EarlyTerminationProvision | fpml-ird-4-2.xsd |
| optionEntitlement | EquityOption | fpml-eqd-4-2.xsd |
| optionOnCurrency | QuotedAs | fpml-fx-4-2.xsd |
| optionsExchangeDividends | ReturnSwapAmount | fpml-return-swaps-4-2.xsd |
| optionsExchangeId | EquityAsset | fpml-asset-4-2.xsd |
| optionsExchangeId | ExchangeTradedContract | fpml-asset-4-2.xsd |
| optionsExchangeId | ExchangeTradedFund | fpml-asset-4-2.xsd |
| optionsExchangeId | Future | fpml-asset-4-2.xsd |
| optionsPriceValuation | EquityValuation | fpml-eq-shared-4-2.xsd |
| optionType | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| orderer | TradeSide | fpml-doc-4-2.xsd |
| originalInputReference | PricingInputReplacement | fpml-valuation-4-2.xsd |
| originalTrade | TradeAmendment | fpml-posttrade-4-2.xsd |
| originalTradeIdentifier | TradeAmendment | fpml-posttrade-4-2.xsd |
| otherPartyPayment | Trade | fpml-doc-4-2.xsd |
| otherPath | TradeDifference | fpml-tradeexec-4-2.xsd |
| otherRemainingParty | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | Novation | fpml-posttrade-4-2.xsd |
| otherRemainingParty | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| otherValue | TradeDifference | fpml-tradeexec-4-2.xsd |
| othReferenceEntityObligations | DeliverableObligations | fpml-cd-4-2.xsd |
| othReferenceEntityObligations | Obligations | fpml-cd-4-2.xsd |
| outstandingNotionalAmount | Increase | fpml-posttrade-4-2.xsd |
| outstandingNotionalAmount | PartialTerminationAmount | fpml-posttrade-4-2.xsd |
| outstandingNumberOfOptions | Increase | fpml-posttrade-4-2.xsd |
| outstandingNumberOfOptions | PartialTerminationAmount | fpml-posttrade-4-2.xsd |
| parameterReference | PricingParameterDerivative | fpml-riskdef-4-2.xsd |
| parameterReference | PricingParameterShift | fpml-riskdef-4-2.xsd |
| parameterValue | ParametricAdjustmentPoint | fpml-mktenv-4-2.xsd |
| partial | Termination | fpml-posttrade-4-2.xsd |
| partialCashSettlement | PCDeliverableObligationCharac | fpml-cd-4-2.xsd |
| partialDerivative | SensitivityDefinition | fpml-riskdef-4-2.xsd |
| partialDerivativeReference | FormulaTerm | fpml-riskdef-4-2.xsd |
| partialDerivativeReference | WeightedPartialDerivative | fpml-riskdef-4-2.xsd |
| partialExercise | EuropeanExercise | fpml-shared-4-2.xsd |
| partialExerciseAmount | RestructuringEvent | fpml-posttrade-4-2.xsd |
| party | AcceptQuote | fpml-pretrade-4-2.xsd |
| party | AllocationAmended | fpml-posttrade-4-2.xsd |
| party | AllocationCancelled | fpml-posttrade-4-2.xsd |
| party | AllocationCreated | fpml-posttrade-4-2.xsd |
| party | AmendmentConfirmed | fpml-posttrade-4-2.xsd |
| party | CancelTradeConfirmation | fpml-tradeexec-4-2.xsd |
| party | CancelTradeMatch | fpml-tradeexec-4-2.xsd |
| party | ConfirmationCancelled | fpml-tradeexec-4-2.xsd |
| party | ConfirmTrade | fpml-tradeexec-4-2.xsd |
| party | CreditEventNotification | fpml-posttrade-4-2.xsd |
| party | DataDocument | fpml-doc-4-2.xsd |
| party | IncreaseConfirmed | fpml-posttrade-4-2.xsd |
| party | ModifyTradeConfirmation | fpml-tradeexec-4-2.xsd |
| party | ModifyTradeMatch | fpml-tradeexec-4-2.xsd |
| party | NovateTrade | fpml-posttrade-4-2.xsd |
| party | NovationAlleged | fpml-posttrade-4-2.xsd |
| party | NovationConfirmed | fpml-posttrade-4-2.xsd |
| party | NovationConsentGranted | fpml-posttrade-4-2.xsd |
| party | NovationConsentRefused | fpml-posttrade-4-2.xsd |
| party | NovationConsentRequest | fpml-posttrade-4-2.xsd |
| party | NovationMatched | fpml-posttrade-4-2.xsd |
| party | NovationStatusNotification | fpml-posttrade-4-2.xsd |
| party | PartyRole | fpml-doc-4-2.xsd |
| party | PositionReport | fpml-reporting-4-2.xsd |
| party | QuoteAcceptanceConfirmed | fpml-pretrade-4-2.xsd |
| party | QuoteUpdated | fpml-pretrade-4-2.xsd |
| party | RequestAllocation | fpml-posttrade-4-2.xsd |
| party | RequestAmendmentConfirmation | fpml-posttrade-4-2.xsd |
| party | RequestIncreaseConfirmation | fpml-posttrade-4-2.xsd |
| party | RequestNovationConfirmation | fpml-posttrade-4-2.xsd |
| party | RequestQuote | fpml-pretrade-4-2.xsd |
| party | RequestQuoteResponse | fpml-pretrade-4-2.xsd |
| party | RequestTerminationConfirmation | fpml-posttrade-4-2.xsd |
| party | RequestTradeConfirmation | fpml-tradeexec-4-2.xsd |
| party | RequestTradeMatch | fpml-tradeexec-4-2.xsd |
| party | RequestTradeStatus | fpml-msg-4-2.xsd |
| party | RequestValuationReport | fpml-reporting-4-2.xsd |
| party | TerminationConfirmed | fpml-posttrade-4-2.xsd |
| party | TradeAffirmation | fpml-tradeexec-4-2.xsd |
| party | TradeAffirmed | fpml-tradeexec-4-2.xsd |
| party | TradeAlleged | fpml-tradeexec-4-2.xsd |
| party | TradeAlreadyMatched | fpml-tradeexec-4-2.xsd |
| party | TradeAlreadySubmitted | fpml-tradeexec-4-2.xsd |
| party | TradeAmended | fpml-posttrade-4-2.xsd |
| party | TradeAmendmentRequest | fpml-posttrade-4-2.xsd |
| party | TradeAmendmentResponse | fpml-posttrade-4-2.xsd |
| party | TradeCancelled | fpml-posttrade-4-2.xsd |
| party | TradeConfirmed | fpml-tradeexec-4-2.xsd |
| party | TradeCreated | fpml-posttrade-4-2.xsd |
| party | TradeIncreaseRequest | fpml-posttrade-4-2.xsd |
| party | TradeIncreaseResponse | fpml-posttrade-4-2.xsd |
| party | TradeMatched | fpml-tradeexec-4-2.xsd |
| party | TradeMismatched | fpml-tradeexec-4-2.xsd |
| party | TradeNotFound | fpml-msg-4-2.xsd |
| party | TradeNovated | fpml-posttrade-4-2.xsd |
| party | TradeStatus | fpml-msg-4-2.xsd |
| party | TradeTerminationRequest | fpml-posttrade-4-2.xsd |
| party | TradeTerminationResponse | fpml-posttrade-4-2.xsd |
| party | TradeUnmatched | fpml-tradeexec-4-2.xsd |
| party | ValuationReport | fpml-reporting-4-2.xsd |
| partyId | Party | fpml-doc-4-2.xsd |
| partyMessageInformation | MessageHeader | fpml-msg-4-2.xsd |
| partyName | Party | fpml-doc-4-2.xsd |
| partyPortfolioName | Portfolio | fpml-doc-4-2.xsd |
| partyReference | Allocation | fpml-doc-4-2.xsd |
| partyReference | ExerciseNotice | fpml-shared-4-2.xsd |
| partyReference | PartyMessageInformation | fpml-msg-4-2.xsd |
| partyReference | PartyPortfolioName | fpml-doc-4-2.xsd |
| partyReference | PartyTradeInformation | fpml-doc-4-2.xsd |
| partyReference | ReturnSwapEarlyTermination | fpml-return-swaps-4-2.xsd |
| partyReference | TradeIdentifier | fpml-doc-4-2.xsd |
| partyTradeIdentifier | AllocationCancelled | fpml-posttrade-4-2.xsd |
| partyTradeIdentifier | CancelTradeConfirmation | fpml-tradeexec-4-2.xsd |
| partyTradeIdentifier | CancelTradeMatch | fpml-tradeexec-4-2.xsd |
| partyTradeIdentifier | ConfirmTrade | fpml-tradeexec-4-2.xsd |
| partyTradeIdentifier | PartyTradeIdentifiers | fpml-doc-4-2.xsd |
| partyTradeIdentifier | TradeHeader | fpml-doc-4-2.xsd |
| partyTradeIdentifier | TradeValuationItem | fpml-reporting-4-2.xsd |
| partyTradeInformation | TradeHeader | fpml-doc-4-2.xsd |
| parValue | Bond | fpml-asset-4-2.xsd |
| parYieldCurveAdjustedMethod | CashSettlement | fpml-ird-4-2.xsd |
| parYieldCurveUnadjustedMethod | CashSettlement | fpml-ird-4-2.xsd |
| passThrough | OptionFeatures | fpml-eq-shared-4-2.xsd |
| passThroughItem | PassThrough | fpml-eq-shared-4-2.xsd |
| passThroughPercentage | PassThroughItem | fpml-eq-shared-4-2.xsd |
| payerPartyReference | EquityPremium | fpml-eqd-4-2.xsd |
| payerPartyReference | ExerciseFee | fpml-shared-4-2.xsd |
| payerPartyReference | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| payerPartyReference | FeaturePayment | fpml-eq-shared-4-2.xsd |
| payerPartyReference | FxOptionPremium | fpml-fx-4-2.xsd |
| payerPartyReference | IndependentAmount | fpml-doc-4-2.xsd |
| payerPartyReference | InitialPayment | fpml-cd-4-2.xsd |
| payerPartyReference | InterestRateStream | fpml-ird-4-2.xsd |
| payerPartyReference | PassThroughItem | fpml-eq-shared-4-2.xsd |
| payerPartyReference | Payment | fpml-shared-4-2.xsd |
| payerPartyReference | PrePayment | fpml-eqd-4-2.xsd |
| payerPartyReference | PrincipalExchangeDescriptions | fpml-return-swaps-4-2.xsd |
| payerPartyReference | QuotablePayment | fpml-pretrade-4-2.xsd |
| payerPartyReference | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| payerPartyReference | ReturnSwapLeg | fpml-return-swaps-4-2.xsd |
| payment | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | Amendment | fpml-posttrade-4-2.xsd |
| payment | BulletPayment | fpml-ird-4-2.xsd |
| payment | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | Increase | fpml-posttrade-4-2.xsd |
| payment | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | Novation | fpml-posttrade-4-2.xsd |
| payment | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | TermDeposit | fpml-fx-4-2.xsd |
| payment | Termination | fpml-posttrade-4-2.xsd |
| paymentAmount | AdditionalPaymentAmount | fpml-return-swaps-4-2.xsd |
| paymentAmount | AdjustedPaymentDates | fpml-cd-4-2.xsd |
| paymentAmount | EquityPremium | fpml-eqd-4-2.xsd |
| paymentAmount | InitialPayment | fpml-cd-4-2.xsd |
| paymentAmount | Payment | fpml-shared-4-2.xsd |
| paymentAmount | PaymentDetail | fpml-doc-4-2.xsd |
| paymentAmount | PaymentDetail | fpml-doc-4-2.xsd |
| paymentAmount | QuotablePayment | fpml-pretrade-4-2.xsd |
| paymentCalculationPeriod | Cashflows | fpml-ird-4-2.xsd |
| paymentCurrency | DividendConditions | fpml-shared-4-2.xsd |
| paymentCurrency | LegAmount | fpml-return-swaps-4-2.xsd |
| paymentDate | EquityPremium | fpml-eqd-4-2.xsd |
| paymentDate | Fra | fpml-ird-4-2.xsd |
| paymentDate | Payment | fpml-shared-4-2.xsd |
| paymentDate | PendingPayment | fpml-asset-4-2.xsd |
| paymentDate | QuotablePayment | fpml-pretrade-4-2.xsd |
| paymentDateFinal | ReturnSwapPaymentDates | fpml-return-swaps-4-2.xsd |
| paymentDates | InterestRateStream | fpml-ird-4-2.xsd |
| paymentDates | ReturnLegValuation | fpml-return-swaps-4-2.xsd |
| paymentDatesAdjustments | PaymentDates | fpml-ird-4-2.xsd |
| paymentDatesInterim | ReturnSwapPaymentDates | fpml-return-swaps-4-2.xsd |
| paymentDatesReference | DateRelativeToPaymentDates | fpml-ird-4-2.xsd |
| paymentDaysOffset | PaymentDates | fpml-ird-4-2.xsd |
| paymentDetail | IndependentAmount | fpml-doc-4-2.xsd |
| paymentFrequency | Bond | fpml-asset-4-2.xsd |
| paymentFrequency | Deposit | fpml-asset-4-2.xsd |
| paymentFrequency | PaymentDates | fpml-ird-4-2.xsd |
| paymentFrequency | PeriodicPayment | fpml-cd-4-2.xsd |
| paymentFrequency | RateIndex | fpml-asset-4-2.xsd |
| paymentFrequency | ReturnSwapLeg | fpml-return-swaps-4-2.xsd |
| paymentFrequency | SimpleCreditDefaultSwap | fpml-asset-4-2.xsd |
| paymentFrequency | SimpleIRSwap | fpml-asset-4-2.xsd |
| paymentPercent | PercentageRule | fpml-doc-4-2.xsd |
| paymentRequirement | FailureToPay | fpml-cd-4-2.xsd |
| paymentRule | PaymentDetail | fpml-doc-4-2.xsd |
| paymentType | Payment | fpml-shared-4-2.xsd |
| paymentType | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| payoutCurrency | FxAverageRateOption | fpml-fx-4-2.xsd |
| payoutFormula | FxAverageRateOption | fpml-fx-4-2.xsd |
| payoutStyle | FxOptionPayout | fpml-fx-4-2.xsd |
| payRelativeTo | PaymentDates | fpml-ird-4-2.xsd |
| percentageOfNotional | EquityPremium | fpml-eqd-4-2.xsd |
| period | Interval | fpml-shared-4-2.xsd |
| periodicDates | AdjustableRelativeOrPeriodicDates | fpml-shared-4-2.xsd |
| periodicPayment | FeeLeg | fpml-cd-4-2.xsd |
| periodMultiplier | Interval | fpml-shared-4-2.xsd |
| periodSkip | RelativeDates | fpml-shared-4-2.xsd |
| perturbationAmount | DerivativeCalculationProcedure | fpml-riskdef-4-2.xsd |
| perturbationType | DerivativeCalculationProcedure | fpml-riskdef-4-2.xsd |
| physicalSettlement | CreditDerivativesNotices | fpml-posttrade-4-2.xsd |
| physicalSettlementPeriod | PhysicalSettlementTerms | fpml-cd-4-2.xsd |
| physicalSettlementTerms | CreditDefaultSwap | fpml-cd-4-2.xsd |
| point | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| point | TermCurve | fpml-mktenv-4-2.xsd |
| portfolio | DataDocument | fpml-doc-4-2.xsd |
| portfolio | Portfolio | fpml-doc-4-2.xsd |
| portfolioName | PartyPortfolioName | fpml-doc-4-2.xsd |
| portfolioValuationItem | RequestValuationReport | fpml-reporting-4-2.xsd |
| portfolioValuationItem | ValuationReport | fpml-reporting-4-2.xsd |
| position | PositionReport | fpml-reporting-4-2.xsd |
| positionProvider | ReportingRoles | fpml-valuation-4-2.xsd |
| postalCode | Address | fpml-shared-4-2.xsd |
| power | DenominatorTerm | fpml-riskdef-4-2.xsd |
| precision | FxAverageRateOption | fpml-fx-4-2.xsd |
| precision | Rounding | fpml-shared-4-2.xsd |
| premium | CapFloor | fpml-ird-4-2.xsd |
| premium | Swaption | fpml-ird-4-2.xsd |
| premiumAmount | FxOptionPremium | fpml-fx-4-2.xsd |
| premiumProductReference | Strategy | fpml-doc-4-2.xsd |
| premiumQuote | FxOptionPremium | fpml-fx-4-2.xsd |
| premiumQuoteBasis | PremiumQuote | fpml-fx-4-2.xsd |
| premiumSettlementDate | FxOptionPremium | fpml-fx-4-2.xsd |
| premiumType | EquityPremium | fpml-eqd-4-2.xsd |
| premiumValue | PremiumQuote | fpml-fx-4-2.xsd |
| prePayment | EquityExercise | fpml-eqd-4-2.xsd |
| prePayment | PrePayment | fpml-eqd-4-2.xsd |
| prePaymentAmount | PrePayment | fpml-eqd-4-2.xsd |
| prePaymentDate | PrePayment | fpml-eqd-4-2.xsd |
| presentValueAmount | Payment | fpml-shared-4-2.xsd |
| presentValueAmount | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| presentValuePrincipalExchangeAmount | PrincipalExchange | fpml-ird-4-2.xsd |
| priceExpression | ActualPrice | fpml-asset-4-2.xsd |
| pricePerOption | EquityPremium | fpml-eqd-4-2.xsd |
| pricingInputReference | PricingMethod | fpml-mktenv-4-2.xsd |
| pricingInputReference | SensitivitySetDefinition | fpml-riskdef-4-2.xsd |
| pricingInputType | SensitivitySetDefinition | fpml-riskdef-4-2.xsd |
| primaryObligor | ReferenceObligation | fpml-cd-4-2.xsd |
| primaryObligorReference | ReferenceObligation | fpml-cd-4-2.xsd |
| primaryRateSource | FxAverageRateOption | fpml-fx-4-2.xsd |
| primaryRateSource | FxSpotRateSource | fpml-shared-4-2.xsd |
| principal | TermDeposit | fpml-fx-4-2.xsd |
| principalAmount | PrincipalExchangeAmount | fpml-return-swaps-4-2.xsd |
| principalExchange | Cashflows | fpml-ird-4-2.xsd |
| principalExchangeAmount | PrincipalExchange | fpml-ird-4-2.xsd |
| principalExchangeAmount | PrincipalExchangeDescriptions | fpml-return-swaps-4-2.xsd |
| principalExchangeDate | PrincipalExchangeDescriptions | fpml-return-swaps-4-2.xsd |
| principalExchangeDescriptions | PrincipalExchangeFeatures | fpml-return-swaps-4-2.xsd |
| principalExchangeFeatures | ReturnSwap | fpml-return-swaps-4-2.xsd |
| principalExchanges | InterestRateStream | fpml-ird-4-2.xsd |
| principalExchanges | PrincipalExchangeFeatures | fpml-return-swaps-4-2.xsd |
| productId | Product | fpml-shared-4-2.xsd |
| productId | QuotableProduct | fpml-pretrade-4-2.xsd |
| productType | Product | fpml-shared-4-2.xsd |
| productType | QuotableProduct | fpml-pretrade-4-2.xsd |
| protectionTerms | CreditDefaultSwap | fpml-cd-4-2.xsd |
| publicationDate | ContractualMatrix | fpml-shared-4-2.xsd |
| publiclyAvailableInformation | CreditDerivativesNotices | fpml-posttrade-4-2.xsd |
| publiclyAvailableInformation | CreditEventNotice | fpml-cd-4-2.xsd |
| publiclyAvailableInformation | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| publicSource | PubliclyAvailableInformation | fpml-cd-4-2.xsd |
| putCurrencyAmount | FxAverageRateOption | fpml-fx-4-2.xsd |
| putCurrencyAmount | FxOptionLeg | fpml-fx-4-2.xsd |
| qualifyingParticipationSeller | LoanParticipation | fpml-cd-4-2.xsd |
| quanto | FxFeature | fpml-eq-shared-4-2.xsd |
| queryParameter | QueryPortfolio | fpml-doc-4-2.xsd |
| queryParameterId | QueryParameter | fpml-doc-4-2.xsd |
| queryParameterOperator | QueryParameter | fpml-doc-4-2.xsd |
| queryParameterValue | QueryParameter | fpml-doc-4-2.xsd |
| quotationAmount | CashSettlementTerms | fpml-cd-4-2.xsd |
| quotationCharacteristics | PositionReport | fpml-reporting-4-2.xsd |
| quotationCharacteristics | Price | fpml-asset-4-2.xsd |
| quotationCharacteristics | ValuationSet | fpml-valuation-4-2.xsd |
| quotationMethod | CashSettlementTerms | fpml-cd-4-2.xsd |
| quotationRateType | CashPriceMethod | fpml-ird-4-2.xsd |
| quotationRateType | YieldCurveMethod | fpml-ird-4-2.xsd |
| quote | AssetValuation | fpml-valuation-4-2.xsd |
| quote | BasicAssetValuation | fpml-valuation-base-4-2.xsd |
| quoteBasis | QuotedCurrencyPair | fpml-shared-4-2.xsd |
| quotedAs | FxOptionLeg | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxAmericanTrigger | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxBarrier | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxCurve | fpml-mktenv-4-2.xsd |
| quotedCurrencyPair | FxDigitalOption | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxEuropeanTrigger | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxFixing | fpml-shared-4-2.xsd |
| quotedCurrencyPair | FxRate | fpml-shared-4-2.xsd |
| quotedCurrencyPair | FxRateAsset | fpml-asset-4-2.xsd |
| quotedCurrencyPair | QuotableFxRate | fpml-pretrade-4-2.xsd |
| quotedTenor | QuotedAs | fpml-fx-4-2.xsd |
| quoteUnits | BasicQuotation | fpml-valuation-base-4-2.xsd |
| quoteUnits | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| quoteUnits | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| quoteUnits | Quotation | fpml-valuation-4-2.xsd |
| quoteUnits | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| rate | FxRate | fpml-shared-4-2.xsd |
| rate | FxStrikePrice | fpml-fx-4-2.xsd |
| rate | SideRate | fpml-fx-4-2.xsd |
| rateCurve | ForwardRateCurve | fpml-mktenv-4-2.xsd |
| rateCurve | ZeroRateCurve | fpml-mktenv-4-2.xsd |
| rateCutOffDaysOffset | ResetDates | fpml-ird-4-2.xsd |
| rateObservation | FloatingRateDefinition | fpml-ird-4-2.xsd |
| rateOfReturn | ReturnLeg | fpml-return-swaps-4-2.xsd |
| rateReference | RateObservation | fpml-shared-4-2.xsd |
| rateSource | FxRateAsset | fpml-asset-4-2.xsd |
| rateSource | InformationSource | fpml-shared-4-2.xsd |
| rateSourcePage | InformationSource | fpml-shared-4-2.xsd |
| rateSourcePageHeading | InformationSource | fpml-shared-4-2.xsd |
| rateTreatment | FloatingRate | fpml-shared-4-2.xsd |
| reason | MessageRejected | fpml-msg-4-2.xsd |
| reason | NovationConsentRefused | fpml-posttrade-4-2.xsd |
| reasonCode | Reason | fpml-msg-4-2.xsd |
| recallSpread | MakeWholeProvisions | fpml-eq-shared-4-2.xsd |
| receiverPartyReference | EquityPremium | fpml-eqd-4-2.xsd |
| receiverPartyReference | ExerciseFee | fpml-shared-4-2.xsd |
| receiverPartyReference | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| receiverPartyReference | FeaturePayment | fpml-eq-shared-4-2.xsd |
| receiverPartyReference | FxOptionPremium | fpml-fx-4-2.xsd |
| receiverPartyReference | IndependentAmount | fpml-doc-4-2.xsd |
| receiverPartyReference | InitialPayment | fpml-cd-4-2.xsd |
| receiverPartyReference | InterestRateStream | fpml-ird-4-2.xsd |
| receiverPartyReference | PassThroughItem | fpml-eq-shared-4-2.xsd |
| receiverPartyReference | Payment | fpml-shared-4-2.xsd |
| receiverPartyReference | PrePayment | fpml-eqd-4-2.xsd |
| receiverPartyReference | PrincipalExchangeDescriptions | fpml-return-swaps-4-2.xsd |
| receiverPartyReference | QuotablePayment | fpml-pretrade-4-2.xsd |
| receiverPartyReference | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| receiverPartyReference | ReturnSwapLeg | fpml-return-swaps-4-2.xsd |
| recoveryRate | CreditCurveValuation | fpml-mktenv-4-2.xsd |
| recoveryRateCurve | CreditCurveValuation | fpml-mktenv-4-2.xsd |
| referenceAmount | LegAmount | fpml-return-swaps-4-2.xsd |
| referenceBank | CashSettlementReferenceBanks | fpml-ird-4-2.xsd |
| referenceBankId | ReferenceBank | fpml-shared-4-2.xsd |
| referenceBankName | ReferenceBank | fpml-shared-4-2.xsd |
| referenceCurrency | FxFeature | fpml-eq-shared-4-2.xsd |
| referenceCurrency | NonDeliverableSettlement | fpml-ird-4-2.xsd |
| referenceEntity | CreditCurve | fpml-mktenv-4-2.xsd |
| referenceEntity | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| referenceEntity | ReferenceInformation | fpml-cd-4-2.xsd |
| referenceEntity | ReferencePair | fpml-cd-4-2.xsd |
| referenceEntity | SimpleCreditDefaultSwap | fpml-asset-4-2.xsd |
| referenceInformation | GeneralTerms | fpml-cd-4-2.xsd |
| referenceObligation | ReferenceInformation | fpml-cd-4-2.xsd |
| referenceObligation | ReferencePair | fpml-cd-4-2.xsd |
| referencePair | ReferencePoolItem | fpml-cd-4-2.xsd |
| referencePrice | ReferenceInformation | fpml-cd-4-2.xsd |
| relatedExchangeId | Bond | fpml-asset-4-2.xsd |
| relatedExchangeId | Equity | fpml-eq-shared-4-2.xsd |
| relatedExchangeId | EquityAsset | fpml-asset-4-2.xsd |
| relatedExchangeId | ExchangeTradedContract | fpml-asset-4-2.xsd |
| relatedExchangeId | ExchangeTradedFund | fpml-asset-4-2.xsd |
| relatedExchangeId | Future | fpml-asset-4-2.xsd |
| relatedExchangeId | Index | fpml-asset-4-2.xsd |
| relativeDate | AdjustableOrRelativeDate | fpml-shared-4-2.xsd |
| relativeDate | CashSettlementPaymentDate | fpml-ird-4-2.xsd |
| relativeDate | Composite | fpml-eq-shared-4-2.xsd |
| relativeDate | ScheduledTerminationDate | fpml-cd-4-2.xsd |
| relativeDateAdjustments | AdjustedRelativeDateOffset | fpml-shared-4-2.xsd |
| relativeDates | AdjustableOrRelativeDates | fpml-shared-4-2.xsd |
| relativeDateSequence | AdjustableRelativeOrPeriodicDates | fpml-shared-4-2.xsd |
| relativeDateSequence | EquityValuationDate | fpml-eq-shared-4-2.xsd |
| relativeEffectiveDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| relativeTerminationDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| relevantUnderlyingDate | AmericanExercise | fpml-shared-4-2.xsd |
| relevantUnderlyingDate | BermudaExercise | fpml-shared-4-2.xsd |
| relevantUnderlyingDate | EuropeanExercise | fpml-shared-4-2.xsd |
| remainingParty | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | Novation | fpml-posttrade-4-2.xsd |
| remainingParty | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| replacement | ValuationScenario | fpml-valuation-4-2.xsd |
| replacementInputReference | PricingInputReplacement | fpml-valuation-4-2.xsd |
| replacementMarketInput | DerivativeCalculationProcedure | fpml-riskdef-4-2.xsd |
| reportingRoles | Position | fpml-valuation-4-2.xsd |
| representations | ExtraordinaryEvents | fpml-eq-shared-4-2.xsd |
| repudiationMoratorium | CreditEvents | fpml-cd-4-2.xsd |
| resetDate | FxLinkedNotionalAmount | fpml-ird-4-2.xsd |
| resetDate | RateObservation | fpml-shared-4-2.xsd |
| resetDates | InterestRateStream | fpml-ird-4-2.xsd |
| resetDatesAdjustments | ResetDates | fpml-ird-4-2.xsd |
| resetDatesReference | PaymentDates | fpml-ird-4-2.xsd |
| resetFrequency | InterestLegResetDates | fpml-return-swaps-4-2.xsd |
| resetFrequency | ResetDates | fpml-ird-4-2.xsd |
| resetRelativeTo | InterestLegResetDates | fpml-return-swaps-4-2.xsd |
| resetRelativeTo | ResetDates | fpml-ird-4-2.xsd |
| resourceId | Resource | fpml-posttrade-4-2.xsd |
| restructuring | CreditEvents | fpml-cd-4-2.xsd |
| restructuringType | Restructuring | fpml-cd-4-2.xsd |
| return | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| return | ReturnLeg | fpml-return-swaps-4-2.xsd |
| returnType | Return | fpml-return-swaps-4-2.xsd |
| revenueObligationLiability | DeliverableObligations | fpml-cd-4-2.xsd |
| revenueObligationLiability | Obligations | fpml-cd-4-2.xsd |
| rollConvention | CalculationPeriodFrequency | fpml-shared-4-2.xsd |
| rollConvention | PeriodicPayment | fpml-cd-4-2.xsd |
| roundingDirection | Rounding | fpml-shared-4-2.xsd |
| routingAccountNumber | RoutingExplicitDetails | fpml-shared-4-2.xsd |
| routingAccountNumber | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| routingAddress | RoutingExplicitDetails | fpml-shared-4-2.xsd |
| routingAddress | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| routingExplicitDetails | IntermediaryInformation | fpml-shared-4-2.xsd |
| routingExplicitDetails | Routing | fpml-shared-4-2.xsd |
| routingId | RoutingIds | fpml-shared-4-2.xsd |
| routingIds | IntermediaryInformation | fpml-shared-4-2.xsd |
| routingIds | Routing | fpml-shared-4-2.xsd |
| routingIds | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| routingIdsAndExplicitDetails | IntermediaryInformation | fpml-shared-4-2.xsd |
| routingIdsAndExplicitDetails | Routing | fpml-shared-4-2.xsd |
| routingName | RoutingExplicitDetails | fpml-shared-4-2.xsd |
| routingName | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| routingReferenceText | RoutingExplicitDetails | fpml-shared-4-2.xsd |
| routingReferenceText | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| scale | SensitivitySetDefinition | fpml-riskdef-4-2.xsd |
| schedule | EquityAveragingPeriod | fpml-eq-shared-4-2.xsd |
| schedule | TriggerEvent | fpml-eq-shared-4-2.xsd |
| scheduleBounds | RelativeDates | fpml-shared-4-2.xsd |
| scheduledDate | ScheduledDates | fpml-valuation-4-2.xsd |
| scheduledDates | Position | fpml-valuation-4-2.xsd |
| scheduledTerminationDate | GeneralTerms | fpml-cd-4-2.xsd |
| secondaryRateSource | FxAverageRateOption | fpml-fx-4-2.xsd |
| secondaryRateSource | FxSpotRateSource | fpml-shared-4-2.xsd |
| secured | CreditCurve | fpml-mktenv-4-2.xsd |
| seller | Strike | fpml-shared-4-2.xsd |
| seller | StrikeSchedule | fpml-shared-4-2.xsd |
| sellerPartyReference | CancelableProvision | fpml-ird-4-2.xsd |
| sellerPartyReference | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| sellerPartyReference | ExtendibleProvision | fpml-ird-4-2.xsd |
| sellerPartyReference | Fra | fpml-ird-4-2.xsd |
| sellerPartyReference | FxAverageRateOption | fpml-fx-4-2.xsd |
| sellerPartyReference | FxDigitalOption | fpml-fx-4-2.xsd |
| sellerPartyReference | FxOptionLeg | fpml-fx-4-2.xsd |
| sellerPartyReference | GeneralTerms | fpml-cd-4-2.xsd |
| sellerPartyReference | NotifyingParty | fpml-cd-4-2.xsd |
| sellerPartyReference | ReturnSwapBase | fpml-return-swaps-4-2.xsd |
| sellerPartyReference | SinglePartyOption | fpml-ird-4-2.xsd |
| sellerPartyReference | Swaption | fpml-ird-4-2.xsd |
| sendTo | MessageHeader | fpml-msg-4-2.xsd |
| sendTo | NotificationMessageHeader | fpml-msg-4-2.xsd |
| sendTo | RequestMessageHeader | fpml-msg-4-2.xsd |
| sendTo | ResponseMessageHeader | fpml-msg-4-2.xsd |
| seniority | Bond | fpml-asset-4-2.xsd |
| seniority | CreditCurve | fpml-mktenv-4-2.xsd |
| sensitivity | SensitivitySet | fpml-valuation-4-2.xsd |
| sensitivityCharacteristics | SensitivitySetDefinition | fpml-riskdef-4-2.xsd |
| sensitivityDefinition | SensitivitySetDefinition | fpml-riskdef-4-2.xsd |
| sensitivitySet | Quotation | fpml-valuation-4-2.xsd |
| sensitivitySetDefinition | ValuationSet | fpml-valuation-4-2.xsd |
| sentBy | MessageHeader | fpml-msg-4-2.xsd |
| sentBy | NotificationMessageHeader | fpml-msg-4-2.xsd |
| sentBy | RequestMessageHeader | fpml-msg-4-2.xsd |
| sentBy | ResponseMessageHeader | fpml-msg-4-2.xsd |
| sequence | DateOffset | fpml-shared-4-2.xsd |
| settlementAmount | EquityOptionTermination | fpml-eqd-4-2.xsd |
| settlementAmountPaymentDate | EquityOptionTermination | fpml-eqd-4-2.xsd |
| settlementCurrency | EquityExercise | fpml-eqd-4-2.xsd |
| settlementCurrency | FxCashSettlement | fpml-shared-4-2.xsd |
| settlementCurrency | SettlementProvision | fpml-ird-4-2.xsd |
| settlementCurrency | SettlementTerms | fpml-cd-4-2.xsd |
| settlementCurrencyYieldCurve | FxCurveValuation | fpml-mktenv-4-2.xsd |
| settlementDate | EquityExercise | fpml-eqd-4-2.xsd |
| settlementInformation | FxOptionPayout | fpml-fx-4-2.xsd |
| settlementInformation | FxOptionPremium | fpml-fx-4-2.xsd |
| settlementInformation | Payment | fpml-shared-4-2.xsd |
| settlementInstruction | SettlementInformation | fpml-shared-4-2.xsd |
| settlementMethod | SettlementInstruction | fpml-shared-4-2.xsd |
| settlementMethodElectingPartyReference | EquityExercise | fpml-eqd-4-2.xsd |
| settlementMethodElectionDate | EquityExercise | fpml-eqd-4-2.xsd |
| settlementPriceSource | EquityExercise | fpml-eqd-4-2.xsd |
| settlementProvision | InterestRateStream | fpml-ird-4-2.xsd |
| settlementRateOption | NonDeliverableSettlement | fpml-ird-4-2.xsd |
| settlementRateSource | YieldCurveMethod | fpml-ird-4-2.xsd |
| settlementType | EquityExercise | fpml-eqd-4-2.xsd |
| settler | TradeSide | fpml-doc-4-2.xsd |
| shareForCombined | EquityCorporateEvents | fpml-eq-shared-4-2.xsd |
| shareForOther | EquityCorporateEvents | fpml-eq-shared-4-2.xsd |
| shareForShare | EquityCorporateEvents | fpml-eq-shared-4-2.xsd |
| shift | DerivedValuationScenario | fpml-valuation-4-2.xsd |
| shift | PricingParameterShift | fpml-riskdef-4-2.xsd |
| shift | ValuationScenario | fpml-valuation-4-2.xsd |
| shiftUnits | PricingParameterShift | fpml-riskdef-4-2.xsd |
| side | BasicQuotation | fpml-valuation-base-4-2.xsd |
| side | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| side | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| side | Quotation | fpml-valuation-4-2.xsd |
| side | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| sideRateBasis | SideRate | fpml-fx-4-2.xsd |
| sideRates | ExchangeRate | fpml-fx-4-2.xsd |
| singlePartyOption | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| singlePayment | FeeLeg | fpml-cd-4-2.xsd |
| singleUnderlyer | Underlyer | fpml-asset-4-2.xsd |
| singleValuationDate | ValuationDate | fpml-cd-4-2.xsd |
| sixtyBusinessDaySettlementCap | PhysicalSettlementTerms | fpml-cd-4-2.xsd |
| sizeInBytes | Resource | fpml-posttrade-4-2.xsd |
| specifiedCurrency | DeliverableObligations | fpml-cd-4-2.xsd |
| specifiedCurrency | Obligations | fpml-cd-4-2.xsd |
| specifiedNumber | PubliclyAvailableInformation | fpml-cd-4-2.xsd |
| splitSettlement | SettlementInstruction | fpml-shared-4-2.xsd |
| splitSettlementAmount | SplitSettlement | fpml-shared-4-2.xsd |
| spotDate | PricingStructureValuation | fpml-mktenv-4-2.xsd |
| spotPrice | EquityDerivativeShortFormBase | fpml-eqd-4-2.xsd |
| spotPrice | EquityOption | fpml-eqd-4-2.xsd |
| spotRate | ExchangeRate | fpml-fx-4-2.xsd |
| spotRate | FxAverageRateOption | fpml-fx-4-2.xsd |
| spotRate | FxBarrierOption | fpml-fx-4-2.xsd |
| spotRate | FxCurveValuation | fpml-mktenv-4-2.xsd |
| spotRate | FxDigitalOption | fpml-fx-4-2.xsd |
| spotRate | SideRate | fpml-fx-4-2.xsd |
| spread | FloatingRateDefinition | fpml-ird-4-2.xsd |
| spreadSchedule | FloatingRate | fpml-shared-4-2.xsd |
| spreadValue | TermPoint | fpml-mktenv-4-2.xsd |
| standardPublicSources | PubliclyAvailableInformation | fpml-cd-4-2.xsd |
| standardSettlementStyle | SettlementInformation | fpml-shared-4-2.xsd |
| startDate | EquitySchedule | fpml-eq-shared-4-2.xsd |
| startDate | TermDeposit | fpml-fx-4-2.xsd |
| startingDate | ReturnSwapEarlyTermination | fpml-return-swaps-4-2.xsd |
| startTerm | SimpleFra | fpml-asset-4-2.xsd |
| state | Address | fpml-shared-4-2.xsd |
| status | Approval | fpml-doc-4-2.xsd |
| step | Schedule | fpml-shared-4-2.xsd |
| stepDate | Step | fpml-shared-4-2.xsd |
| stepFrequency | NotionalStepRule | fpml-ird-4-2.xsd |
| stepRelativeTo | NotionalStepRule | fpml-ird-4-2.xsd |
| stepValue | Step | fpml-shared-4-2.xsd |
| strategyFeature | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| streetAddress | Address | fpml-shared-4-2.xsd |
| streetLine | StreetAddress | fpml-shared-4-2.xsd |
| strike | EquityDerivativeShortFormBase | fpml-eqd-4-2.xsd |
| strike | EquityOption | fpml-eqd-4-2.xsd |
| strike | PricingDataPointCoordinate | fpml-mktenv-4-2.xsd |
| strikeFactor | Asian | fpml-eq-shared-4-2.xsd |
| strikePercentage | EquityStrike | fpml-eqd-4-2.xsd |
| strikePrice | EquityStrike | fpml-eqd-4-2.xsd |
| strikeQuoteBasis | FxStrikePrice | fpml-fx-4-2.xsd |
| strikeRate | Strike | fpml-shared-4-2.xsd |
| strikeSpread | StrategyFeature | fpml-eqd-4-2.xsd |
| stubAmount | Stub | fpml-ird-4-2.xsd |
| stubCalculationPeriod | InterestLeg | fpml-return-swaps-4-2.xsd |
| stubCalculationPeriodAmount | InterestRateStream | fpml-ird-4-2.xsd |
| stubEndDate | Stub | fpml-ird-4-2.xsd |
| stubPeriodType | CalculationPeriodDates | fpml-ird-4-2.xsd |
| stubRate | Stub | fpml-ird-4-2.xsd |
| stubStartDate | Stub | fpml-ird-4-2.xsd |
| swapPremium | EquityPremium | fpml-eqd-4-2.xsd |
| swapStream | Swap | fpml-ird-4-2.xsd |
| swaptionAdjustedDates | Swaption | fpml-ird-4-2.xsd |
| swaptionStraddle | Swaption | fpml-ird-4-2.xsd |
| tenderOffer | ExtraordinaryEvents | fpml-eq-shared-4-2.xsd |
| tenderOfferEvents | ExtraordinaryEvents | fpml-eq-shared-4-2.xsd |
| tenor | TimeDimension | fpml-mktenv-4-2.xsd |
| tenor | TimeDimension | fpml-mktenv-4-2.xsd |
| term | Deposit | fpml-asset-4-2.xsd |
| term | DerivativeFormula | fpml-riskdef-4-2.xsd |
| term | PricingDataPointCoordinate | fpml-mktenv-4-2.xsd |
| term | RateIndex | fpml-asset-4-2.xsd |
| term | SensitivityDefinition | fpml-riskdef-4-2.xsd |
| term | SimpleCreditDefaultSwap | fpml-asset-4-2.xsd |
| term | SimpleIRSwap | fpml-asset-4-2.xsd |
| term | TermPoint | fpml-mktenv-4-2.xsd |
| termination | RequestTerminationConfirmation | fpml-posttrade-4-2.xsd |
| termination | TerminationConfirmed | fpml-posttrade-4-2.xsd |
| termination | TradeTerminationRequest | fpml-posttrade-4-2.xsd |
| termination | TradeTerminationResponse | fpml-posttrade-4-2.xsd |
| terminationDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| terminationDate | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| terminationDate | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| terminationDate | ReturnLeg | fpml-return-swaps-4-2.xsd |
| terminationEffectiveDate | Termination | fpml-posttrade-4-2.xsd |
| terminationTradeDate | Termination | fpml-posttrade-4-2.xsd |
| thresholdRate | AutomaticExercise | fpml-shared-4-2.xsd |
| time | BasicQuotation | fpml-valuation-base-4-2.xsd |
| time | FeaturePayment | fpml-eq-shared-4-2.xsd |
| time | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| time | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| time | Quotation | fpml-valuation-4-2.xsd |
| time | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| timing | BasicQuotation | fpml-valuation-base-4-2.xsd |
| timing | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| timing | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| timing | Quotation | fpml-valuation-4-2.xsd |
| timing | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| touchCondition | FxAmericanTrigger | fpml-fx-4-2.xsd |
| trade | AcceptQuote | fpml-pretrade-4-2.xsd |
| trade | AffectedTransactions | fpml-posttrade-4-2.xsd |
| trade | AllocationCancelled | fpml-posttrade-4-2.xsd |
| trade | AllocationCreated | fpml-posttrade-4-2.xsd |
| trade | Amendment | fpml-posttrade-4-2.xsd |
| trade | DataDocument | fpml-doc-4-2.xsd |
| trade | Increase | fpml-posttrade-4-2.xsd |
| trade | ModifyTradeConfirmation | fpml-tradeexec-4-2.xsd |
| trade | ModifyTradeMatch | fpml-tradeexec-4-2.xsd |
| trade | PositionConstituent | fpml-valuation-4-2.xsd |
| trade | QuoteAcceptanceConfirmed | fpml-pretrade-4-2.xsd |
| trade | RequestTradeConfirmation | fpml-tradeexec-4-2.xsd |
| trade | RequestTradeMatch | fpml-tradeexec-4-2.xsd |
| trade | Termination | fpml-posttrade-4-2.xsd |
| trade | TradeAffirmation | fpml-tradeexec-4-2.xsd |
| trade | TradeAmended | fpml-posttrade-4-2.xsd |
| trade | TradeConfirmed | fpml-tradeexec-4-2.xsd |
| trade | TradeCreated | fpml-posttrade-4-2.xsd |
| trade | TradeValuationItem | fpml-reporting-4-2.xsd |
| tradeDate | TradeHeader | fpml-doc-4-2.xsd |
| tradeHeader | Trade | fpml-doc-4-2.xsd |
| tradeId | Portfolio | fpml-doc-4-2.xsd |
| tradeId | TradeIdentifier | fpml-doc-4-2.xsd |
| tradeIdentifier | BestFitTrade | fpml-tradeexec-4-2.xsd |
| tradeIdentifier | ConfirmationCancelled | fpml-tradeexec-4-2.xsd |
| tradeIdentifier | RequestTradeStatus | fpml-msg-4-2.xsd |
| tradeIdentifier | TradeAffirmed | fpml-tradeexec-4-2.xsd |
| tradeIdentifier | TradeAlleged | fpml-tradeexec-4-2.xsd |
| tradeIdentifier | TradeAlreadyMatched | fpml-tradeexec-4-2.xsd |
| tradeIdentifier | TradeAlreadySubmitted | fpml-tradeexec-4-2.xsd |
| tradeIdentifier | TradeCancelled | fpml-posttrade-4-2.xsd |
| tradeIdentifier | TradeMatched | fpml-tradeexec-4-2.xsd |
| tradeIdentifier | TradeMismatched | fpml-tradeexec-4-2.xsd |
| tradeIdentifier | TradeNotFound | fpml-msg-4-2.xsd |
| tradeIdentifier | TradeStatusItem | fpml-msg-4-2.xsd |
| tradeIdentifier | TradeUnmatched | fpml-tradeexec-4-2.xsd |
| trader | PartyTradeInformation | fpml-doc-4-2.xsd |
| tradeReference | AffectedTransactions | fpml-posttrade-4-2.xsd |
| tradeReference | Increase | fpml-posttrade-4-2.xsd |
| tradeReference | PositionConstituent | fpml-valuation-4-2.xsd |
| tradeReference | Termination | fpml-posttrade-4-2.xsd |
| tradeSide | Trade | fpml-doc-4-2.xsd |
| tradeStatusItem | TradeStatus | fpml-msg-4-2.xsd |
| tradeStatusValue | TradeStatusItem | fpml-msg-4-2.xsd |
| tradeValuationItem | PortfolioValuationItem | fpml-reporting-4-2.xsd |
| tradeValuationItem | RequestValuationReport | fpml-reporting-4-2.xsd |
| tradeValuationItem | ValuationReport | fpml-reporting-4-2.xsd |
| transferable | DeliverableObligations | fpml-cd-4-2.xsd |
| transferee | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| transferee | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| transferee | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| transferee | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| transferee | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| transferee | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| transferee | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| transferee | Novation | fpml-posttrade-4-2.xsd |
| transferee | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| transferee | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| transferee | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| transferor | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| transferor | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| transferor | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| transferor | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| transferor | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| transferor | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| transferor | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| transferor | Novation | fpml-posttrade-4-2.xsd |
| transferor | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| transferor | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| transferor | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| treatedForecastRate | RateObservation | fpml-shared-4-2.xsd |
| treatedRate | RateObservation | fpml-shared-4-2.xsd |
| trigger | TriggerEvent | fpml-eq-shared-4-2.xsd |
| triggerCondition | FxEuropeanTrigger | fpml-fx-4-2.xsd |
| triggerDates | TriggerEvent | fpml-eq-shared-4-2.xsd |
| triggerPayout | FxBarrierOption | fpml-fx-4-2.xsd |
| triggerPayout | FxDigitalOption | fpml-fx-4-2.xsd |
| triggerRate | FxAmericanTrigger | fpml-fx-4-2.xsd |
| triggerRate | FxBarrier | fpml-fx-4-2.xsd |
| triggerRate | FxEuropeanTrigger | fpml-fx-4-2.xsd |
| type | Approval | fpml-doc-4-2.xsd |
| type | ScheduledDate | fpml-valuation-4-2.xsd |
| unadjustedDate | AdjustableDate | fpml-shared-4-2.xsd |
| unadjustedDate | AdjustableDate2 | fpml-shared-4-2.xsd |
| unadjustedDate | AdjustableDates | fpml-shared-4-2.xsd |
| unadjustedDate | ScheduledDate | fpml-valuation-4-2.xsd |
| unadjustedEndDate | CalculationPeriod | fpml-ird-4-2.xsd |
| unadjustedFirstDate | DateRange | fpml-shared-4-2.xsd |
| unadjustedLastDate | DateRange | fpml-shared-4-2.xsd |
| unadjustedPaymentDate | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| unadjustedPrincipalExchangeDate | PrincipalExchange | fpml-ird-4-2.xsd |
| unadjustedStartDate | CalculationPeriod | fpml-ird-4-2.xsd |
| unadjustedVarianceCap | Variance | fpml-return-swaps-4-2.xsd |
| underlyer | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| underlyer | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| underlyer | ReturnLeg | fpml-return-swaps-4-2.xsd |
| underlyer | VarianceLeg | fpml-return-swaps-4-2.xsd |
| underlyerNotional | BasketConstituent | fpml-asset-4-2.xsd |
| underlyerPrice | BasketConstituent | fpml-asset-4-2.xsd |
| underlyerReference | PassThroughItem | fpml-eq-shared-4-2.xsd |
| underlyerSpread | BasketConstituent | fpml-asset-4-2.xsd |
| underlyingAssetReference | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| underlyingEquity | ConvertibleBond | fpml-asset-4-2.xsd |
| unknownReferenceObligation | ReferenceInformation | fpml-cd-4-2.xsd |
| upperStrike | StrikeSpread | fpml-eqd-4-2.xsd |
| upperStrikeNumberOfOptions | StrikeSpread | fpml-eqd-4-2.xsd |
| url | Resource | fpml-posttrade-4-2.xsd |
| validation | DataDocument | fpml-doc-4-2.xsd |
| validation | Message | fpml-msg-4-2.xsd |
| validation | NotificationMessage | fpml-msg-4-2.xsd |
| validation | RequestMessage | fpml-msg-4-2.xsd |
| validation | ResponseMessage | fpml-msg-4-2.xsd |
| validationRuleId | Reason | fpml-msg-4-2.xsd |
| valuation | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| valuation | Valuations | fpml-valuation-4-2.xsd |
| valuationDate | CashSettlementTerms | fpml-cd-4-2.xsd |
| valuationDate | DerivedValuationScenario | fpml-valuation-4-2.xsd |
| valuationDate | EquityValuation | fpml-eq-shared-4-2.xsd |
| valuationDate | ValuationScenario | fpml-valuation-4-2.xsd |
| valuationDates | EquityValuation | fpml-eq-shared-4-2.xsd |
| valuationMethod | CashSettlementTerms | fpml-cd-4-2.xsd |
| valuationPriceFinal | DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd |
| valuationPriceFinal | ReturnLegValuation | fpml-return-swaps-4-2.xsd |
| valuationPriceInterim | DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd |
| valuationPriceInterim | ReturnLegValuation | fpml-return-swaps-4-2.xsd |
| valuationProvider | ReportingRoles | fpml-valuation-4-2.xsd |
| valuationReference | Valuations | fpml-valuation-4-2.xsd |
| valuationRules | ReturnLegValuationPrice | fpml-return-swaps-4-2.xsd |
| valuations | Position | fpml-valuation-4-2.xsd |
| valuationScenario | PositionReport | fpml-reporting-4-2.xsd |
| valuationScenario | ValuationSet | fpml-valuation-4-2.xsd |
| valuationScenarioReference | SensitivityDefinition | fpml-riskdef-4-2.xsd |
| valuationScenarioReference | SensitivitySetDefinition | fpml-riskdef-4-2.xsd |
| valuationScenarioReference | Valuation | fpml-valuation-base-4-2.xsd |
| valuationScenarioReference | ValuationSet | fpml-valuation-4-2.xsd |
| valuationTime | CashSettlementTerms | fpml-cd-4-2.xsd |
| valuationTime | EquityValuation | fpml-eq-shared-4-2.xsd |
| valuationTimeType | EquityValuation | fpml-eq-shared-4-2.xsd |
| value | BasicQuotation | fpml-valuation-base-4-2.xsd |
| value | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| value | Quotation | fpml-valuation-4-2.xsd |
| valueDate | FxAverageRateOption | fpml-fx-4-2.xsd |
| valueDate | FxDigitalOption | fpml-fx-4-2.xsd |
| valueDate | FxLeg | fpml-fx-4-2.xsd |
| valueDate | FxOptionLeg | fpml-fx-4-2.xsd |
| variance | LegAmount | fpml-return-swaps-4-2.xsd |
| varianceAmount | Variance | fpml-return-swaps-4-2.xsd |
| varianceCap | Variance | fpml-return-swaps-4-2.xsd |
| varianceStrikePrice | Variance | fpml-return-swaps-4-2.xsd |
| varyingNotionalCurrency | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| varyingNotionalFixingDates | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| varyingNotionalInterimExchangePaymentDates | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| volatilityStrikePrice | Variance | fpml-return-swaps-4-2.xsd |
| weeklyRollConvention | ResetFrequency | fpml-shared-4-2.xsd |
| weekNumber | EquitySchedule | fpml-eq-shared-4-2.xsd |
| weight | WeightedPartialDerivative | fpml-riskdef-4-2.xsd |
| weightedPartial | DenominatorTerm | fpml-riskdef-4-2.xsd |
| zeroCouponYieldAdjustedMethod | CashSettlement | fpml-ird-4-2.xsd |
| zeroCurve | YieldCurveValuation | fpml-mktenv-4-2.xsd |
| Component | Contained In | File |
| AcceptQuote | fpml-pretrade-4-2.xsd | |
| Account | fpml-doc-4-2.xsd | |
| AccountId | fpml-doc-4-2.xsd | |
| ActualPrice | fpml-asset-4-2.xsd | |
| AdditionalData | fpml-msg-4-2.xsd | |
| AdditionalDisruptionEvents | fpml-eq-shared-4-2.xsd | |
| AdditionalPaymentAmount | fpml-return-swaps-4-2.xsd | |
| AdditionalTerm | fpml-cd-4-2.xsd | |
| Address | fpml-shared-4-2.xsd | |
| AdjustableDate | fpml-shared-4-2.xsd | |
| AdjustableDate2 | fpml-shared-4-2.xsd | |
| AdjustableDates | fpml-shared-4-2.xsd | |
| AdjustableOrRelativeDate | fpml-shared-4-2.xsd | |
| AdjustableOrRelativeDates | fpml-shared-4-2.xsd | |
| AdjustableRelativeOrPeriodicDates | fpml-shared-4-2.xsd | |
| AdjustedPaymentDates | fpml-cd-4-2.xsd | |
| AdjustedRelativeDateOffset | fpml-shared-4-2.xsd | |
| AffectedTransactions | fpml-posttrade-4-2.xsd | |
| AllegedNovationAgreement | fpml-posttrade-4-2.xsd | |
| Allocation | fpml-doc-4-2.xsd | |
| AllocationAmended | fpml-posttrade-4-2.xsd | |
| AllocationCancelled | fpml-posttrade-4-2.xsd | |
| AllocationCreated | fpml-posttrade-4-2.xsd | |
| Allocations | fpml-doc-4-2.xsd | |
| AllocationTradeIdentifier | fpml-doc-4-2.xsd | |
| Amendment | fpml-posttrade-4-2.xsd | |
| AmendmentConfirmed | fpml-posttrade-4-2.xsd | |
| AmericanExercise | fpml-shared-4-2.xsd | |
| AmountSchedule | fpml-shared-4-2.xsd | |
| Approval | fpml-doc-4-2.xsd | |
| Approvals | fpml-doc-4-2.xsd | |
| Asian | fpml-eq-shared-4-2.xsd | |
| AssetMeasureType | fpml-valuation-base-4-2.xsd | |
| AssetReference | fpml-mktenv-4-2.xsd | |
| AssetValuation | fpml-valuation-4-2.xsd | |
| AutomaticExercise | fpml-shared-4-2.xsd | |
| BankruptcyEvent | fpml-posttrade-4-2.xsd | |
| Barrier | fpml-eq-shared-4-2.xsd | |
| BasicAssetValuation | fpml-valuation-base-4-2.xsd | |
| BasicQuotation | fpml-valuation-base-4-2.xsd | |
| Basket | fpml-asset-4-2.xsd | |
| BasketConstituent | fpml-asset-4-2.xsd | |
| BermudaExercise | fpml-shared-4-2.xsd | |
| BestFitTrade | fpml-tradeexec-4-2.xsd | |
| BlockTradeIdentifier | fpml-doc-4-2.xsd | |
| Bond | fpml-asset-4-2.xsd | |
| BondReference | fpml-ird-4-2.xsd | |
| BrokerConfirmation | fpml-shared-4-2.xsd | |
| BrokerConfirmationType | fpml-shared-4-2.xsd | |
| BrokerEquityOption | fpml-eqd-4-2.xsd | |
| BulletPayment | fpml-ird-4-2.xsd | |
| BusinessCenter | fpml-shared-4-2.xsd | |
| BusinessCenters | fpml-shared-4-2.xsd | |
| BusinessCenterTime | fpml-shared-4-2.xsd | |
| BusinessDateRange | fpml-shared-4-2.xsd | |
| BusinessDayAdjustments | fpml-shared-4-2.xsd | |
| Calculation | fpml-ird-4-2.xsd | |
| CalculationAgent | fpml-shared-4-2.xsd | |
| CalculationPeriod | fpml-ird-4-2.xsd | |
| CalculationPeriodAmount | fpml-ird-4-2.xsd | |
| CalculationPeriodDates | fpml-ird-4-2.xsd | |
| CalculationPeriodFrequency | fpml-shared-4-2.xsd | |
| CalendarSpread | fpml-eqd-4-2.xsd | |
| CancelableProvision | fpml-ird-4-2.xsd | |
| CancelableProvisionAdjustedDates | fpml-ird-4-2.xsd | |
| CancellationEvent | fpml-ird-4-2.xsd | |
| CancelTradeConfirmation | fpml-tradeexec-4-2.xsd | |
| CancelTradeMatch | fpml-tradeexec-4-2.xsd | |
| CapFloor | fpml-ird-4-2.xsd | |
| Cash | fpml-asset-4-2.xsd | |
| Cashflows | fpml-ird-4-2.xsd | |
| CashFlowType | fpml-valuation-base-4-2.xsd | |
| CashPriceMethod | fpml-ird-4-2.xsd | |
| CashSettlement | fpml-ird-4-2.xsd | |
| CashSettlementPaymentDate | fpml-ird-4-2.xsd | |
| CashSettlementReferenceBanks | fpml-ird-4-2.xsd | |
| CashSettlementTerms | fpml-cd-4-2.xsd | |
| ClearanceSystem | fpml-shared-4-2.xsd | |
| Collateral | fpml-doc-4-2.xsd | |
| Commission | fpml-asset-4-2.xsd | |
| Composite | fpml-eq-shared-4-2.xsd | |
| CompoundingFrequency | fpml-mktenv-4-2.xsd | |
| ConfirmationCancelled | fpml-tradeexec-4-2.xsd | |
| ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd | |
| ConfirmTrade | fpml-tradeexec-4-2.xsd | |
| ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd | |
| ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd | |
| ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd | |
| ConstituentWeight | fpml-asset-4-2.xsd | |
| ContractualDefinitions | fpml-shared-4-2.xsd | |
| ContractualMatrix | fpml-shared-4-2.xsd | |
| ContractualSupplement | fpml-shared-4-2.xsd | |
| ConversationId | fpml-msg-4-2.xsd | |
| ConvertibleBond | fpml-asset-4-2.xsd | |
| Country | fpml-shared-4-2.xsd | |
| CouponType | fpml-asset-4-2.xsd | |
| CreditCurve | fpml-mktenv-4-2.xsd | |
| CreditCurveValuation | fpml-mktenv-4-2.xsd | |
| CreditDefaultSwap | fpml-cd-4-2.xsd | |
| CreditDerivativesNotices | fpml-posttrade-4-2.xsd | |
| CreditEvent | fpml-posttrade-4-2.xsd | |
| CreditEventNotice | fpml-cd-4-2.xsd | |
| CreditEventNoticeDocument | fpml-posttrade-4-2.xsd | |
| CreditEventNotification | fpml-posttrade-4-2.xsd | |
| CreditEvents | fpml-cd-4-2.xsd | |
| CreditSeniority | fpml-shared-4-2.xsd | |
| Currency | fpml-shared-4-2.xsd | |
| CutName | fpml-fx-4-2.xsd | |
| DataDocument | fpml-doc-4-2.xsd | |
| DateList | fpml-shared-4-2.xsd | |
| DateOffset | fpml-shared-4-2.xsd | |
| DateRange | fpml-shared-4-2.xsd | |
| DateRelativeToPaymentDates | fpml-ird-4-2.xsd | |
| DateTimeList | fpml-shared-4-2.xsd | |
| DayCountFraction | fpml-shared-4-2.xsd | |
| DefaultProbabilityCurve | fpml-mktenv-4-2.xsd | |
| DeliverableObligations | fpml-cd-4-2.xsd | |
| DenominatorTerm | fpml-riskdef-4-2.xsd | |
| Deposit | fpml-asset-4-2.xsd | |
| DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd | |
| DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd | |
| DeprecatedEquityLegValuationPrice | fpml-return-swaps-4-2.xsd | |
| DeprecatedEquityPaymentDates | fpml-return-swaps-4-2.xsd | |
| DerivativeCalculationMethod | fpml-riskdef-4-2.xsd | |
| DerivativeCalculationProcedure | fpml-riskdef-4-2.xsd | |
| DerivativeFormula | fpml-riskdef-4-2.xsd | |
| DerivedValuationScenario | fpml-valuation-4-2.xsd | |
| Discounting | fpml-ird-4-2.xsd | |
| DividendConditions | fpml-shared-4-2.xsd | |
| DividendPaymentDate | fpml-shared-4-2.xsd | |
| DividendPayout | fpml-asset-4-2.xsd | |
| Document | fpml-doc-4-2.xsd | |
| Documentation | fpml-shared-4-2.xsd | |
| EarlyTerminationEvent | fpml-ird-4-2.xsd | |
| EarlyTerminationProvision | fpml-ird-4-2.xsd | |
| Empty | fpml-shared-4-2.xsd | |
| EntityId | fpml-shared-4-2.xsd | |
| EntityName | fpml-shared-4-2.xsd | |
| EntityType | fpml-cd-4-2.xsd | |
| Equity | fpml-eq-shared-4-2.xsd | |
| EquityAmericanExercise | fpml-eqd-4-2.xsd | |
| EquityAsset | fpml-asset-4-2.xsd | |
| EquityAveragingPeriod | fpml-eq-shared-4-2.xsd | |
| EquityBermudaExercise | fpml-eqd-4-2.xsd | |
| EquityCorporateEvents | fpml-eq-shared-4-2.xsd | |
| EquityDerivativeBase | fpml-eqd-4-2.xsd | |
| EquityDerivativeLongFormBase | fpml-eqd-4-2.xsd | |
| EquityDerivativeShortFormBase | fpml-eqd-4-2.xsd | |
| EquityEuropeanExercise | fpml-eqd-4-2.xsd | |
| EquityExercise | fpml-eqd-4-2.xsd | |
| EquityForward | fpml-eqd-4-2.xsd | |
| EquityMultipleExercise | fpml-eqd-4-2.xsd | |
| EquityOption | fpml-eqd-4-2.xsd | |
| EquityOptionTermination | fpml-eqd-4-2.xsd | |
| EquityOptionTransactionSupplement | fpml-eqd-4-2.xsd | |
| EquityPremium | fpml-eqd-4-2.xsd | |
| EquitySchedule | fpml-eq-shared-4-2.xsd | |
| EquityStrike | fpml-eqd-4-2.xsd | |
| EquitySwapTransactionSupplement | fpml-return-swaps-4-2.xsd | |
| EquityValuation | fpml-eq-shared-4-2.xsd | |
| EquityValuationDate | fpml-eq-shared-4-2.xsd | |
| EuropeanExercise | fpml-shared-4-2.xsd | |
| Event | fpml-doc-4-2.xsd | |
| EventId | fpml-doc-4-2.xsd | |
| ExchangeId | fpml-shared-4-2.xsd | |
| ExchangeRate | fpml-fx-4-2.xsd | |
| ExchangeTradedContract | fpml-asset-4-2.xsd | |
| ExchangeTradedFund | fpml-asset-4-2.xsd | |
| Exercise | fpml-shared-4-2.xsd | |
| ExerciseEvent | fpml-ird-4-2.xsd | |
| ExerciseFee | fpml-shared-4-2.xsd | |
| ExerciseFeeSchedule | fpml-shared-4-2.xsd | |
| ExerciseNotice | fpml-shared-4-2.xsd | |
| ExercisePeriod | fpml-ird-4-2.xsd | |
| ExerciseProcedure | fpml-shared-4-2.xsd | |
| ExpiryDateTime | fpml-fx-4-2.xsd | |
| ExtendibleProvision | fpml-ird-4-2.xsd | |
| ExtendibleProvisionAdjustedDates | fpml-ird-4-2.xsd | |
| ExtensionEvent | fpml-ird-4-2.xsd | |
| ExtraordinaryEvents | fpml-eq-shared-4-2.xsd | |
| FailureToPay | fpml-cd-4-2.xsd | |
| FailureToPayEvent | fpml-posttrade-4-2.xsd | |
| FeaturePayment | fpml-eq-shared-4-2.xsd | |
| FeeLeg | fpml-cd-4-2.xsd | |
| FirstPeriodStartDate | fpml-posttrade-4-2.xsd | |
| FixedAmountCalculation | fpml-cd-4-2.xsd | |
| FloatingRate | fpml-shared-4-2.xsd | |
| FloatingRateCalculation | fpml-shared-4-2.xsd | |
| FloatingRateDefinition | fpml-ird-4-2.xsd | |
| FloatingRateIndex | fpml-shared-4-2.xsd | |
| ForecastRateIndex | fpml-shared-4-2.xsd | |
| Formula | fpml-return-swaps-4-2.xsd | |
| FormulaComponent | fpml-return-swaps-4-2.xsd | |
| FormulaTerm | fpml-riskdef-4-2.xsd | |
| ForwardRateCurve | fpml-mktenv-4-2.xsd | |
| Fra | fpml-ird-4-2.xsd | |
| Future | fpml-asset-4-2.xsd | |
| FutureId | fpml-asset-4-2.xsd | |
| FxAmericanTrigger | fpml-fx-4-2.xsd | |
| FxAverageRateObservationDate | fpml-fx-4-2.xsd | |
| FxAverageRateObservationSchedule | fpml-fx-4-2.xsd | |
| FxAverageRateOption | fpml-fx-4-2.xsd | |
| FxBarrier | fpml-fx-4-2.xsd | |
| FxBarrierOption | fpml-fx-4-2.xsd | |
| FxCashSettlement | fpml-shared-4-2.xsd | |
| FxConversion | fpml-asset-4-2.xsd | |
| FxCurve | fpml-mktenv-4-2.xsd | |
| FxCurveValuation | fpml-mktenv-4-2.xsd | |
| FxDigitalOption | fpml-fx-4-2.xsd | |
| FxEuropeanTrigger | fpml-fx-4-2.xsd | |
| FxFeature | fpml-eq-shared-4-2.xsd | |
| FxFixing | fpml-shared-4-2.xsd | |
| FxFixingDate | fpml-ird-4-2.xsd | |
| FxLeg | fpml-fx-4-2.xsd | |
| FxLinkedNotionalAmount | fpml-ird-4-2.xsd | |
| FxLinkedNotionalSchedule | fpml-ird-4-2.xsd | |
| FxOptionLeg | fpml-fx-4-2.xsd | |
| FxOptionPayout | fpml-fx-4-2.xsd | |
| FxOptionPremium | fpml-fx-4-2.xsd | |
| FxRate | fpml-shared-4-2.xsd | |
| FxRateAsset | fpml-asset-4-2.xsd | |
| FxRateSet | fpml-mktenv-4-2.xsd | |
| FxSpotRateSource | fpml-shared-4-2.xsd | |
| FxStrikePrice | fpml-fx-4-2.xsd | |
| FxSwap | fpml-fx-4-2.xsd | |
| GeneralTerms | fpml-cd-4-2.xsd | |
| GenericDimension | fpml-mktenv-4-2.xsd | |
| GoverningLaw | fpml-shared-4-2.xsd | |
| GracePeriodExtension | fpml-cd-4-2.xsd | |
| IdentifiedCurrency | fpml-shared-4-2.xsd | |
| IdentifiedDate | fpml-shared-4-2.xsd | |
| IdentifiedPayerReceiver | fpml-shared-4-2.xsd | |
| Increase | fpml-posttrade-4-2.xsd | |
| IncreaseConfirmed | fpml-posttrade-4-2.xsd | |
| IndependentAmount | fpml-doc-4-2.xsd | |
| Index | fpml-asset-4-2.xsd | |
| IndexAdjustmentEvents | fpml-eq-shared-4-2.xsd | |
| IndexAnnexSource | fpml-cd-4-2.xsd | |
| IndexId | fpml-cd-4-2.xsd | |
| IndexName | fpml-cd-4-2.xsd | |
| IndexReferenceInformation | fpml-cd-4-2.xsd | |
| InflationRateCalculation | fpml-ird-4-2.xsd | |
| InformationProvider | fpml-shared-4-2.xsd | |
| InformationSource | fpml-shared-4-2.xsd | |
| InitialPayment | fpml-cd-4-2.xsd | |
| InstrumentId | fpml-shared-4-2.xsd | |
| InstrumentSet | fpml-mktenv-4-2.xsd | |
| InterestAccrualsCompoundingMethod | fpml-shared-4-2.xsd | |
| InterestAccrualsMethod | fpml-shared-4-2.xsd | |
| InterestCalculation | fpml-return-swaps-4-2.xsd | |
| InterestLeg | fpml-return-swaps-4-2.xsd | |
| InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd | |
| InterestLegResetDates | fpml-return-swaps-4-2.xsd | |
| InterestRateStream | fpml-ird-4-2.xsd | |
| IntermediaryInformation | fpml-shared-4-2.xsd | |
| InterpolationMethod | fpml-mktenv-4-2.xsd | |
| Interval | fpml-shared-4-2.xsd | |
| Knock | fpml-eq-shared-4-2.xsd | |
| Language | fpml-posttrade-4-2.xsd | |
| LegalEntity | fpml-shared-4-2.xsd | |
| LegAmount | fpml-return-swaps-4-2.xsd | |
| LinkId | fpml-doc-4-2.xsd | |
| LoanParticipation | fpml-cd-4-2.xsd | |
| MainPublication | fpml-ird-4-2.xsd | |
| MakeWholeProvisions | fpml-eq-shared-4-2.xsd | |
| MandatoryEarlyTermination | fpml-ird-4-2.xsd | |
| MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd | |
| ManualExercise | fpml-shared-4-2.xsd | |
| Market | fpml-mktenv-4-2.xsd | |
| MarketDisruption | fpml-eq-shared-4-2.xsd | |
| MasterAgreement | fpml-shared-4-2.xsd | |
| MasterAgreementType | fpml-shared-4-2.xsd | |
| MasterConfirmation | fpml-shared-4-2.xsd | |
| MasterConfirmationType | fpml-shared-4-2.xsd | |
| MatchedNovationAgreement | fpml-posttrade-4-2.xsd | |
| Math | fpml-return-swaps-4-2.xsd | |
| MatrixTerm | fpml-shared-4-2.xsd | |
| MatrixType | fpml-shared-4-2.xsd | |
| Message | fpml-msg-4-2.xsd | |
| MessageHeader | fpml-msg-4-2.xsd | |
| MessageId | fpml-msg-4-2.xsd | |
| MessageRejected | fpml-msg-4-2.xsd | |
| MimeType | fpml-posttrade-4-2.xsd | |
| ModifyTradeConfirmation | fpml-tradeexec-4-2.xsd | |
| ModifyTradeMatch | fpml-tradeexec-4-2.xsd | |
| Money | fpml-shared-4-2.xsd | |
| MultiDimensionalPricingData | fpml-mktenv-4-2.xsd | |
| MultipleExercise | fpml-shared-4-2.xsd | |
| MultipleValuationDates | fpml-cd-4-2.xsd | |
| MutualFund | fpml-asset-4-2.xsd | |
| NonDeliverableSettlement | fpml-ird-4-2.xsd | |
| NotDomesticCurrency | fpml-cd-4-2.xsd | |
| NotificationMessage | fpml-msg-4-2.xsd | |
| NotificationMessageHeader | fpml-msg-4-2.xsd | |
| NotifyingParty | fpml-cd-4-2.xsd | |
| Notional | fpml-ird-4-2.xsd | |
| NotionalStepRule | fpml-ird-4-2.xsd | |
| NovateTrade | fpml-posttrade-4-2.xsd | |
| NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd | |
| Novation | fpml-posttrade-4-2.xsd | |
| NovationAlleged | fpml-posttrade-4-2.xsd | |
| NovationConfirmed | fpml-posttrade-4-2.xsd | |
| NovationConsentGranted | fpml-posttrade-4-2.xsd | |
| NovationConsentRefused | fpml-posttrade-4-2.xsd | |
| NovationConsentRequest | fpml-posttrade-4-2.xsd | |
| NovationMatched | fpml-posttrade-4-2.xsd | |
| NovationStatusNotification | fpml-posttrade-4-2.xsd | |
| ObligationAccelerationEvent | fpml-posttrade-4-2.xsd | |
| ObligationDefaultEvent | fpml-posttrade-4-2.xsd | |
| Obligations | fpml-cd-4-2.xsd | |
| ObservedRates | fpml-fx-4-2.xsd | |
| Offset | fpml-shared-4-2.xsd | |
| OptionalEarlyTermination | fpml-ird-4-2.xsd | |
| OptionalEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd | |
| OptionFeatures | fpml-eq-shared-4-2.xsd | |
| ParametricAdjustment | fpml-mktenv-4-2.xsd | |
| ParametricAdjustmentPoint | fpml-mktenv-4-2.xsd | |
| PartialExercise | fpml-shared-4-2.xsd | |
| PartialTerminationAmount | fpml-posttrade-4-2.xsd | |
| Party | fpml-doc-4-2.xsd | |
| PartyId | fpml-doc-4-2.xsd | |
| PartyMessageInformation | fpml-msg-4-2.xsd | |
| PartyPortfolioName | fpml-doc-4-2.xsd | |
| PartyRole | fpml-doc-4-2.xsd | |
| PartyTradeIdentifier | fpml-doc-4-2.xsd | |
| PartyTradeIdentifiers | fpml-doc-4-2.xsd | |
| PartyTradeInformation | fpml-doc-4-2.xsd | |
| PassThrough | fpml-eq-shared-4-2.xsd | |
| PassThroughItem | fpml-eq-shared-4-2.xsd | |
| Payment | fpml-shared-4-2.xsd | |
| PaymentCalculationPeriod | fpml-ird-4-2.xsd | |
| PaymentCurrency | fpml-shared-4-2.xsd | |
| PaymentDates | fpml-ird-4-2.xsd | |
| PaymentDetail | fpml-doc-4-2.xsd | |
| PaymentRule | fpml-doc-4-2.xsd | |
| PaymentType | fpml-shared-4-2.xsd | |
| PCDeliverableObligationCharac | fpml-cd-4-2.xsd | |
| PendingPayment | fpml-asset-4-2.xsd | |
| PercentageRule | fpml-doc-4-2.xsd | |
| PeriodicDates | fpml-shared-4-2.xsd | |
| PeriodicPayment | fpml-cd-4-2.xsd | |
| PerturbationType | fpml-riskdef-4-2.xsd | |
| PhysicalSettlementPeriod | fpml-cd-4-2.xsd | |
| PhysicalSettlementTerms | fpml-cd-4-2.xsd | |
| Portfolio | fpml-doc-4-2.xsd | |
| PortfolioName | fpml-doc-4-2.xsd | |
| PortfolioValuationItem | fpml-reporting-4-2.xsd | |
| Position | fpml-valuation-4-2.xsd | |
| PositionConstituent | fpml-valuation-4-2.xsd | |
| PositionReport | fpml-reporting-4-2.xsd | |
| PremiumQuote | fpml-fx-4-2.xsd | |
| PrePayment | fpml-eqd-4-2.xsd | |
| Price | fpml-asset-4-2.xsd | |
| PriceQuoteUnits | fpml-valuation-base-4-2.xsd | |
| PricingDataPointCoordinate | fpml-mktenv-4-2.xsd | |
| PricingInputReplacement | fpml-valuation-4-2.xsd | |
| PricingInputType | fpml-mktenv-4-2.xsd | |
| PricingMethod | fpml-mktenv-4-2.xsd | |
| PricingParameterDerivative | fpml-riskdef-4-2.xsd | |
| PricingParameterShift | fpml-riskdef-4-2.xsd | |
| PricingStructure | fpml-mktenv-4-2.xsd | |
| PricingStructurePoint | fpml-mktenv-4-2.xsd | |
| PricingStructureValuation | fpml-mktenv-4-2.xsd | |
| PrincipalExchange | fpml-ird-4-2.xsd | |
| PrincipalExchangeAmount | fpml-return-swaps-4-2.xsd | |
| PrincipalExchangeDescriptions | fpml-return-swaps-4-2.xsd | |
| PrincipalExchangeFeatures | fpml-return-swaps-4-2.xsd | |
| PrincipalExchanges | fpml-shared-4-2.xsd | |
| Product | fpml-shared-4-2.xsd | |
| ProductId | fpml-shared-4-2.xsd | |
| ProductType | fpml-shared-4-2.xsd | |
| ProtectionTerms | fpml-cd-4-2.xsd | |
| PubliclyAvailableInformation | fpml-cd-4-2.xsd | |
| Quanto | fpml-eq-shared-4-2.xsd | |
| QueryParameter | fpml-doc-4-2.xsd | |
| QueryParameterId | fpml-doc-4-2.xsd | |
| QueryParameterOperator | fpml-doc-4-2.xsd | |
| QueryPortfolio | fpml-doc-4-2.xsd | |
| QuotableFxLeg | fpml-pretrade-4-2.xsd | |
| QuotableFxRate | fpml-pretrade-4-2.xsd | |
| QuotablePayment | fpml-pretrade-4-2.xsd | |
| QuotableProduct | fpml-pretrade-4-2.xsd | |
| Quotation | fpml-valuation-4-2.xsd | |
| QuotationCharacteristics | fpml-valuation-base-4-2.xsd | |
| QuoteAcceptanceConfirmed | fpml-pretrade-4-2.xsd | |
| QuoteAlreadyExpired | fpml-pretrade-4-2.xsd | |
| QuotedAs | fpml-fx-4-2.xsd | |
| QuotedAssetSet | fpml-mktenv-4-2.xsd | |
| QuotedCurrencyPair | fpml-shared-4-2.xsd | |
| QuoteTiming | fpml-valuation-base-4-2.xsd | |
| QuoteUpdated | fpml-pretrade-4-2.xsd | |
| RateIndex | fpml-asset-4-2.xsd | |
| RateObservation | fpml-shared-4-2.xsd | |
| RateSourcePage | fpml-shared-4-2.xsd | |
| Reason | fpml-msg-4-2.xsd | |
| Reference | fpml-shared-4-2.xsd | |
| ReferenceAmount | fpml-shared-4-2.xsd | |
| ReferenceBank | fpml-shared-4-2.xsd | |
| ReferenceBankId | fpml-shared-4-2.xsd | |
| ReferenceInformation | fpml-cd-4-2.xsd | |
| ReferenceObligation | fpml-cd-4-2.xsd | |
| ReferencePair | fpml-cd-4-2.xsd | |
| ReferencePoolItem | fpml-cd-4-2.xsd | |
| RelativeDateOffset | fpml-shared-4-2.xsd | |
| RelativeDates | fpml-shared-4-2.xsd | |
| RelativeDateSequence | fpml-shared-4-2.xsd | |
| ReportingRoles | fpml-valuation-4-2.xsd | |
| Representations | fpml-eq-shared-4-2.xsd | |
| RepudiationMoratoriumEvent | fpml-posttrade-4-2.xsd | |
| RequestAllocation | fpml-posttrade-4-2.xsd | |
| RequestAmendmentConfirmation | fpml-posttrade-4-2.xsd | |
| RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd | |
| RequestIncreaseConfirmation | fpml-posttrade-4-2.xsd | |
| RequestMessage | fpml-msg-4-2.xsd | |
| RequestMessageHeader | fpml-msg-4-2.xsd | |
| RequestNovationConfirmation | fpml-posttrade-4-2.xsd | |
| RequestQuote | fpml-pretrade-4-2.xsd | |
| RequestQuoteResponse | fpml-pretrade-4-2.xsd | |
| RequestTerminationConfirmation | fpml-posttrade-4-2.xsd | |
| RequestTradeConfirmation | fpml-tradeexec-4-2.xsd | |
| RequestTradeMatch | fpml-tradeexec-4-2.xsd | |
| RequestTradeStatus | fpml-msg-4-2.xsd | |
| RequestValuationReport | fpml-reporting-4-2.xsd | |
| RequiredIdentifierDate | fpml-shared-4-2.xsd | |
| ResetDates | fpml-ird-4-2.xsd | |
| ResetFrequency | fpml-shared-4-2.xsd | |
| Resource | fpml-posttrade-4-2.xsd | |
| ResourceId | fpml-posttrade-4-2.xsd | |
| ResourceLength | fpml-posttrade-4-2.xsd | |
| ResponseMessage | fpml-msg-4-2.xsd | |
| ResponseMessageHeader | fpml-msg-4-2.xsd | |
| Restructuring | fpml-cd-4-2.xsd | |
| RestructuringEvent | fpml-posttrade-4-2.xsd | |
| RestructuringType | fpml-cd-4-2.xsd | |
| Return | fpml-return-swaps-4-2.xsd | |
| ReturnLeg | fpml-return-swaps-4-2.xsd | |
| ReturnLegValuation | fpml-return-swaps-4-2.xsd | |
| ReturnLegValuationPrice | fpml-return-swaps-4-2.xsd | |
| ReturnSwap | fpml-return-swaps-4-2.xsd | |
| ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd | |
| ReturnSwapAmount | fpml-return-swaps-4-2.xsd | |
| ReturnSwapBase | fpml-return-swaps-4-2.xsd | |
| ReturnSwapEarlyTermination | fpml-return-swaps-4-2.xsd | |
| ReturnSwapLeg | fpml-return-swaps-4-2.xsd | |
| ReturnSwapNotional | fpml-return-swaps-4-2.xsd | |
| ReturnSwapPaymentDates | fpml-return-swaps-4-2.xsd | |
| Rounding | fpml-shared-4-2.xsd | |
| Routing | fpml-shared-4-2.xsd | |
| RoutingExplicitDetails | fpml-shared-4-2.xsd | |
| RoutingId | fpml-shared-4-2.xsd | |
| RoutingIds | fpml-shared-4-2.xsd | |
| RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd | |
| Schedule | fpml-shared-4-2.xsd | |
| ScheduledDate | fpml-valuation-4-2.xsd | |
| ScheduledDates | fpml-valuation-4-2.xsd | |
| ScheduledDateType | fpml-valuation-4-2.xsd | |
| ScheduledTerminationDate | fpml-cd-4-2.xsd | |
| Sensitivity | fpml-valuation-4-2.xsd | |
| SensitivityDefinition | fpml-riskdef-4-2.xsd | |
| SensitivitySet | fpml-valuation-4-2.xsd | |
| SensitivitySetDefinition | fpml-riskdef-4-2.xsd | |
| SettlementInformation | fpml-shared-4-2.xsd | |
| SettlementInstruction | fpml-shared-4-2.xsd | |
| SettlementMethod | fpml-shared-4-2.xsd | |
| SettlementPriceSource | fpml-shared-4-2.xsd | |
| SettlementProvision | fpml-ird-4-2.xsd | |
| SettlementRateOption | fpml-ird-4-2.xsd | |
| SettlementRateSource | fpml-ird-4-2.xsd | |
| SettlementTerms | fpml-cd-4-2.xsd | |
| SharedAmericanExercise | fpml-shared-4-2.xsd | |
| SideRate | fpml-fx-4-2.xsd | |
| SideRates | fpml-fx-4-2.xsd | |
| SimpleCreditDefaultSwap | fpml-asset-4-2.xsd | |
| SimpleFra | fpml-asset-4-2.xsd | |
| SimpleIRSwap | fpml-asset-4-2.xsd | |
| SinglePartyOption | fpml-ird-4-2.xsd | |
| SinglePayment | fpml-cd-4-2.xsd | |
| SingleUnderlyer | fpml-asset-4-2.xsd | |
| SingleValuationDate | fpml-cd-4-2.xsd | |
| SpecifiedCurrency | fpml-cd-4-2.xsd | |
| SplitSettlement | fpml-shared-4-2.xsd | |
| StartingDate | fpml-return-swaps-4-2.xsd | |
| StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd | |
| Step | fpml-shared-4-2.xsd | |
| Strategy | fpml-doc-4-2.xsd | |
| StrategyFeature | fpml-eqd-4-2.xsd | |
| StreetAddress | fpml-shared-4-2.xsd | |
| Strike | fpml-shared-4-2.xsd | |
| StrikeSchedule | fpml-shared-4-2.xsd | |
| StrikeSpread | fpml-eqd-4-2.xsd | |
| Stub | fpml-ird-4-2.xsd | |
| StubCalculationPeriod | fpml-return-swaps-4-2.xsd | |
| StubCalculationPeriodAmount | fpml-ird-4-2.xsd | |
| Swap | fpml-ird-4-2.xsd | |
| SwapAdditionalTerms | fpml-ird-4-2.xsd | |
| Swaption | fpml-ird-4-2.xsd | |
| SwaptionAdjustedDates | fpml-ird-4-2.xsd | |
| TermCurve | fpml-mktenv-4-2.xsd | |
| TermDeposit | fpml-fx-4-2.xsd | |
| Termination | fpml-posttrade-4-2.xsd | |
| TerminationConfirmed | fpml-posttrade-4-2.xsd | |
| TermPoint | fpml-mktenv-4-2.xsd | |
| TimeDimension | fpml-mktenv-4-2.xsd | |
| Trade | fpml-doc-4-2.xsd | |
| TradeAffirmation | fpml-tradeexec-4-2.xsd | |
| TradeAffirmed | fpml-tradeexec-4-2.xsd | |
| TradeAlleged | fpml-tradeexec-4-2.xsd | |
| TradeAlreadyMatched | fpml-tradeexec-4-2.xsd | |
| TradeAlreadySubmitted | fpml-tradeexec-4-2.xsd | |
| TradeAmended | fpml-posttrade-4-2.xsd | |
| TradeAmendment | fpml-posttrade-4-2.xsd | |
| TradeAmendmentRequest | fpml-posttrade-4-2.xsd | |
| TradeAmendmentResponse | fpml-posttrade-4-2.xsd | |
| TradeCancelled | fpml-posttrade-4-2.xsd | |
| TradeConfirmed | fpml-tradeexec-4-2.xsd | |
| TradeCreated | fpml-posttrade-4-2.xsd | |
| TradeDifference | fpml-tradeexec-4-2.xsd | |
| TradeHeader | fpml-doc-4-2.xsd | |
| TradeId | fpml-doc-4-2.xsd | |
| TradeIdentifier | fpml-doc-4-2.xsd | |
| TradeIncreaseRequest | fpml-posttrade-4-2.xsd | |
| TradeIncreaseResponse | fpml-posttrade-4-2.xsd | |
| TradeMatched | fpml-tradeexec-4-2.xsd | |
| TradeMismatched | fpml-tradeexec-4-2.xsd | |
| TradeNotFound | fpml-msg-4-2.xsd | |
| TradeNovated | fpml-posttrade-4-2.xsd | |
| TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd | |
| Trader | fpml-doc-4-2.xsd | |
| TradeSide | fpml-doc-4-2.xsd | |
| TradeStatus | fpml-msg-4-2.xsd | |
| TradeStatusItem | fpml-msg-4-2.xsd | |
| TradeStatusValue | fpml-msg-4-2.xsd | |
| TradeTerminationRequest | fpml-posttrade-4-2.xsd | |
| TradeTerminationResponse | fpml-posttrade-4-2.xsd | |
| TradeUnmatched | fpml-tradeexec-4-2.xsd | |
| TradeValuationItem | fpml-reporting-4-2.xsd | |
| Trigger | fpml-eq-shared-4-2.xsd | |
| TriggerEvent | fpml-eq-shared-4-2.xsd | |
| Underlyer | fpml-asset-4-2.xsd | |
| UnderlyingAsset | fpml-asset-4-2.xsd | |
| Validation | fpml-doc-4-2.xsd | |
| Valuation | fpml-valuation-base-4-2.xsd | |
| ValuationDate | fpml-cd-4-2.xsd | |
| ValuationDocument | fpml-main-4-2.xsd | |
| ValuationReport | fpml-reporting-4-2.xsd | |
| Valuations | fpml-valuation-4-2.xsd | |
| ValuationScenario | fpml-valuation-4-2.xsd | |
| ValuationSet | fpml-valuation-4-2.xsd | |
| ValuationSetDetail | fpml-valuation-4-2.xsd | |
| Variance | fpml-return-swaps-4-2.xsd | |
| VarianceAmount | fpml-return-swaps-4-2.xsd | |
| VarianceLeg | fpml-return-swaps-4-2.xsd | |
| VolatilityMatrix | fpml-mktenv-4-2.xsd | |
| VolatilityRepresentation | fpml-mktenv-4-2.xsd | |
| WeightedPartialDerivative | fpml-riskdef-4-2.xsd | |
| YieldCurve | fpml-mktenv-4-2.xsd | |
| YieldCurveMethod | fpml-ird-4-2.xsd | |
| YieldCurveValuation | fpml-mktenv-4-2.xsd | |
| ZeroRateCurve | fpml-mktenv-4-2.xsd |
| Component | Contained In | File |
| floatingRateCalculation | fpml-ird-4-2.xsd | |
| fxAverageRateOption | fpml-fx-4-2.xsd | |
| fxRate | fpml-asset-4-2.xsd | |
| inflationRateCalculation | fpml-ird-4-2.xsd | |
| rateCalculation | fpml-ird-4-2.xsd | |
| rateIndex | fpml-asset-4-2.xsd | |
| strategy | fpml-doc-4-2.xsd |
| Component | Contained In | File |
| acceleratedOrMatured | DeliverableObligations | fpml-cd-4-2.xsd |
| additionalPaymentAmount | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| amount | ActualPrice | fpml-asset-4-2.xsd |
| amount | FeaturePayment | fpml-eq-shared-4-2.xsd |
| amount | Money | fpml-shared-4-2.xsd |
| amount | PendingPayment | fpml-asset-4-2.xsd |
| amount | ReturnLeg | fpml-return-swaps-4-2.xsd |
| amountRelativeTo | FxConversion | fpml-asset-4-2.xsd |
| amountRelativeTo | Price | fpml-asset-4-2.xsd |
| amountRelativeTo | PrincipalExchangeAmount | fpml-return-swaps-4-2.xsd |
| amountRelativeTo | ReturnSwapNotional | fpml-return-swaps-4-2.xsd |
| averageRateObservationDate | FxAverageRateOption | fpml-fx-4-2.xsd |
| averageRateObservationSchedule | FxAverageRateOption | fpml-fx-4-2.xsd |
| averageRateQuoteBasis | FxAverageRateOption | fpml-fx-4-2.xsd |
| averageRateWeightingFactor | FxAverageRateObservationDate | fpml-fx-4-2.xsd |
| basketAmount | ConstituentWeight | fpml-asset-4-2.xsd |
| calculatedRate | FloatingRateDefinition | fpml-ird-4-2.xsd |
| calculationAmount | FixedAmountCalculation | fpml-cd-4-2.xsd |
| calculationAmount | ProtectionTerms | fpml-cd-4-2.xsd |
| calculationPeriodAmount | InterestRateStream | fpml-ird-4-2.xsd |
| callCurrencyAmount | FxAverageRateOption | fpml-fx-4-2.xsd |
| callCurrencyAmount | FxOptionLeg | fpml-fx-4-2.xsd |
| capRate | FloatingRateDefinition | fpml-ird-4-2.xsd |
| capRateSchedule | FloatingRate | fpml-shared-4-2.xsd |
| cashSettlementAmount | CashSettlementTerms | fpml-cd-4-2.xsd |
| commissionAmount | Commission | fpml-asset-4-2.xsd |
| couponRate | Bond | fpml-asset-4-2.xsd |
| creditChargeAmount | Allocation | fpml-doc-4-2.xsd |
| currency1SideRate | SideRates | fpml-fx-4-2.xsd |
| currency2SideRate | SideRates | fpml-fx-4-2.xsd |
| decreaseInNotionalAmount | PartialTerminationAmount | fpml-posttrade-4-2.xsd |
| discountRate | Discounting | fpml-ird-4-2.xsd |
| discountRateDayCountFraction | Discounting | fpml-ird-4-2.xsd |
| dividendAmount | DividendConditions | fpml-shared-4-2.xsd |
| equityAmount | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| equityAmount | VarianceLeg | fpml-return-swaps-4-2.xsd |
| excessDividendAmount | DividendConditions | fpml-shared-4-2.xsd |
| exchangeRate | FxLeg | fpml-fx-4-2.xsd |
| exchangeRate | QuotableFxLeg | fpml-pretrade-4-2.xsd |
| faceAmount | Bond | fpml-asset-4-2.xsd |
| feeAmount | ExerciseFee | fpml-shared-4-2.xsd |
| feeAmountSchedule | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| feeRate | ExerciseFee | fpml-shared-4-2.xsd |
| feeRateSchedule | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| finalRateRounding | FloatingRateCalculation | fpml-shared-4-2.xsd |
| fixedAmount | PeriodicPayment | fpml-cd-4-2.xsd |
| fixedAmount | SinglePayment | fpml-cd-4-2.xsd |
| fixedAmountCalculation | PeriodicPayment | fpml-cd-4-2.xsd |
| fixedPaymentAmount | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| fixedRate | CalculationPeriod | fpml-ird-4-2.xsd |
| fixedRate | FixedAmountCalculation | fpml-cd-4-2.xsd |
| fixedRate | Fra | fpml-ird-4-2.xsd |
| fixedRate | InterestAccrualsMethod | fpml-shared-4-2.xsd |
| fixedRate | TermDeposit | fpml-fx-4-2.xsd |
| fixedRateSchedule | Calculation | fpml-ird-4-2.xsd |
| floatingRate | Stub | fpml-ird-4-2.xsd |
| floatingRateCalculation | InterestAccrualsMethod | fpml-shared-4-2.xsd |
| floatingRateDefinition | CalculationPeriod | fpml-ird-4-2.xsd |
| floatingRateIndex | FloatingRate | fpml-shared-4-2.xsd |
| floatingRateIndex | ForecastRateIndex | fpml-shared-4-2.xsd |
| floatingRateIndex | Fra | fpml-ird-4-2.xsd |
| floatingRateIndex | RateIndex | fpml-asset-4-2.xsd |
| floatingRateMultiplier | FloatingRateDefinition | fpml-ird-4-2.xsd |
| floatingRateMultiplierSchedule | FloatingRate | fpml-shared-4-2.xsd |
| floorRate | FloatingRateDefinition | fpml-ird-4-2.xsd |
| floorRateSchedule | FloatingRate | fpml-shared-4-2.xsd |
| forecastAmount | CalculationPeriod | fpml-ird-4-2.xsd |
| forecastPaymentAmount | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| forecastRate | CalculationPeriod | fpml-ird-4-2.xsd |
| forecastRate | RateObservation | fpml-shared-4-2.xsd |
| forecastRateIndex | YieldCurve | fpml-mktenv-4-2.xsd |
| fxLinkedNotionalAmount | CalculationPeriod | fpml-ird-4-2.xsd |
| fxRate | AssetValuation | fpml-valuation-4-2.xsd |
| fxRate | Commission | fpml-asset-4-2.xsd |
| fxRate | FxConversion | fpml-asset-4-2.xsd |
| fxRate | Quanto | fpml-eq-shared-4-2.xsd |
| fxSpotRateSource | Composite | fpml-eq-shared-4-2.xsd |
| fxSpotRateSource | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| fxSpotRateSource | Quanto | fpml-eq-shared-4-2.xsd |
| increaseInNotionalAmount | Increase | fpml-posttrade-4-2.xsd |
| independentAmount | Collateral | fpml-doc-4-2.xsd |
| initialRate | FloatingRateCalculation | fpml-shared-4-2.xsd |
| integralMultipleAmount | PartialExercise | fpml-shared-4-2.xsd |
| interestAmount | InterestLeg | fpml-return-swaps-4-2.xsd |
| knownAmountSchedule | CalculationPeriodAmount | fpml-ird-4-2.xsd |
| marketFixedRate | FeeLeg | fpml-cd-4-2.xsd |
| maximumNotionalAmount | MultipleExercise | fpml-shared-4-2.xsd |
| minimumNotionalAmount | PartialExercise | fpml-shared-4-2.xsd |
| minimumQuotationAmount | CashSettlementTerms | fpml-cd-4-2.xsd |
| negativeInterestRateTreatment | FloatingRateCalculation | fpml-shared-4-2.xsd |
| notionalAmount | CalculationPeriod | fpml-ird-4-2.xsd |
| notionalAmount | FxLinkedNotionalAmount | fpml-ird-4-2.xsd |
| notionalAmount | ReturnSwapNotional | fpml-return-swaps-4-2.xsd |
| notionalAmountReference | PercentageRule | fpml-doc-4-2.xsd |
| notionalStepAmount | NotionalStepRule | fpml-ird-4-2.xsd |
| notionalStepRate | NotionalStepRule | fpml-ird-4-2.xsd |
| novatedAmount | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | Novation | fpml-posttrade-4-2.xsd |
| novatedAmount | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedAmount | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| observedFxSpotRate | FxLinkedNotionalAmount | fpml-ird-4-2.xsd |
| observedRate | ObservedRates | fpml-fx-4-2.xsd |
| observedRate | RateObservation | fpml-shared-4-2.xsd |
| observedRates | FxAverageRateOption | fpml-fx-4-2.xsd |
| outstandingNotionalAmount | Increase | fpml-posttrade-4-2.xsd |
| outstandingNotionalAmount | PartialTerminationAmount | fpml-posttrade-4-2.xsd |
| partialExerciseAmount | RestructuringEvent | fpml-posttrade-4-2.xsd |
| paymentAmount | AdditionalPaymentAmount | fpml-return-swaps-4-2.xsd |
| paymentAmount | AdjustedPaymentDates | fpml-cd-4-2.xsd |
| paymentAmount | EquityPremium | fpml-eqd-4-2.xsd |
| paymentAmount | InitialPayment | fpml-cd-4-2.xsd |
| paymentAmount | Payment | fpml-shared-4-2.xsd |
| paymentAmount | PaymentDetail | fpml-doc-4-2.xsd |
| paymentAmount | PaymentDetail | fpml-doc-4-2.xsd |
| paymentAmount | QuotablePayment | fpml-pretrade-4-2.xsd |
| perturbationAmount | DerivativeCalculationProcedure | fpml-riskdef-4-2.xsd |
| premiumAmount | FxOptionPremium | fpml-fx-4-2.xsd |
| prePaymentAmount | PrePayment | fpml-eqd-4-2.xsd |
| presentValueAmount | Payment | fpml-shared-4-2.xsd |
| presentValueAmount | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| presentValuePrincipalExchangeAmount | PrincipalExchange | fpml-ird-4-2.xsd |
| primaryRateSource | FxAverageRateOption | fpml-fx-4-2.xsd |
| primaryRateSource | FxSpotRateSource | fpml-shared-4-2.xsd |
| principalAmount | PrincipalExchangeAmount | fpml-return-swaps-4-2.xsd |
| principalExchangeAmount | PrincipalExchange | fpml-ird-4-2.xsd |
| principalExchangeAmount | PrincipalExchangeDescriptions | fpml-return-swaps-4-2.xsd |
| putCurrencyAmount | FxAverageRateOption | fpml-fx-4-2.xsd |
| putCurrencyAmount | FxOptionLeg | fpml-fx-4-2.xsd |
| quotationAmount | CashSettlementTerms | fpml-cd-4-2.xsd |
| quotationRateType | CashPriceMethod | fpml-ird-4-2.xsd |
| quotationRateType | YieldCurveMethod | fpml-ird-4-2.xsd |
| rate | FxRate | fpml-shared-4-2.xsd |
| rate | FxStrikePrice | fpml-fx-4-2.xsd |
| rate | SideRate | fpml-fx-4-2.xsd |
| rateCurve | ForwardRateCurve | fpml-mktenv-4-2.xsd |
| rateCurve | ZeroRateCurve | fpml-mktenv-4-2.xsd |
| rateCutOffDaysOffset | ResetDates | fpml-ird-4-2.xsd |
| rateObservation | FloatingRateDefinition | fpml-ird-4-2.xsd |
| rateOfReturn | ReturnLeg | fpml-return-swaps-4-2.xsd |
| rateReference | RateObservation | fpml-shared-4-2.xsd |
| rateSource | FxRateAsset | fpml-asset-4-2.xsd |
| rateSource | InformationSource | fpml-shared-4-2.xsd |
| rateSourcePage | InformationSource | fpml-shared-4-2.xsd |
| rateSourcePageHeading | InformationSource | fpml-shared-4-2.xsd |
| rateTreatment | FloatingRate | fpml-shared-4-2.xsd |
| recoveryRate | CreditCurveValuation | fpml-mktenv-4-2.xsd |
| recoveryRateCurve | CreditCurveValuation | fpml-mktenv-4-2.xsd |
| referenceAmount | LegAmount | fpml-return-swaps-4-2.xsd |
| secondaryRateSource | FxAverageRateOption | fpml-fx-4-2.xsd |
| secondaryRateSource | FxSpotRateSource | fpml-shared-4-2.xsd |
| settlementAmount | EquityOptionTermination | fpml-eqd-4-2.xsd |
| settlementAmountPaymentDate | EquityOptionTermination | fpml-eqd-4-2.xsd |
| settlementRateOption | NonDeliverableSettlement | fpml-ird-4-2.xsd |
| settlementRateSource | YieldCurveMethod | fpml-ird-4-2.xsd |
| sideRateBasis | SideRate | fpml-fx-4-2.xsd |
| sideRates | ExchangeRate | fpml-fx-4-2.xsd |
| splitSettlementAmount | SplitSettlement | fpml-shared-4-2.xsd |
| spotRate | ExchangeRate | fpml-fx-4-2.xsd |
| spotRate | FxAverageRateOption | fpml-fx-4-2.xsd |
| spotRate | FxBarrierOption | fpml-fx-4-2.xsd |
| spotRate | FxCurveValuation | fpml-mktenv-4-2.xsd |
| spotRate | FxDigitalOption | fpml-fx-4-2.xsd |
| spotRate | SideRate | fpml-fx-4-2.xsd |
| strategyFeature | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| strikeRate | Strike | fpml-shared-4-2.xsd |
| stubAmount | Stub | fpml-ird-4-2.xsd |
| stubCalculationPeriodAmount | InterestRateStream | fpml-ird-4-2.xsd |
| stubRate | Stub | fpml-ird-4-2.xsd |
| thresholdRate | AutomaticExercise | fpml-shared-4-2.xsd |
| treatedForecastRate | RateObservation | fpml-shared-4-2.xsd |
| treatedRate | RateObservation | fpml-shared-4-2.xsd |
| triggerRate | FxAmericanTrigger | fpml-fx-4-2.xsd |
| triggerRate | FxBarrier | fpml-fx-4-2.xsd |
| triggerRate | FxEuropeanTrigger | fpml-fx-4-2.xsd |
| varianceAmount | Variance | fpml-return-swaps-4-2.xsd |
| Component | Contained In | File |
| AdditionalPaymentAmount | fpml-return-swaps-4-2.xsd | |
| AmountSchedule | fpml-shared-4-2.xsd | |
| CalculationPeriodAmount | fpml-ird-4-2.xsd | |
| Currency | fpml-shared-4-2.xsd | |
| EquityCorporateEvents | fpml-eq-shared-4-2.xsd | |
| ExchangeRate | fpml-fx-4-2.xsd | |
| FixedAmountCalculation | fpml-cd-4-2.xsd | |
| FloatingRate | fpml-shared-4-2.xsd | |
| FloatingRateCalculation | fpml-shared-4-2.xsd | |
| FloatingRateDefinition | fpml-ird-4-2.xsd | |
| FloatingRateIndex | fpml-shared-4-2.xsd | |
| ForecastRateIndex | fpml-shared-4-2.xsd | |
| ForwardRateCurve | fpml-mktenv-4-2.xsd | |
| FxAverageRateObservationDate | fpml-fx-4-2.xsd | |
| FxAverageRateObservationSchedule | fpml-fx-4-2.xsd | |
| FxAverageRateOption | fpml-fx-4-2.xsd | |
| FxLinkedNotionalAmount | fpml-ird-4-2.xsd | |
| FxRate | fpml-shared-4-2.xsd | |
| FxRateAsset | fpml-asset-4-2.xsd | |
| FxRateSet | fpml-mktenv-4-2.xsd | |
| FxSpotRateSource | fpml-shared-4-2.xsd | |
| IndependentAmount | fpml-doc-4-2.xsd | |
| InflationRateCalculation | fpml-ird-4-2.xsd | |
| InterestRateStream | fpml-ird-4-2.xsd | |
| LegAmount | fpml-return-swaps-4-2.xsd | |
| Money | fpml-shared-4-2.xsd | |
| ObservedRates | fpml-fx-4-2.xsd | |
| PartialTerminationAmount | fpml-posttrade-4-2.xsd | |
| PrincipalExchangeAmount | fpml-return-swaps-4-2.xsd | |
| QuotableFxRate | fpml-pretrade-4-2.xsd | |
| RateIndex | fpml-asset-4-2.xsd | |
| RateObservation | fpml-shared-4-2.xsd | |
| RateSourcePage | fpml-shared-4-2.xsd | |
| ReferenceAmount | fpml-shared-4-2.xsd | |
| ReturnSwapAmount | fpml-return-swaps-4-2.xsd | |
| Rounding | fpml-shared-4-2.xsd | |
| SettlementRateOption | fpml-ird-4-2.xsd | |
| SettlementRateSource | fpml-ird-4-2.xsd | |
| SideRate | fpml-fx-4-2.xsd | |
| SideRates | fpml-fx-4-2.xsd | |
| Strategy | fpml-doc-4-2.xsd | |
| StrategyFeature | fpml-eqd-4-2.xsd | |
| StubCalculationPeriodAmount | fpml-ird-4-2.xsd | |
| VarianceAmount | fpml-return-swaps-4-2.xsd | |
| ZeroRateCurve | fpml-mktenv-4-2.xsd |
No components
| Component | Contained In | File |
| additionalPaymentDate | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| adjustableDate | AdjustableOrRelativeDate | fpml-shared-4-2.xsd |
| adjustableDate | DividendPaymentDate | fpml-shared-4-2.xsd |
| adjustableDate | EquityValuationDate | fpml-eq-shared-4-2.xsd |
| adjustableDate | ScheduledTerminationDate | fpml-cd-4-2.xsd |
| adjustableDate | StartingDate | fpml-return-swaps-4-2.xsd |
| adjustableDates | AdjustableOrRelativeDates | fpml-shared-4-2.xsd |
| adjustableDates | AdjustableRelativeOrPeriodicDates | fpml-shared-4-2.xsd |
| adjustableDates | CashSettlementPaymentDate | fpml-ird-4-2.xsd |
| adjustablePaymentDate | InitialPayment | fpml-cd-4-2.xsd |
| adjustablePaymentDate | PaymentDetail | fpml-doc-4-2.xsd |
| adjustablePaymentDate | SinglePayment | fpml-cd-4-2.xsd |
| adjustedCashSettlementPaymentDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustedDate | ScheduledDate | fpml-valuation-4-2.xsd |
| adjustedDate | ScheduledDate | fpml-valuation-4-2.xsd |
| adjustedEarlyTerminationDate | CancellationEvent | fpml-ird-4-2.xsd |
| adjustedEarlyTerminationDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedEarlyTerminationDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustedEffectiveDate | Fra | fpml-ird-4-2.xsd |
| adjustedEndDate | CalculationPeriod | fpml-ird-4-2.xsd |
| adjustedExerciseDate | CancellationEvent | fpml-ird-4-2.xsd |
| adjustedExerciseDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedExerciseDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedExerciseDate | ExtensionEvent | fpml-ird-4-2.xsd |
| adjustedExerciseFeePaymentDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedExerciseFeePaymentDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedExtendedTerminationDate | ExtensionEvent | fpml-ird-4-2.xsd |
| adjustedFixingDate | RateObservation | fpml-shared-4-2.xsd |
| adjustedFxSpotFixingDate | FxLinkedNotionalAmount | fpml-ird-4-2.xsd |
| adjustedPaymentDate | AdjustedPaymentDates | fpml-cd-4-2.xsd |
| adjustedPaymentDate | InitialPayment | fpml-cd-4-2.xsd |
| adjustedPaymentDate | Payment | fpml-shared-4-2.xsd |
| adjustedPaymentDate | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| adjustedPaymentDate | PaymentDetail | fpml-doc-4-2.xsd |
| adjustedPaymentDate | SinglePayment | fpml-cd-4-2.xsd |
| adjustedPaymentDates | PeriodicPayment | fpml-cd-4-2.xsd |
| adjustedPrincipalExchangeDate | PrincipalExchange | fpml-ird-4-2.xsd |
| adjustedRelevantSwapEffectiveDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedStartDate | CalculationPeriod | fpml-ird-4-2.xsd |
| adjustedTerminationDate | Fra | fpml-ird-4-2.xsd |
| amendmentEffectiveDate | Amendment | fpml-posttrade-4-2.xsd |
| amendmentTradeDate | Amendment | fpml-posttrade-4-2.xsd |
| asOfDate | PositionReport | fpml-reporting-4-2.xsd |
| averageRateObservationDate | FxAverageRateOption | fpml-fx-4-2.xsd |
| averageRateObservationSchedule | FxAverageRateOption | fpml-fx-4-2.xsd |
| averagingDateTimes | EquityAveragingPeriod | fpml-eq-shared-4-2.xsd |
| averagingDateTimes | EquityAveragingPeriod | fpml-eq-shared-4-2.xsd |
| averagingPeriodIn | Asian | fpml-eq-shared-4-2.xsd |
| averagingPeriodOut | Asian | fpml-eq-shared-4-2.xsd |
| baseDate | PricingStructureValuation | fpml-mktenv-4-2.xsd |
| bermudaExerciseDates | BermudaExercise | fpml-shared-4-2.xsd |
| bermudaExerciseDates | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| buildDateTime | PricingStructureValuation | fpml-mktenv-4-2.xsd |
| buildDateTime | PricingStructureValuation | fpml-mktenv-4-2.xsd |
| businessDateRange | CashSettlementPaymentDate | fpml-ird-4-2.xsd |
| businessDayConvention | BusinessDateRange | fpml-shared-4-2.xsd |
| businessDayConvention | BusinessDayAdjustments | fpml-shared-4-2.xsd |
| businessDayConvention | DateOffset | fpml-shared-4-2.xsd |
| businessDayConvention | FxFixingDate | fpml-ird-4-2.xsd |
| businessDayConvention | RelativeDateOffset | fpml-shared-4-2.xsd |
| businessDays | PhysicalSettlementPeriod | fpml-cd-4-2.xsd |
| businessDays | SingleValuationDate | fpml-cd-4-2.xsd |
| businessDaysNotSpecified | PhysicalSettlementPeriod | fpml-cd-4-2.xsd |
| businessDaysThereafter | MultipleValuationDates | fpml-cd-4-2.xsd |
| calculationDates | LegAmount | fpml-return-swaps-4-2.xsd |
| calculationEndDate | PeriodicDates | fpml-shared-4-2.xsd |
| calculationPeriod | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| calculationPeriodAmount | InterestRateStream | fpml-ird-4-2.xsd |
| calculationPeriodDates | InterestRateStream | fpml-ird-4-2.xsd |
| calculationPeriodDates | InterestRateStream | fpml-ird-4-2.xsd |
| calculationPeriodDatesAdjustments | CalculationPeriodDates | fpml-ird-4-2.xsd |
| calculationPeriodDatesAdjustments | CalculationPeriodDates | fpml-ird-4-2.xsd |
| calculationPeriodDatesAdjustments | PeriodicDates | fpml-shared-4-2.xsd |
| calculationPeriodDatesAdjustments | PeriodicDates | fpml-shared-4-2.xsd |
| calculationPeriodDatesReference | InterestLegResetDates | fpml-return-swaps-4-2.xsd |
| calculationPeriodDatesReference | InterestLegResetDates | fpml-return-swaps-4-2.xsd |
| calculationPeriodDatesReference | NotionalStepRule | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | NotionalStepRule | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | PaymentDates | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | PaymentDates | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | ResetDates | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | ResetDates | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | StubCalculationPeriodAmount | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | StubCalculationPeriodAmount | fpml-ird-4-2.xsd |
| calculationPeriodFrequency | CalculationPeriodDates | fpml-ird-4-2.xsd |
| calculationPeriodFrequency | FxAverageRateObservationSchedule | fpml-fx-4-2.xsd |
| calculationPeriodFrequency | PeriodicDates | fpml-shared-4-2.xsd |
| calculationPeriodNumberOfDays | CalculationPeriod | fpml-ird-4-2.xsd |
| calculationPeriodNumberOfDays | CalculationPeriod | fpml-ird-4-2.xsd |
| calculationPeriodNumberOfDays | Fra | fpml-ird-4-2.xsd |
| calculationPeriodNumberOfDays | Fra | fpml-ird-4-2.xsd |
| calculationStartDate | PeriodicDates | fpml-shared-4-2.xsd |
| cancelableProvisionAdjustedDates | CancelableProvision | fpml-ird-4-2.xsd |
| capRateSchedule | FloatingRate | fpml-shared-4-2.xsd |
| cashSettlementBusinessDays | CashSettlementTerms | fpml-cd-4-2.xsd |
| cashSettlementPaymentDate | CashSettlement | fpml-ird-4-2.xsd |
| cashSettlementPaymentDate | VarianceAmount | fpml-return-swaps-4-2.xsd |
| cashSettlementValuationDate | CashSettlement | fpml-ird-4-2.xsd |
| cashSettlementValuationTime | CashSettlement | fpml-ird-4-2.xsd |
| commencementDate | AmericanExercise | fpml-shared-4-2.xsd |
| commencementDate | SharedAmericanExercise | fpml-shared-4-2.xsd |
| constantNotionalScheduleReference | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| creationTimestamp | MessageHeader | fpml-msg-4-2.xsd |
| creationTimestamp | NotificationMessageHeader | fpml-msg-4-2.xsd |
| creationTimestamp | RequestMessageHeader | fpml-msg-4-2.xsd |
| creationTimestamp | ResponseMessageHeader | fpml-msg-4-2.xsd |
| creditEventDate | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| creditEventNoticeDate | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| currency1ValueDate | FxLeg | fpml-fx-4-2.xsd |
| currency2ValueDate | FxLeg | fpml-fx-4-2.xsd |
| date | DateList | fpml-shared-4-2.xsd |
| date | TimeDimension | fpml-mktenv-4-2.xsd |
| dateAdjustments | AdjustableDate | fpml-shared-4-2.xsd |
| dateAdjustments | AdjustableDate2 | fpml-shared-4-2.xsd |
| dateAdjustments | AdjustableDates | fpml-shared-4-2.xsd |
| dateAdjustments | GeneralTerms | fpml-cd-4-2.xsd |
| dateAdjustmentsReference | AdjustableDate2 | fpml-shared-4-2.xsd |
| dateOffset | RelativeDateSequence | fpml-shared-4-2.xsd |
| dateOffset | RelativeDateSequence | fpml-shared-4-2.xsd |
| dateRelativeTo | RelativeDateOffset | fpml-shared-4-2.xsd |
| dateRelativeTo | RelativeDateSequence | fpml-shared-4-2.xsd |
| dateRelativeTo | StartingDate | fpml-return-swaps-4-2.xsd |
| dateRelativeToPaymentDates | FxFixingDate | fpml-ird-4-2.xsd |
| dateTime | DateTimeList | fpml-shared-4-2.xsd |
| dateTime | DateTimeList | fpml-shared-4-2.xsd |
| dayCountFraction | Bond | fpml-asset-4-2.xsd |
| dayCountFraction | Calculation | fpml-ird-4-2.xsd |
| dayCountFraction | Deposit | fpml-asset-4-2.xsd |
| dayCountFraction | FixedAmountCalculation | fpml-cd-4-2.xsd |
| dayCountFraction | Fra | fpml-ird-4-2.xsd |
| dayCountFraction | InterestCalculation | fpml-return-swaps-4-2.xsd |
| dayCountFraction | RateIndex | fpml-asset-4-2.xsd |
| dayCountFraction | SimpleFra | fpml-asset-4-2.xsd |
| dayCountFraction | SimpleIRSwap | fpml-asset-4-2.xsd |
| dayCountFraction | TermDeposit | fpml-fx-4-2.xsd |
| dayCountYearFraction | CalculationPeriod | fpml-ird-4-2.xsd |
| dayOfWeek | EquitySchedule | fpml-eq-shared-4-2.xsd |
| dayOfWeek | EquitySchedule | fpml-eq-shared-4-2.xsd |
| dayType | Offset | fpml-shared-4-2.xsd |
| discountRateDayCountFraction | Discounting | fpml-ird-4-2.xsd |
| dividendDateReference | DividendPaymentDate | fpml-shared-4-2.xsd |
| dividendFxTriggerDate | DividendConditions | fpml-shared-4-2.xsd |
| dividendPaymentDate | DividendConditions | fpml-shared-4-2.xsd |
| dividendPeriod | DividendConditions | fpml-shared-4-2.xsd |
| dividendPeriodEffectiveDate | DividendConditions | fpml-shared-4-2.xsd |
| dividendPeriodEffectiveDate | DividendConditions | fpml-shared-4-2.xsd |
| dividendPeriodEndDate | DividendConditions | fpml-shared-4-2.xsd |
| dividendPeriodEndDate | DividendConditions | fpml-shared-4-2.xsd |
| earliestExerciseDateTenor | ExercisePeriod | fpml-ird-4-2.xsd |
| earliestExerciseTime | AmericanExercise | fpml-shared-4-2.xsd |
| earliestExerciseTime | BermudaExercise | fpml-shared-4-2.xsd |
| earliestExerciseTime | EuropeanExercise | fpml-shared-4-2.xsd |
| effectiveDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| effectiveDate | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| effectiveDate | GeneralTerms | fpml-cd-4-2.xsd |
| effectiveDate | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| effectiveDate | ReturnLeg | fpml-return-swaps-4-2.xsd |
| endDate | EquitySchedule | fpml-eq-shared-4-2.xsd |
| endDate | PricingStructureValuation | fpml-mktenv-4-2.xsd |
| equityEffectiveDate | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| equityExpirationTime | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| equityExpirationTime | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| equityExpirationTime | EquityEuropeanExercise | fpml-eqd-4-2.xsd |
| equityExpirationTimeType | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| equityExpirationTimeType | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| equityExpirationTimeType | EquityEuropeanExercise | fpml-eqd-4-2.xsd |
| equityPaymentDateFinal | DeprecatedEquityPaymentDates | fpml-return-swaps-4-2.xsd |
| equityPaymentDates | DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd |
| equityPaymentDatesInterim | DeprecatedEquityPaymentDates | fpml-return-swaps-4-2.xsd |
| exerciseFeeSchedule | AmericanExercise | fpml-shared-4-2.xsd |
| exerciseFeeSchedule | BermudaExercise | fpml-shared-4-2.xsd |
| expirationDate | AmericanExercise | fpml-shared-4-2.xsd |
| expirationDate | EquityEuropeanExercise | fpml-eqd-4-2.xsd |
| expirationDate | EuropeanExercise | fpml-shared-4-2.xsd |
| expirationDate | ExchangeTradedContract | fpml-asset-4-2.xsd |
| expirationDate | SharedAmericanExercise | fpml-shared-4-2.xsd |
| expirationDateTwo | CalendarSpread | fpml-eqd-4-2.xsd |
| expirationTime | AmericanExercise | fpml-shared-4-2.xsd |
| expirationTime | BermudaExercise | fpml-shared-4-2.xsd |
| expirationTime | EuropeanExercise | fpml-shared-4-2.xsd |
| expiryDate | ExpiryDateTime | fpml-fx-4-2.xsd |
| expiryDateTime | FxAverageRateOption | fpml-fx-4-2.xsd |
| expiryDateTime | FxAverageRateOption | fpml-fx-4-2.xsd |
| expiryDateTime | FxDigitalOption | fpml-fx-4-2.xsd |
| expiryDateTime | FxDigitalOption | fpml-fx-4-2.xsd |
| expiryDateTime | FxOptionLeg | fpml-fx-4-2.xsd |
| expiryDateTime | FxOptionLeg | fpml-fx-4-2.xsd |
| expiryTime | BasicQuotation | fpml-valuation-base-4-2.xsd |
| expiryTime | ExpiryDateTime | fpml-fx-4-2.xsd |
| expiryTime | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| expiryTime | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| expiryTime | Quotation | fpml-valuation-4-2.xsd |
| expiryTime | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| expiryTimestamp | MessageHeader | fpml-msg-4-2.xsd |
| expiryTimestamp | NotificationMessageHeader | fpml-msg-4-2.xsd |
| expiryTimestamp | RequestMessageHeader | fpml-msg-4-2.xsd |
| expiryTimestamp | ResponseMessageHeader | fpml-msg-4-2.xsd |
| extendibleProvisionAdjustedDates | ExtendibleProvision | fpml-ird-4-2.xsd |
| featurePaymentDate | FeaturePayment | fpml-eq-shared-4-2.xsd |
| feeAmountSchedule | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| feePaymentDate | ExerciseFee | fpml-shared-4-2.xsd |
| feePaymentDate | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| feeRateSchedule | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| firstNotionalStepDate | NotionalStepRule | fpml-ird-4-2.xsd |
| firstNotionalStepDate | NotionalStepRule | fpml-ird-4-2.xsd |
| firstPaymentDate | PaymentDates | fpml-ird-4-2.xsd |
| firstPaymentDate | PeriodicPayment | fpml-cd-4-2.xsd |
| firstPeriodStartDate | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| firstPeriodStartDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| firstPeriodStartDate | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | Novation | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | Novation | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | PeriodicPayment | fpml-cd-4-2.xsd |
| firstPeriodStartDate | PeriodicPayment | fpml-cd-4-2.xsd |
| firstPeriodStartDate | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstRegularPeriodStartDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| firstRegularPeriodStartDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| fixedRateSchedule | Calculation | fpml-ird-4-2.xsd |
| fixingDate | FxFixing | fpml-shared-4-2.xsd |
| fixingDateOffset | Fra | fpml-ird-4-2.xsd |
| fixingDateOffset | Fra | fpml-ird-4-2.xsd |
| fixingDates | ResetDates | fpml-ird-4-2.xsd |
| fixingTime | FxAverageRateOption | fpml-fx-4-2.xsd |
| fixingTime | FxSpotRateSource | fpml-shared-4-2.xsd |
| floatingRateMultiplierSchedule | FloatingRate | fpml-shared-4-2.xsd |
| floorRateSchedule | FloatingRate | fpml-shared-4-2.xsd |
| fullFirstCalculationPeriod | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | Novation | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| fxFixingDate | NonDeliverableSettlement | fpml-ird-4-2.xsd |
| fxLinkedNotionalSchedule | Calculation | fpml-ird-4-2.xsd |
| gracePeriod | GracePeriodExtension | fpml-cd-4-2.xsd |
| gracePeriodExtension | FailureToPay | fpml-cd-4-2.xsd |
| hourMinuteTime | BusinessCenterTime | fpml-shared-4-2.xsd |
| increaseEffectiveDate | Increase | fpml-posttrade-4-2.xsd |
| increaseTradeDate | Increase | fpml-posttrade-4-2.xsd |
| indexAnnexDate | IndexReferenceInformation | fpml-cd-4-2.xsd |
| initialFixingDate | ResetDates | fpml-ird-4-2.xsd |
| inputDataDate | PricingStructureValuation | fpml-mktenv-4-2.xsd |
| inputDateReference | PricingParameterDerivative | fpml-riskdef-4-2.xsd |
| interestLegCalculationPeriodDates | InterestLeg | fpml-return-swaps-4-2.xsd |
| interestLegCalculationPeriodDates | InterestLeg | fpml-return-swaps-4-2.xsd |
| interestLegPaymentDates | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| interestLegResetDates | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| knownAmountSchedule | CalculationPeriodAmount | fpml-ird-4-2.xsd |
| lastNotionalStepDate | NotionalStepRule | fpml-ird-4-2.xsd |
| lastNotionalStepDate | NotionalStepRule | fpml-ird-4-2.xsd |
| lastRegularPaymentDate | PaymentDates | fpml-ird-4-2.xsd |
| lastRegularPaymentDate | PeriodicPayment | fpml-cd-4-2.xsd |
| lastRegularPeriodEndDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| lastRegularPeriodEndDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| latestExerciseTime | AmericanExercise | fpml-shared-4-2.xsd |
| latestExerciseTime | BermudaExercise | fpml-shared-4-2.xsd |
| latestExerciseTime | SharedAmericanExercise | fpml-shared-4-2.xsd |
| latestExerciseTimeType | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| latestExerciseTimeType | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| makeWholeDate | MakeWholeProvisions | fpml-eq-shared-4-2.xsd |
| mandatoryEarlyTerminationAdjustedDates | MandatoryEarlyTermination | fpml-ird-4-2.xsd |
| mandatoryEarlyTerminationDate | MandatoryEarlyTermination | fpml-ird-4-2.xsd |
| mandatoryEarlyTerminationDateTenor | EarlyTerminationProvision | fpml-ird-4-2.xsd |
| masterAgreementDate | MasterAgreement | fpml-shared-4-2.xsd |
| masterConfirmationAnnexDate | MasterConfirmation | fpml-shared-4-2.xsd |
| masterConfirmationDate | Allocation | fpml-doc-4-2.xsd |
| masterConfirmationDate | MasterConfirmation | fpml-shared-4-2.xsd |
| maturityDate | TermDeposit | fpml-fx-4-2.xsd |
| maximumBusinessDays | PhysicalSettlementPeriod | fpml-cd-4-2.xsd |
| multipleValuationDates | ValuationDate | fpml-cd-4-2.xsd |
| notionalSchedule | Calculation | fpml-ird-4-2.xsd |
| notionalStepAmount | NotionalStepRule | fpml-ird-4-2.xsd |
| notionalStepParameters | Notional | fpml-ird-4-2.xsd |
| notionalStepRate | NotionalStepRule | fpml-ird-4-2.xsd |
| notionalStepSchedule | Notional | fpml-ird-4-2.xsd |
| notionalStepSchedule | Notional | fpml-ird-4-2.xsd |
| novationDate | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | Novation | fpml-posttrade-4-2.xsd |
| novationDate | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| novationDate | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | Novation | fpml-posttrade-4-2.xsd |
| novationTradeDate | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| novationTradeDate | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| numberValuationDates | MultipleValuationDates | fpml-cd-4-2.xsd |
| observationDate | FxAverageRateObservationDate | fpml-fx-4-2.xsd |
| observationDate | ObservedRates | fpml-fx-4-2.xsd |
| observationEndDate | FxAmericanTrigger | fpml-fx-4-2.xsd |
| observationEndDate | FxAverageRateObservationSchedule | fpml-fx-4-2.xsd |
| observationEndDate | FxBarrier | fpml-fx-4-2.xsd |
| observationStartDate | FxAmericanTrigger | fpml-fx-4-2.xsd |
| observationStartDate | FxAverageRateObservationSchedule | fpml-fx-4-2.xsd |
| observationStartDate | FxBarrier | fpml-fx-4-2.xsd |
| observationStartDate | VarianceAmount | fpml-return-swaps-4-2.xsd |
| optionalEarlyTerminationAdjustedDates | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| paymentCalculationPeriod | Cashflows | fpml-ird-4-2.xsd |
| paymentDate | EquityPremium | fpml-eqd-4-2.xsd |
| paymentDate | Fra | fpml-ird-4-2.xsd |
| paymentDate | Payment | fpml-shared-4-2.xsd |
| paymentDate | PendingPayment | fpml-asset-4-2.xsd |
| paymentDate | QuotablePayment | fpml-pretrade-4-2.xsd |
| paymentDateFinal | ReturnSwapPaymentDates | fpml-return-swaps-4-2.xsd |
| paymentDates | InterestRateStream | fpml-ird-4-2.xsd |
| paymentDates | ReturnLegValuation | fpml-return-swaps-4-2.xsd |
| paymentDatesAdjustments | PaymentDates | fpml-ird-4-2.xsd |
| paymentDatesInterim | ReturnSwapPaymentDates | fpml-return-swaps-4-2.xsd |
| paymentDatesReference | DateRelativeToPaymentDates | fpml-ird-4-2.xsd |
| paymentDaysOffset | PaymentDates | fpml-ird-4-2.xsd |
| paymentDaysOffset | PaymentDates | fpml-ird-4-2.xsd |
| period | Interval | fpml-shared-4-2.xsd |
| periodicDates | AdjustableRelativeOrPeriodicDates | fpml-shared-4-2.xsd |
| periodicDates | AdjustableRelativeOrPeriodicDates | fpml-shared-4-2.xsd |
| periodicPayment | FeeLeg | fpml-cd-4-2.xsd |
| periodMultiplier | Interval | fpml-shared-4-2.xsd |
| periodSkip | RelativeDates | fpml-shared-4-2.xsd |
| physicalSettlementPeriod | PhysicalSettlementTerms | fpml-cd-4-2.xsd |
| premiumSettlementDate | FxOptionPremium | fpml-fx-4-2.xsd |
| prePaymentDate | PrePayment | fpml-eqd-4-2.xsd |
| principalExchangeDate | PrincipalExchangeDescriptions | fpml-return-swaps-4-2.xsd |
| publicationDate | ContractualMatrix | fpml-shared-4-2.xsd |
| rateCutOffDaysOffset | ResetDates | fpml-ird-4-2.xsd |
| rateCutOffDaysOffset | ResetDates | fpml-ird-4-2.xsd |
| relativeDate | AdjustableOrRelativeDate | fpml-shared-4-2.xsd |
| relativeDate | CashSettlementPaymentDate | fpml-ird-4-2.xsd |
| relativeDate | Composite | fpml-eq-shared-4-2.xsd |
| relativeDate | ScheduledTerminationDate | fpml-cd-4-2.xsd |
| relativeDateAdjustments | AdjustedRelativeDateOffset | fpml-shared-4-2.xsd |
| relativeDates | AdjustableOrRelativeDates | fpml-shared-4-2.xsd |
| relativeDateSequence | AdjustableRelativeOrPeriodicDates | fpml-shared-4-2.xsd |
| relativeDateSequence | EquityValuationDate | fpml-eq-shared-4-2.xsd |
| relativeEffectiveDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| relativeTerminationDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| relevantUnderlyingDate | AmericanExercise | fpml-shared-4-2.xsd |
| relevantUnderlyingDate | BermudaExercise | fpml-shared-4-2.xsd |
| relevantUnderlyingDate | EuropeanExercise | fpml-shared-4-2.xsd |
| resetDate | FxLinkedNotionalAmount | fpml-ird-4-2.xsd |
| resetDate | RateObservation | fpml-shared-4-2.xsd |
| resetDates | InterestRateStream | fpml-ird-4-2.xsd |
| resetDatesAdjustments | ResetDates | fpml-ird-4-2.xsd |
| resetDatesReference | PaymentDates | fpml-ird-4-2.xsd |
| schedule | EquityAveragingPeriod | fpml-eq-shared-4-2.xsd |
| schedule | TriggerEvent | fpml-eq-shared-4-2.xsd |
| scheduleBounds | RelativeDates | fpml-shared-4-2.xsd |
| scheduledDate | ScheduledDates | fpml-valuation-4-2.xsd |
| scheduledDate | ScheduledDates | fpml-valuation-4-2.xsd |
| scheduledDates | Position | fpml-valuation-4-2.xsd |
| scheduledDates | Position | fpml-valuation-4-2.xsd |
| scheduledTerminationDate | GeneralTerms | fpml-cd-4-2.xsd |
| scheduledTerminationDate | GeneralTerms | fpml-cd-4-2.xsd |
| settlementAmountPaymentDate | EquityOptionTermination | fpml-eqd-4-2.xsd |
| settlementDate | EquityExercise | fpml-eqd-4-2.xsd |
| settlementMethodElectionDate | EquityExercise | fpml-eqd-4-2.xsd |
| singleValuationDate | ValuationDate | fpml-cd-4-2.xsd |
| sixtyBusinessDaySettlementCap | PhysicalSettlementTerms | fpml-cd-4-2.xsd |
| spotDate | PricingStructureValuation | fpml-mktenv-4-2.xsd |
| spreadSchedule | FloatingRate | fpml-shared-4-2.xsd |
| startDate | EquitySchedule | fpml-eq-shared-4-2.xsd |
| startDate | TermDeposit | fpml-fx-4-2.xsd |
| startingDate | ReturnSwapEarlyTermination | fpml-return-swaps-4-2.xsd |
| step | Schedule | fpml-shared-4-2.xsd |
| stepDate | Step | fpml-shared-4-2.xsd |
| stepDate | Step | fpml-shared-4-2.xsd |
| stepFrequency | NotionalStepRule | fpml-ird-4-2.xsd |
| stepRelativeTo | NotionalStepRule | fpml-ird-4-2.xsd |
| stepValue | Step | fpml-shared-4-2.xsd |
| stubCalculationPeriod | InterestLeg | fpml-return-swaps-4-2.xsd |
| stubCalculationPeriodAmount | InterestRateStream | fpml-ird-4-2.xsd |
| stubEndDate | Stub | fpml-ird-4-2.xsd |
| stubPeriodType | CalculationPeriodDates | fpml-ird-4-2.xsd |
| stubStartDate | Stub | fpml-ird-4-2.xsd |
| swaptionAdjustedDates | Swaption | fpml-ird-4-2.xsd |
| terminationDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| terminationDate | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| terminationDate | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| terminationDate | ReturnLeg | fpml-return-swaps-4-2.xsd |
| terminationEffectiveDate | Termination | fpml-posttrade-4-2.xsd |
| terminationTradeDate | Termination | fpml-posttrade-4-2.xsd |
| time | BasicQuotation | fpml-valuation-base-4-2.xsd |
| time | FeaturePayment | fpml-eq-shared-4-2.xsd |
| time | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| time | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| time | Quotation | fpml-valuation-4-2.xsd |
| time | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| tradeDate | TradeHeader | fpml-doc-4-2.xsd |
| triggerDates | TriggerEvent | fpml-eq-shared-4-2.xsd |
| unadjustedDate | AdjustableDate | fpml-shared-4-2.xsd |
| unadjustedDate | AdjustableDate2 | fpml-shared-4-2.xsd |
| unadjustedDate | AdjustableDates | fpml-shared-4-2.xsd |
| unadjustedDate | ScheduledDate | fpml-valuation-4-2.xsd |
| unadjustedEndDate | CalculationPeriod | fpml-ird-4-2.xsd |
| unadjustedFirstDate | DateRange | fpml-shared-4-2.xsd |
| unadjustedLastDate | DateRange | fpml-shared-4-2.xsd |
| unadjustedPaymentDate | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| unadjustedPrincipalExchangeDate | PrincipalExchange | fpml-ird-4-2.xsd |
| unadjustedStartDate | CalculationPeriod | fpml-ird-4-2.xsd |
| valuationDate | CashSettlementTerms | fpml-cd-4-2.xsd |
| valuationDate | DerivedValuationScenario | fpml-valuation-4-2.xsd |
| valuationDate | EquityValuation | fpml-eq-shared-4-2.xsd |
| valuationDate | ValuationScenario | fpml-valuation-4-2.xsd |
| valuationDates | EquityValuation | fpml-eq-shared-4-2.xsd |
| valuationTime | CashSettlementTerms | fpml-cd-4-2.xsd |
| valuationTime | EquityValuation | fpml-eq-shared-4-2.xsd |
| valuationTimeType | EquityValuation | fpml-eq-shared-4-2.xsd |
| valueDate | FxAverageRateOption | fpml-fx-4-2.xsd |
| valueDate | FxDigitalOption | fpml-fx-4-2.xsd |
| valueDate | FxLeg | fpml-fx-4-2.xsd |
| valueDate | FxOptionLeg | fpml-fx-4-2.xsd |
| varyingNotionalFixingDates | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| varyingNotionalInterimExchangePaymentDates | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| weeklyRollConvention | ResetFrequency | fpml-shared-4-2.xsd |
| weekNumber | EquitySchedule | fpml-eq-shared-4-2.xsd |
| Component | Contained In | File |
| AdjustableDate | fpml-shared-4-2.xsd | |
| AdjustableDate2 | fpml-shared-4-2.xsd | |
| AdjustableDates | fpml-shared-4-2.xsd | |
| AdjustableOrRelativeDate | fpml-shared-4-2.xsd | |
| AdjustableOrRelativeDates | fpml-shared-4-2.xsd | |
| AdjustableRelativeOrPeriodicDates | fpml-shared-4-2.xsd | |
| AdjustableRelativeOrPeriodicDates | fpml-shared-4-2.xsd | |
| AdjustedPaymentDates | fpml-cd-4-2.xsd | |
| AdjustedRelativeDateOffset | fpml-shared-4-2.xsd | |
| AdjustedRelativeDateOffset | fpml-shared-4-2.xsd | |
| AmountSchedule | fpml-shared-4-2.xsd | |
| BusinessCenterTime | fpml-shared-4-2.xsd | |
| BusinessDateRange | fpml-shared-4-2.xsd | |
| BusinessDayAdjustments | fpml-shared-4-2.xsd | |
| CalculationPeriod | fpml-ird-4-2.xsd | |
| CalculationPeriodAmount | fpml-ird-4-2.xsd | |
| CalculationPeriodDates | fpml-ird-4-2.xsd | |
| CalculationPeriodDates | fpml-ird-4-2.xsd | |
| CalculationPeriodFrequency | fpml-shared-4-2.xsd | |
| CancelableProvisionAdjustedDates | fpml-ird-4-2.xsd | |
| CashSettlementPaymentDate | fpml-ird-4-2.xsd | |
| DateList | fpml-shared-4-2.xsd | |
| DateOffset | fpml-shared-4-2.xsd | |
| DateOffset | fpml-shared-4-2.xsd | |
| DateRange | fpml-shared-4-2.xsd | |
| DateRelativeToPaymentDates | fpml-ird-4-2.xsd | |
| DateTimeList | fpml-shared-4-2.xsd | |
| DateTimeList | fpml-shared-4-2.xsd | |
| DayCountFraction | fpml-shared-4-2.xsd | |
| DeprecatedEquityPaymentDates | fpml-return-swaps-4-2.xsd | |
| DividendPaymentDate | fpml-shared-4-2.xsd | |
| EquityAveragingPeriod | fpml-eq-shared-4-2.xsd | |
| EquitySchedule | fpml-eq-shared-4-2.xsd | |
| EquityValuationDate | fpml-eq-shared-4-2.xsd | |
| ExerciseFeeSchedule | fpml-shared-4-2.xsd | |
| ExercisePeriod | fpml-ird-4-2.xsd | |
| ExpiryDateTime | fpml-fx-4-2.xsd | |
| ExpiryDateTime | fpml-fx-4-2.xsd | |
| ExtendibleProvisionAdjustedDates | fpml-ird-4-2.xsd | |
| FirstPeriodStartDate | fpml-posttrade-4-2.xsd | |
| FirstPeriodStartDate | fpml-posttrade-4-2.xsd | |
| FxAverageRateObservationDate | fpml-fx-4-2.xsd | |
| FxAverageRateObservationSchedule | fpml-fx-4-2.xsd | |
| FxFixingDate | fpml-ird-4-2.xsd | |
| FxLinkedNotionalSchedule | fpml-ird-4-2.xsd | |
| GracePeriodExtension | fpml-cd-4-2.xsd | |
| IdentifiedDate | fpml-shared-4-2.xsd | |
| InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd | |
| InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd | |
| InterestLegResetDates | fpml-return-swaps-4-2.xsd | |
| Interval | fpml-shared-4-2.xsd | |
| MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd | |
| MultipleValuationDates | fpml-cd-4-2.xsd | |
| NotionalStepRule | fpml-ird-4-2.xsd | |
| Offset | fpml-shared-4-2.xsd | |
| OptionalEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd | |
| PaymentCalculationPeriod | fpml-ird-4-2.xsd | |
| PaymentDates | fpml-ird-4-2.xsd | |
| PeriodicDates | fpml-shared-4-2.xsd | |
| PeriodicDates | fpml-shared-4-2.xsd | |
| PeriodicPayment | fpml-cd-4-2.xsd | |
| PhysicalSettlementPeriod | fpml-cd-4-2.xsd | |
| QuoteUpdated | fpml-pretrade-4-2.xsd | |
| RelativeDateOffset | fpml-shared-4-2.xsd | |
| RelativeDateOffset | fpml-shared-4-2.xsd | |
| RelativeDates | fpml-shared-4-2.xsd | |
| RelativeDateSequence | fpml-shared-4-2.xsd | |
| RequiredIdentifierDate | fpml-shared-4-2.xsd | |
| ResetDates | fpml-ird-4-2.xsd | |
| ReturnSwapPaymentDates | fpml-return-swaps-4-2.xsd | |
| Schedule | fpml-shared-4-2.xsd | |
| ScheduledDate | fpml-valuation-4-2.xsd | |
| ScheduledDate | fpml-valuation-4-2.xsd | |
| ScheduledDates | fpml-valuation-4-2.xsd | |
| ScheduledDates | fpml-valuation-4-2.xsd | |
| ScheduledDateType | fpml-valuation-4-2.xsd | |
| ScheduledDateType | fpml-valuation-4-2.xsd | |
| ScheduledTerminationDate | fpml-cd-4-2.xsd | |
| ScheduledTerminationDate | fpml-cd-4-2.xsd | |
| SingleValuationDate | fpml-cd-4-2.xsd | |
| StartingDate | fpml-return-swaps-4-2.xsd | |
| Step | fpml-shared-4-2.xsd | |
| StrikeSchedule | fpml-shared-4-2.xsd | |
| StubCalculationPeriod | fpml-return-swaps-4-2.xsd | |
| StubCalculationPeriodAmount | fpml-ird-4-2.xsd | |
| SwaptionAdjustedDates | fpml-ird-4-2.xsd | |
| TimeDimension | fpml-mktenv-4-2.xsd | |
| ValuationDate | fpml-cd-4-2.xsd |
| Component | Contained In | File |
| bankruptcy | fpml-posttrade-4-2.xsd |
| Component | Contained In | File |
| account | Party | fpml-doc-4-2.xsd |
| account | PartyRole | fpml-doc-4-2.xsd |
| accountant | TradeSide | fpml-doc-4-2.xsd |
| accountBeneficiary | Account | fpml-doc-4-2.xsd |
| accountId | Account | fpml-doc-4-2.xsd |
| accountName | Account | fpml-doc-4-2.xsd |
| accountReference | Allocation | fpml-doc-4-2.xsd |
| bankruptcy | CreditEvents | fpml-cd-4-2.xsd |
| baseParty | ReportingRoles | fpml-valuation-4-2.xsd |
| baseParty | ValuationSet | fpml-valuation-4-2.xsd |
| beneficiaryBank | SettlementInstruction | fpml-shared-4-2.xsd |
| beneficiaryBank | SplitSettlement | fpml-shared-4-2.xsd |
| brokerPartyReference | Trade | fpml-doc-4-2.xsd |
| businessCenter | BasicQuotation | fpml-valuation-base-4-2.xsd |
| businessCenter | BusinessCenters | fpml-shared-4-2.xsd |
| businessCenter | BusinessCenterTime | fpml-shared-4-2.xsd |
| businessCenter | CreditEventNotice | fpml-cd-4-2.xsd |
| businessCenter | ExerciseNotice | fpml-shared-4-2.xsd |
| businessCenter | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| businessCenter | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| businessCenter | Quotation | fpml-valuation-4-2.xsd |
| businessCenter | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| businessCenters | BusinessDateRange | fpml-shared-4-2.xsd |
| businessCenters | BusinessDayAdjustments | fpml-shared-4-2.xsd |
| businessCenters | FxFixingDate | fpml-ird-4-2.xsd |
| businessCenters | RelativeDateOffset | fpml-shared-4-2.xsd |
| businessCenters | RelativeDateSequence | fpml-shared-4-2.xsd |
| businessCentersReference | BusinessDateRange | fpml-shared-4-2.xsd |
| businessCentersReference | BusinessDayAdjustments | fpml-shared-4-2.xsd |
| businessCentersReference | FxFixingDate | fpml-ird-4-2.xsd |
| businessCentersReference | RelativeDateOffset | fpml-shared-4-2.xsd |
| businessCentersReference | RelativeDateSequence | fpml-shared-4-2.xsd |
| buyerPartyReference | CancelableProvision | fpml-ird-4-2.xsd |
| buyerPartyReference | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| buyerPartyReference | ExtendibleProvision | fpml-ird-4-2.xsd |
| buyerPartyReference | Fra | fpml-ird-4-2.xsd |
| buyerPartyReference | FxAverageRateOption | fpml-fx-4-2.xsd |
| buyerPartyReference | FxDigitalOption | fpml-fx-4-2.xsd |
| buyerPartyReference | FxOptionLeg | fpml-fx-4-2.xsd |
| buyerPartyReference | GeneralTerms | fpml-cd-4-2.xsd |
| buyerPartyReference | NotifyingParty | fpml-cd-4-2.xsd |
| buyerPartyReference | ReturnSwapBase | fpml-return-swaps-4-2.xsd |
| buyerPartyReference | SinglePartyOption | fpml-ird-4-2.xsd |
| buyerPartyReference | Swaption | fpml-ird-4-2.xsd |
| calculationAgentBusinessCenter | Trade | fpml-doc-4-2.xsd |
| calculationAgentParty | CalculationAgent | fpml-shared-4-2.xsd |
| calculationAgentPartyReference | CalculationAgent | fpml-shared-4-2.xsd |
| cashSettlementReferenceBanks | CashPriceMethod | fpml-ird-4-2.xsd |
| cashSettlementReferenceBanks | SettlementRateSource | fpml-ird-4-2.xsd |
| confirmationSenderPartyReference | FxLeg | fpml-fx-4-2.xsd |
| correspondentInformation | SettlementInstruction | fpml-shared-4-2.xsd |
| country | Address | fpml-shared-4-2.xsd |
| determiningPartyReference | AdditionalDisruptionEvents | fpml-eq-shared-4-2.xsd |
| exerciseNoticePartyReference | ExerciseNotice | fpml-shared-4-2.xsd |
| fxSpotRateSource | Composite | fpml-eq-shared-4-2.xsd |
| fxSpotRateSource | Composite | fpml-eq-shared-4-2.xsd |
| fxSpotRateSource | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| fxSpotRateSource | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| fxSpotRateSource | Quanto | fpml-eq-shared-4-2.xsd |
| fxSpotRateSource | Quanto | fpml-eq-shared-4-2.xsd |
| indexAnnexSource | IndexReferenceInformation | fpml-cd-4-2.xsd |
| indexAnnexSource | IndexReferenceInformation | fpml-cd-4-2.xsd |
| indexSource | InflationRateCalculation | fpml-ird-4-2.xsd |
| indexSource | InflationRateCalculation | fpml-ird-4-2.xsd |
| informationSource | FxAmericanTrigger | fpml-fx-4-2.xsd |
| informationSource | FxAmericanTrigger | fpml-fx-4-2.xsd |
| informationSource | FxBarrier | fpml-fx-4-2.xsd |
| informationSource | FxBarrier | fpml-fx-4-2.xsd |
| informationSource | FxEuropeanTrigger | fpml-fx-4-2.xsd |
| informationSource | FxEuropeanTrigger | fpml-fx-4-2.xsd |
| informationSource | SettlementRateSource | fpml-ird-4-2.xsd |
| informationSource | SettlementRateSource | fpml-ird-4-2.xsd |
| intermediaryInformation | SettlementInstruction | fpml-shared-4-2.xsd |
| intermediarySequenceNumber | IntermediaryInformation | fpml-shared-4-2.xsd |
| notifiedPartyReference | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| notifyingParty | CreditEventNotice | fpml-cd-4-2.xsd |
| notifyingPartyReference | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| otherPartyPayment | Trade | fpml-doc-4-2.xsd |
| otherRemainingParty | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | Novation | fpml-posttrade-4-2.xsd |
| otherRemainingParty | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| otherRemainingParty | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| party | AcceptQuote | fpml-pretrade-4-2.xsd |
| party | AllocationAmended | fpml-posttrade-4-2.xsd |
| party | AllocationCancelled | fpml-posttrade-4-2.xsd |
| party | AllocationCreated | fpml-posttrade-4-2.xsd |
| party | AmendmentConfirmed | fpml-posttrade-4-2.xsd |
| party | CancelTradeConfirmation | fpml-tradeexec-4-2.xsd |
| party | CancelTradeMatch | fpml-tradeexec-4-2.xsd |
| party | ConfirmationCancelled | fpml-tradeexec-4-2.xsd |
| party | ConfirmTrade | fpml-tradeexec-4-2.xsd |
| party | CreditEventNotification | fpml-posttrade-4-2.xsd |
| party | DataDocument | fpml-doc-4-2.xsd |
| party | IncreaseConfirmed | fpml-posttrade-4-2.xsd |
| party | ModifyTradeConfirmation | fpml-tradeexec-4-2.xsd |
| party | ModifyTradeMatch | fpml-tradeexec-4-2.xsd |
| party | NovateTrade | fpml-posttrade-4-2.xsd |
| party | NovationAlleged | fpml-posttrade-4-2.xsd |
| party | NovationConfirmed | fpml-posttrade-4-2.xsd |
| party | NovationConsentGranted | fpml-posttrade-4-2.xsd |
| party | NovationConsentRefused | fpml-posttrade-4-2.xsd |
| party | NovationConsentRequest | fpml-posttrade-4-2.xsd |
| party | NovationMatched | fpml-posttrade-4-2.xsd |
| party | NovationStatusNotification | fpml-posttrade-4-2.xsd |
| party | PartyRole | fpml-doc-4-2.xsd |
| party | PositionReport | fpml-reporting-4-2.xsd |
| party | QuoteAcceptanceConfirmed | fpml-pretrade-4-2.xsd |
| party | QuoteUpdated | fpml-pretrade-4-2.xsd |
| party | RequestAllocation | fpml-posttrade-4-2.xsd |
| party | RequestAmendmentConfirmation | fpml-posttrade-4-2.xsd |
| party | RequestIncreaseConfirmation | fpml-posttrade-4-2.xsd |
| party | RequestNovationConfirmation | fpml-posttrade-4-2.xsd |
| party | RequestQuote | fpml-pretrade-4-2.xsd |
| party | RequestQuoteResponse | fpml-pretrade-4-2.xsd |
| party | RequestTerminationConfirmation | fpml-posttrade-4-2.xsd |
| party | RequestTradeConfirmation | fpml-tradeexec-4-2.xsd |
| party | RequestTradeMatch | fpml-tradeexec-4-2.xsd |
| party | RequestTradeStatus | fpml-msg-4-2.xsd |
| party | RequestValuationReport | fpml-reporting-4-2.xsd |
| party | TerminationConfirmed | fpml-posttrade-4-2.xsd |
| party | TradeAffirmation | fpml-tradeexec-4-2.xsd |
| party | TradeAffirmed | fpml-tradeexec-4-2.xsd |
| party | TradeAlleged | fpml-tradeexec-4-2.xsd |
| party | TradeAlreadyMatched | fpml-tradeexec-4-2.xsd |
| party | TradeAlreadySubmitted | fpml-tradeexec-4-2.xsd |
| party | TradeAmended | fpml-posttrade-4-2.xsd |
| party | TradeAmendmentRequest | fpml-posttrade-4-2.xsd |
| party | TradeAmendmentResponse | fpml-posttrade-4-2.xsd |
| party | TradeCancelled | fpml-posttrade-4-2.xsd |
| party | TradeConfirmed | fpml-tradeexec-4-2.xsd |
| party | TradeCreated | fpml-posttrade-4-2.xsd |
| party | TradeIncreaseRequest | fpml-posttrade-4-2.xsd |
| party | TradeIncreaseResponse | fpml-posttrade-4-2.xsd |
| party | TradeMatched | fpml-tradeexec-4-2.xsd |
| party | TradeMismatched | fpml-tradeexec-4-2.xsd |
| party | TradeNotFound | fpml-msg-4-2.xsd |
| party | TradeNovated | fpml-posttrade-4-2.xsd |
| party | TradeStatus | fpml-msg-4-2.xsd |
| party | TradeTerminationRequest | fpml-posttrade-4-2.xsd |
| party | TradeTerminationResponse | fpml-posttrade-4-2.xsd |
| party | TradeUnmatched | fpml-tradeexec-4-2.xsd |
| party | ValuationReport | fpml-reporting-4-2.xsd |
| partyId | Party | fpml-doc-4-2.xsd |
| partyMessageInformation | MessageHeader | fpml-msg-4-2.xsd |
| partyName | Party | fpml-doc-4-2.xsd |
| partyPortfolioName | Portfolio | fpml-doc-4-2.xsd |
| partyReference | Allocation | fpml-doc-4-2.xsd |
| partyReference | ExerciseNotice | fpml-shared-4-2.xsd |
| partyReference | PartyMessageInformation | fpml-msg-4-2.xsd |
| partyReference | PartyPortfolioName | fpml-doc-4-2.xsd |
| partyReference | PartyTradeInformation | fpml-doc-4-2.xsd |
| partyReference | ReturnSwapEarlyTermination | fpml-return-swaps-4-2.xsd |
| partyReference | TradeIdentifier | fpml-doc-4-2.xsd |
| partyTradeIdentifier | AllocationCancelled | fpml-posttrade-4-2.xsd |
| partyTradeIdentifier | CancelTradeConfirmation | fpml-tradeexec-4-2.xsd |
| partyTradeIdentifier | CancelTradeMatch | fpml-tradeexec-4-2.xsd |
| partyTradeIdentifier | ConfirmTrade | fpml-tradeexec-4-2.xsd |
| partyTradeIdentifier | PartyTradeIdentifiers | fpml-doc-4-2.xsd |
| partyTradeIdentifier | TradeHeader | fpml-doc-4-2.xsd |
| partyTradeIdentifier | TradeValuationItem | fpml-reporting-4-2.xsd |
| partyTradeInformation | TradeHeader | fpml-doc-4-2.xsd |
| payerPartyReference | EquityPremium | fpml-eqd-4-2.xsd |
| payerPartyReference | ExerciseFee | fpml-shared-4-2.xsd |
| payerPartyReference | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| payerPartyReference | FeaturePayment | fpml-eq-shared-4-2.xsd |
| payerPartyReference | FxOptionPremium | fpml-fx-4-2.xsd |
| payerPartyReference | IndependentAmount | fpml-doc-4-2.xsd |
| payerPartyReference | InitialPayment | fpml-cd-4-2.xsd |
| payerPartyReference | InterestRateStream | fpml-ird-4-2.xsd |
| payerPartyReference | PassThroughItem | fpml-eq-shared-4-2.xsd |
| payerPartyReference | Payment | fpml-shared-4-2.xsd |
| payerPartyReference | PrePayment | fpml-eqd-4-2.xsd |
| payerPartyReference | PrincipalExchangeDescriptions | fpml-return-swaps-4-2.xsd |
| payerPartyReference | QuotablePayment | fpml-pretrade-4-2.xsd |
| payerPartyReference | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| payerPartyReference | ReturnSwapLeg | fpml-return-swaps-4-2.xsd |
| primaryRateSource | FxAverageRateOption | fpml-fx-4-2.xsd |
| primaryRateSource | FxAverageRateOption | fpml-fx-4-2.xsd |
| primaryRateSource | FxSpotRateSource | fpml-shared-4-2.xsd |
| primaryRateSource | FxSpotRateSource | fpml-shared-4-2.xsd |
| publicSource | PubliclyAvailableInformation | fpml-cd-4-2.xsd |
| publicSource | PubliclyAvailableInformation | fpml-cd-4-2.xsd |
| rateSource | FxRateAsset | fpml-asset-4-2.xsd |
| rateSource | FxRateAsset | fpml-asset-4-2.xsd |
| rateSource | InformationSource | fpml-shared-4-2.xsd |
| rateSource | InformationSource | fpml-shared-4-2.xsd |
| rateSourcePage | InformationSource | fpml-shared-4-2.xsd |
| rateSourcePage | InformationSource | fpml-shared-4-2.xsd |
| rateSourcePageHeading | InformationSource | fpml-shared-4-2.xsd |
| rateSourcePageHeading | InformationSource | fpml-shared-4-2.xsd |
| receiverPartyReference | EquityPremium | fpml-eqd-4-2.xsd |
| receiverPartyReference | ExerciseFee | fpml-shared-4-2.xsd |
| receiverPartyReference | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| receiverPartyReference | FeaturePayment | fpml-eq-shared-4-2.xsd |
| receiverPartyReference | FxOptionPremium | fpml-fx-4-2.xsd |
| receiverPartyReference | IndependentAmount | fpml-doc-4-2.xsd |
| receiverPartyReference | InitialPayment | fpml-cd-4-2.xsd |
| receiverPartyReference | InterestRateStream | fpml-ird-4-2.xsd |
| receiverPartyReference | PassThroughItem | fpml-eq-shared-4-2.xsd |
| receiverPartyReference | Payment | fpml-shared-4-2.xsd |
| receiverPartyReference | PrePayment | fpml-eqd-4-2.xsd |
| receiverPartyReference | PrincipalExchangeDescriptions | fpml-return-swaps-4-2.xsd |
| receiverPartyReference | QuotablePayment | fpml-pretrade-4-2.xsd |
| receiverPartyReference | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| receiverPartyReference | ReturnSwapLeg | fpml-return-swaps-4-2.xsd |
| referenceBank | CashSettlementReferenceBanks | fpml-ird-4-2.xsd |
| referenceBankId | ReferenceBank | fpml-shared-4-2.xsd |
| referenceBankName | ReferenceBank | fpml-shared-4-2.xsd |
| remainingParty | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | Novation | fpml-posttrade-4-2.xsd |
| remainingParty | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| remainingParty | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| resourceId | Resource | fpml-posttrade-4-2.xsd |
| resourceId | Resource | fpml-posttrade-4-2.xsd |
| routingAccountNumber | RoutingExplicitDetails | fpml-shared-4-2.xsd |
| routingAccountNumber | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| routingAddress | RoutingExplicitDetails | fpml-shared-4-2.xsd |
| routingAddress | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| secondaryRateSource | FxAverageRateOption | fpml-fx-4-2.xsd |
| secondaryRateSource | FxAverageRateOption | fpml-fx-4-2.xsd |
| secondaryRateSource | FxSpotRateSource | fpml-shared-4-2.xsd |
| secondaryRateSource | FxSpotRateSource | fpml-shared-4-2.xsd |
| sellerPartyReference | CancelableProvision | fpml-ird-4-2.xsd |
| sellerPartyReference | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| sellerPartyReference | ExtendibleProvision | fpml-ird-4-2.xsd |
| sellerPartyReference | Fra | fpml-ird-4-2.xsd |
| sellerPartyReference | FxAverageRateOption | fpml-fx-4-2.xsd |
| sellerPartyReference | FxDigitalOption | fpml-fx-4-2.xsd |
| sellerPartyReference | FxOptionLeg | fpml-fx-4-2.xsd |
| sellerPartyReference | GeneralTerms | fpml-cd-4-2.xsd |
| sellerPartyReference | NotifyingParty | fpml-cd-4-2.xsd |
| sellerPartyReference | ReturnSwapBase | fpml-return-swaps-4-2.xsd |
| sellerPartyReference | SinglePartyOption | fpml-ird-4-2.xsd |
| sellerPartyReference | Swaption | fpml-ird-4-2.xsd |
| settlementMethodElectingPartyReference | EquityExercise | fpml-eqd-4-2.xsd |
| settlementPriceSource | EquityExercise | fpml-eqd-4-2.xsd |
| settlementPriceSource | EquityExercise | fpml-eqd-4-2.xsd |
| settlementRateSource | YieldCurveMethod | fpml-ird-4-2.xsd |
| settlementRateSource | YieldCurveMethod | fpml-ird-4-2.xsd |
| singlePartyOption | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| standardPublicSources | PubliclyAvailableInformation | fpml-cd-4-2.xsd |
| standardPublicSources | PubliclyAvailableInformation | fpml-cd-4-2.xsd |
| streetAddress | Address | fpml-shared-4-2.xsd |
| Component | Contained In | File |
| Account | fpml-doc-4-2.xsd | |
| AccountId | fpml-doc-4-2.xsd | |
| Address | fpml-shared-4-2.xsd | |
| BankruptcyEvent | fpml-posttrade-4-2.xsd | |
| BusinessCenter | fpml-shared-4-2.xsd | |
| BusinessCenters | fpml-shared-4-2.xsd | |
| BusinessCenterTime | fpml-shared-4-2.xsd | |
| CashSettlementReferenceBanks | fpml-ird-4-2.xsd | |
| Country | fpml-shared-4-2.xsd | |
| FxSpotRateSource | fpml-shared-4-2.xsd | |
| FxSpotRateSource | fpml-shared-4-2.xsd | |
| IndexAnnexSource | fpml-cd-4-2.xsd | |
| IndexAnnexSource | fpml-cd-4-2.xsd | |
| InformationSource | fpml-shared-4-2.xsd | |
| InformationSource | fpml-shared-4-2.xsd | |
| IntermediaryInformation | fpml-shared-4-2.xsd | |
| NotifyingParty | fpml-cd-4-2.xsd | |
| Party | fpml-doc-4-2.xsd | |
| PartyId | fpml-doc-4-2.xsd | |
| PartyMessageInformation | fpml-msg-4-2.xsd | |
| PartyPortfolioName | fpml-doc-4-2.xsd | |
| PartyRole | fpml-doc-4-2.xsd | |
| PartyTradeIdentifier | fpml-doc-4-2.xsd | |
| PartyTradeIdentifiers | fpml-doc-4-2.xsd | |
| PartyTradeInformation | fpml-doc-4-2.xsd | |
| RateSourcePage | fpml-shared-4-2.xsd | |
| RateSourcePage | fpml-shared-4-2.xsd | |
| ReferenceBank | fpml-shared-4-2.xsd | |
| ReferenceBankId | fpml-shared-4-2.xsd | |
| Resource | fpml-posttrade-4-2.xsd | |
| Resource | fpml-posttrade-4-2.xsd | |
| ResourceId | fpml-posttrade-4-2.xsd | |
| ResourceId | fpml-posttrade-4-2.xsd | |
| ResourceLength | fpml-posttrade-4-2.xsd | |
| ResourceLength | fpml-posttrade-4-2.xsd | |
| SettlementPriceSource | fpml-shared-4-2.xsd | |
| SettlementPriceSource | fpml-shared-4-2.xsd | |
| SettlementRateSource | fpml-ird-4-2.xsd | |
| SettlementRateSource | fpml-ird-4-2.xsd | |
| SinglePartyOption | fpml-ird-4-2.xsd | |
| StreetAddress | fpml-shared-4-2.xsd |
No components
| Component | Contained In | File |
| additionalTerms | Swap | fpml-ird-4-2.xsd |
| agreementsRegardingHedging | Representations | fpml-eq-shared-4-2.xsd |
| brokerConfirmation | Documentation | fpml-shared-4-2.xsd |
| brokerConfirmationType | BrokerConfirmation | fpml-shared-4-2.xsd |
| cashSettlementTerms | CreditDefaultSwap | fpml-cd-4-2.xsd |
| cashSettlementTerms | FxOptionLeg | fpml-fx-4-2.xsd |
| changeInLaw | AdditionalDisruptionEvents | fpml-eq-shared-4-2.xsd |
| confirmationSenderPartyReference | FxLeg | fpml-fx-4-2.xsd |
| contractReference | ExchangeTradedContract | fpml-asset-4-2.xsd |
| contractualDefinitions | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | Documentation | fpml-shared-4-2.xsd |
| contractualDefinitions | Documentation | fpml-shared-4-2.xsd |
| contractualDefinitions | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | Novation | fpml-posttrade-4-2.xsd |
| contractualDefinitions | Novation | fpml-posttrade-4-2.xsd |
| contractualDefinitions | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualDefinitions | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualMatrix | Documentation | fpml-shared-4-2.xsd |
| contractualSupplement | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | Documentation | fpml-shared-4-2.xsd |
| contractualSupplement | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | Novation | fpml-posttrade-4-2.xsd |
| contractualSupplement | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| contractualSupplement | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| definition | TermPoint | fpml-mktenv-4-2.xsd |
| definition | UnderlyingAsset | fpml-asset-4-2.xsd |
| definitionReference | SensitivitySet | fpml-valuation-4-2.xsd |
| documentation | Trade | fpml-doc-4-2.xsd |
| exchangeTradedContractNearest | EquityOptionTransactionSupplement | fpml-eqd-4-2.xsd |
| exchangeTradedContractNearest | Variance | fpml-return-swaps-4-2.xsd |
| floatingRateDefinition | CalculationPeriod | fpml-ird-4-2.xsd |
| followUpConfirmation | CancelableProvision | fpml-ird-4-2.xsd |
| followUpConfirmation | ExerciseProcedure | fpml-shared-4-2.xsd |
| followUpConfirmation | ExtendibleProvision | fpml-ird-4-2.xsd |
| followUpConfirmation | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| futureContractReference | Future | fpml-asset-4-2.xsd |
| generalTerms | CreditDefaultSwap | fpml-cd-4-2.xsd |
| governingLaw | Trade | fpml-doc-4-2.xsd |
| masterAgreement | Documentation | fpml-shared-4-2.xsd |
| masterAgreementDate | MasterAgreement | fpml-shared-4-2.xsd |
| masterAgreementType | MasterAgreement | fpml-shared-4-2.xsd |
| masterConfirmation | Documentation | fpml-shared-4-2.xsd |
| masterConfirmationAnnexDate | MasterConfirmation | fpml-shared-4-2.xsd |
| masterConfirmationDate | Allocation | fpml-doc-4-2.xsd |
| masterConfirmationDate | MasterConfirmation | fpml-shared-4-2.xsd |
| masterConfirmationType | MasterConfirmation | fpml-shared-4-2.xsd |
| notDomesticLaw | DeliverableObligations | fpml-cd-4-2.xsd |
| notDomesticLaw | Obligations | fpml-cd-4-2.xsd |
| physicalSettlementTerms | CreditDefaultSwap | fpml-cd-4-2.xsd |
| protectionTerms | CreditDefaultSwap | fpml-cd-4-2.xsd |
| sensitivityDefinition | SensitivitySetDefinition | fpml-riskdef-4-2.xsd |
| sensitivitySetDefinition | ValuationSet | fpml-valuation-4-2.xsd |
| Component | Contained In | File |
| bulletPayment | fpml-ird-4-2.xsd |
| Component | Contained In | File |
| accountBeneficiary | Account | fpml-doc-4-2.xsd |
| additionalPayment | CapFloor | fpml-ird-4-2.xsd |
| additionalPayment | ReturnSwap | fpml-return-swaps-4-2.xsd |
| additionalPayment | Swap | fpml-ird-4-2.xsd |
| additionalPaymentAmount | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| additionalPaymentDate | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| adjustablePaymentDate | InitialPayment | fpml-cd-4-2.xsd |
| adjustablePaymentDate | PaymentDetail | fpml-doc-4-2.xsd |
| adjustablePaymentDate | SinglePayment | fpml-cd-4-2.xsd |
| adjustedCashSettlementPaymentDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustedExerciseFeePaymentDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedExerciseFeePaymentDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedPaymentDate | AdjustedPaymentDates | fpml-cd-4-2.xsd |
| adjustedPaymentDate | InitialPayment | fpml-cd-4-2.xsd |
| adjustedPaymentDate | Payment | fpml-shared-4-2.xsd |
| adjustedPaymentDate | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| adjustedPaymentDate | PaymentDetail | fpml-doc-4-2.xsd |
| adjustedPaymentDate | SinglePayment | fpml-cd-4-2.xsd |
| adjustedPaymentDates | PeriodicPayment | fpml-cd-4-2.xsd |
| beneficiary | SettlementInstruction | fpml-shared-4-2.xsd |
| beneficiary | SplitSettlement | fpml-shared-4-2.xsd |
| beneficiary | TradeSide | fpml-doc-4-2.xsd |
| beneficiaryBank | SettlementInstruction | fpml-shared-4-2.xsd |
| beneficiaryBank | SplitSettlement | fpml-shared-4-2.xsd |
| cashSettlement | MandatoryEarlyTermination | fpml-ird-4-2.xsd |
| cashSettlement | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| cashSettlement | ReturnSwapAmount | fpml-return-swaps-4-2.xsd |
| cashSettlement | Swaption | fpml-ird-4-2.xsd |
| cashSettlementAmount | CashSettlementTerms | fpml-cd-4-2.xsd |
| cashSettlementBusinessDays | CashSettlementTerms | fpml-cd-4-2.xsd |
| cashSettlementCurrency | CashPriceMethod | fpml-ird-4-2.xsd |
| cashSettlementPaymentDate | CashSettlement | fpml-ird-4-2.xsd |
| cashSettlementPaymentDate | CashSettlement | fpml-ird-4-2.xsd |
| cashSettlementPaymentDate | VarianceAmount | fpml-return-swaps-4-2.xsd |
| cashSettlementPaymentDate | VarianceAmount | fpml-return-swaps-4-2.xsd |
| cashSettlementReferenceBanks | CashPriceMethod | fpml-ird-4-2.xsd |
| cashSettlementReferenceBanks | SettlementRateSource | fpml-ird-4-2.xsd |
| cashSettlementTerms | CreditDefaultSwap | fpml-cd-4-2.xsd |
| cashSettlementTerms | FxOptionLeg | fpml-fx-4-2.xsd |
| cashSettlementValuationDate | CashSettlement | fpml-ird-4-2.xsd |
| cashSettlementValuationTime | CashSettlement | fpml-ird-4-2.xsd |
| correspondentInformation | SettlementInstruction | fpml-shared-4-2.xsd |
| couponPayment | BasketConstituent | fpml-asset-4-2.xsd |
| couponPayment | SingleUnderlyer | fpml-asset-4-2.xsd |
| dateRelativeToPaymentDates | FxFixingDate | fpml-ird-4-2.xsd |
| dividendPayment | DividendPayout | fpml-asset-4-2.xsd |
| dividendPaymentDate | DividendConditions | fpml-shared-4-2.xsd |
| equityPaymentDateFinal | DeprecatedEquityPaymentDates | fpml-return-swaps-4-2.xsd |
| equityPaymentDates | DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd |
| equityPaymentDatesInterim | DeprecatedEquityPaymentDates | fpml-return-swaps-4-2.xsd |
| featurePayment | TriggerEvent | fpml-eq-shared-4-2.xsd |
| featurePaymentDate | FeaturePayment | fpml-eq-shared-4-2.xsd |
| feePaymentDate | ExerciseFee | fpml-shared-4-2.xsd |
| feePaymentDate | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| firstPaymentDate | PaymentDates | fpml-ird-4-2.xsd |
| firstPaymentDate | PeriodicPayment | fpml-cd-4-2.xsd |
| fixedPaymentAmount | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| forecastPaymentAmount | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| initialPayment | FeeLeg | fpml-cd-4-2.xsd |
| interestLegPaymentDates | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| intermediaryInformation | SettlementInstruction | fpml-shared-4-2.xsd |
| intermediarySequenceNumber | IntermediaryInformation | fpml-shared-4-2.xsd |
| lastRegularPaymentDate | PaymentDates | fpml-ird-4-2.xsd |
| lastRegularPaymentDate | PeriodicPayment | fpml-cd-4-2.xsd |
| nonDeliverableSettlement | SettlementProvision | fpml-ird-4-2.xsd |
| otherPartyPayment | Trade | fpml-doc-4-2.xsd |
| partialCashSettlement | PCDeliverableObligationCharac | fpml-cd-4-2.xsd |
| payment | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | Amendment | fpml-posttrade-4-2.xsd |
| payment | BulletPayment | fpml-ird-4-2.xsd |
| payment | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | Increase | fpml-posttrade-4-2.xsd |
| payment | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | Novation | fpml-posttrade-4-2.xsd |
| payment | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | TermDeposit | fpml-fx-4-2.xsd |
| payment | Termination | fpml-posttrade-4-2.xsd |
| paymentAmount | AdditionalPaymentAmount | fpml-return-swaps-4-2.xsd |
| paymentAmount | AdjustedPaymentDates | fpml-cd-4-2.xsd |
| paymentAmount | EquityPremium | fpml-eqd-4-2.xsd |
| paymentAmount | InitialPayment | fpml-cd-4-2.xsd |
| paymentAmount | Payment | fpml-shared-4-2.xsd |
| paymentAmount | PaymentDetail | fpml-doc-4-2.xsd |
| paymentAmount | PaymentDetail | fpml-doc-4-2.xsd |
| paymentAmount | QuotablePayment | fpml-pretrade-4-2.xsd |
| paymentCalculationPeriod | Cashflows | fpml-ird-4-2.xsd |
| paymentCurrency | DividendConditions | fpml-shared-4-2.xsd |
| paymentCurrency | LegAmount | fpml-return-swaps-4-2.xsd |
| paymentDate | EquityPremium | fpml-eqd-4-2.xsd |
| paymentDate | Fra | fpml-ird-4-2.xsd |
| paymentDate | Payment | fpml-shared-4-2.xsd |
| paymentDate | PendingPayment | fpml-asset-4-2.xsd |
| paymentDate | QuotablePayment | fpml-pretrade-4-2.xsd |
| paymentDateFinal | ReturnSwapPaymentDates | fpml-return-swaps-4-2.xsd |
| paymentDates | InterestRateStream | fpml-ird-4-2.xsd |
| paymentDates | ReturnLegValuation | fpml-return-swaps-4-2.xsd |
| paymentDatesAdjustments | PaymentDates | fpml-ird-4-2.xsd |
| paymentDatesInterim | ReturnSwapPaymentDates | fpml-return-swaps-4-2.xsd |
| paymentDatesReference | DateRelativeToPaymentDates | fpml-ird-4-2.xsd |
| paymentDaysOffset | PaymentDates | fpml-ird-4-2.xsd |
| paymentDetail | IndependentAmount | fpml-doc-4-2.xsd |
| paymentFrequency | Bond | fpml-asset-4-2.xsd |
| paymentFrequency | Deposit | fpml-asset-4-2.xsd |
| paymentFrequency | PaymentDates | fpml-ird-4-2.xsd |
| paymentFrequency | PeriodicPayment | fpml-cd-4-2.xsd |
| paymentFrequency | RateIndex | fpml-asset-4-2.xsd |
| paymentFrequency | ReturnSwapLeg | fpml-return-swaps-4-2.xsd |
| paymentFrequency | SimpleCreditDefaultSwap | fpml-asset-4-2.xsd |
| paymentFrequency | SimpleIRSwap | fpml-asset-4-2.xsd |
| paymentPercent | PercentageRule | fpml-doc-4-2.xsd |
| paymentRequirement | FailureToPay | fpml-cd-4-2.xsd |
| paymentRule | PaymentDetail | fpml-doc-4-2.xsd |
| paymentType | Payment | fpml-shared-4-2.xsd |
| paymentType | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| periodicPayment | FeeLeg | fpml-cd-4-2.xsd |
| physicalSettlement | CreditDerivativesNotices | fpml-posttrade-4-2.xsd |
| physicalSettlementPeriod | PhysicalSettlementTerms | fpml-cd-4-2.xsd |
| physicalSettlementTerms | CreditDefaultSwap | fpml-cd-4-2.xsd |
| premiumSettlementDate | FxOptionPremium | fpml-fx-4-2.xsd |
| prePayment | EquityExercise | fpml-eqd-4-2.xsd |
| prePayment | PrePayment | fpml-eqd-4-2.xsd |
| prePaymentAmount | PrePayment | fpml-eqd-4-2.xsd |
| prePaymentDate | PrePayment | fpml-eqd-4-2.xsd |
| routingAccountNumber | RoutingExplicitDetails | fpml-shared-4-2.xsd |
| routingAccountNumber | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| routingAddress | RoutingExplicitDetails | fpml-shared-4-2.xsd |
| routingAddress | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| routingExplicitDetails | IntermediaryInformation | fpml-shared-4-2.xsd |
| routingExplicitDetails | Routing | fpml-shared-4-2.xsd |
| routingId | RoutingIds | fpml-shared-4-2.xsd |
| routingIds | IntermediaryInformation | fpml-shared-4-2.xsd |
| routingIds | Routing | fpml-shared-4-2.xsd |
| routingIds | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| routingIdsAndExplicitDetails | IntermediaryInformation | fpml-shared-4-2.xsd |
| routingIdsAndExplicitDetails | Routing | fpml-shared-4-2.xsd |
| routingName | RoutingExplicitDetails | fpml-shared-4-2.xsd |
| routingName | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| routingReferenceText | RoutingExplicitDetails | fpml-shared-4-2.xsd |
| routingReferenceText | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| settlementAmount | EquityOptionTermination | fpml-eqd-4-2.xsd |
| settlementAmountPaymentDate | EquityOptionTermination | fpml-eqd-4-2.xsd |
| settlementAmountPaymentDate | EquityOptionTermination | fpml-eqd-4-2.xsd |
| settlementCurrency | EquityExercise | fpml-eqd-4-2.xsd |
| settlementCurrency | FxCashSettlement | fpml-shared-4-2.xsd |
| settlementCurrency | SettlementProvision | fpml-ird-4-2.xsd |
| settlementCurrency | SettlementTerms | fpml-cd-4-2.xsd |
| settlementCurrencyYieldCurve | FxCurveValuation | fpml-mktenv-4-2.xsd |
| settlementDate | EquityExercise | fpml-eqd-4-2.xsd |
| settlementInformation | FxOptionPayout | fpml-fx-4-2.xsd |
| settlementInformation | FxOptionPremium | fpml-fx-4-2.xsd |
| settlementInformation | Payment | fpml-shared-4-2.xsd |
| settlementInstruction | SettlementInformation | fpml-shared-4-2.xsd |
| settlementMethod | SettlementInstruction | fpml-shared-4-2.xsd |
| settlementMethodElectingPartyReference | EquityExercise | fpml-eqd-4-2.xsd |
| settlementMethodElectionDate | EquityExercise | fpml-eqd-4-2.xsd |
| settlementPriceSource | EquityExercise | fpml-eqd-4-2.xsd |
| settlementProvision | InterestRateStream | fpml-ird-4-2.xsd |
| settlementRateOption | NonDeliverableSettlement | fpml-ird-4-2.xsd |
| settlementRateSource | YieldCurveMethod | fpml-ird-4-2.xsd |
| settlementType | EquityExercise | fpml-eqd-4-2.xsd |
| singlePayment | FeeLeg | fpml-cd-4-2.xsd |
| sixtyBusinessDaySettlementCap | PhysicalSettlementTerms | fpml-cd-4-2.xsd |
| splitSettlement | SettlementInstruction | fpml-shared-4-2.xsd |
| splitSettlementAmount | SplitSettlement | fpml-shared-4-2.xsd |
| standardSettlementStyle | SettlementInformation | fpml-shared-4-2.xsd |
| unadjustedPaymentDate | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| varyingNotionalInterimExchangePaymentDates | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| Component | Contained In | File |
| AdditionalPaymentAmount | fpml-return-swaps-4-2.xsd | |
| AdjustedPaymentDates | fpml-cd-4-2.xsd | |
| BulletPayment | fpml-ird-4-2.xsd | |
| CashSettlement | fpml-ird-4-2.xsd | |
| CashSettlementPaymentDate | fpml-ird-4-2.xsd | |
| CashSettlementPaymentDate | fpml-ird-4-2.xsd | |
| CashSettlementReferenceBanks | fpml-ird-4-2.xsd | |
| CashSettlementTerms | fpml-cd-4-2.xsd | |
| DateRelativeToPaymentDates | fpml-ird-4-2.xsd | |
| DeprecatedEquityPaymentDates | fpml-return-swaps-4-2.xsd | |
| DividendPaymentDate | fpml-shared-4-2.xsd | |
| FeaturePayment | fpml-eq-shared-4-2.xsd | |
| FxCashSettlement | fpml-shared-4-2.xsd | |
| InitialPayment | fpml-cd-4-2.xsd | |
| IntermediaryInformation | fpml-shared-4-2.xsd | |
| NonDeliverableSettlement | fpml-ird-4-2.xsd | |
| Payment | fpml-shared-4-2.xsd | |
| PaymentCalculationPeriod | fpml-ird-4-2.xsd | |
| PaymentCurrency | fpml-shared-4-2.xsd | |
| PaymentDates | fpml-ird-4-2.xsd | |
| PaymentDetail | fpml-doc-4-2.xsd | |
| PaymentRule | fpml-doc-4-2.xsd | |
| PaymentType | fpml-shared-4-2.xsd | |
| PendingPayment | fpml-asset-4-2.xsd | |
| PeriodicPayment | fpml-cd-4-2.xsd | |
| PhysicalSettlementPeriod | fpml-cd-4-2.xsd | |
| PhysicalSettlementTerms | fpml-cd-4-2.xsd | |
| PrePayment | fpml-eqd-4-2.xsd | |
| QuotablePayment | fpml-pretrade-4-2.xsd | |
| ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd | |
| ReturnSwapPaymentDates | fpml-return-swaps-4-2.xsd | |
| Routing | fpml-shared-4-2.xsd | |
| RoutingExplicitDetails | fpml-shared-4-2.xsd | |
| RoutingId | fpml-shared-4-2.xsd | |
| RoutingIds | fpml-shared-4-2.xsd | |
| RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd | |
| SettlementInformation | fpml-shared-4-2.xsd | |
| SettlementInstruction | fpml-shared-4-2.xsd | |
| SettlementMethod | fpml-shared-4-2.xsd | |
| SettlementPriceSource | fpml-shared-4-2.xsd | |
| SettlementProvision | fpml-ird-4-2.xsd | |
| SettlementRateOption | fpml-ird-4-2.xsd | |
| SettlementRateSource | fpml-ird-4-2.xsd | |
| SettlementTerms | fpml-cd-4-2.xsd | |
| SinglePayment | fpml-cd-4-2.xsd | |
| SplitSettlement | fpml-shared-4-2.xsd |
| Component | Contained In | File |
| creditCurveValuation | fpml-mktenv-4-2.xsd | |
| fxCurveValuation | fpml-mktenv-4-2.xsd | |
| pricingStructureValuation | fpml-mktenv-4-2.xsd | |
| valuationSet | fpml-valuation-4-2.xsd | |
| volatilityMatrixValuation | fpml-mktenv-4-2.xsd | |
| yieldCurveValuation | fpml-mktenv-4-2.xsd |
| Component | Contained In | File |
| adjustedCashSettlementValuationDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustmentValue | ParametricAdjustmentPoint | fpml-mktenv-4-2.xsd |
| assetValuation | ValuationSet | fpml-valuation-4-2.xsd |
| associatedValue | ScheduledDate | fpml-valuation-4-2.xsd |
| associatedValueReference | ScheduledDate | fpml-valuation-4-2.xsd |
| baseValuationScenario | DerivedValuationScenario | fpml-valuation-4-2.xsd |
| baseValue | TradeDifference | fpml-tradeexec-4-2.xsd |
| cashSettlementValuationDate | CashSettlement | fpml-ird-4-2.xsd |
| cashSettlementValuationTime | CashSettlement | fpml-ird-4-2.xsd |
| currency1ValueDate | FxLeg | fpml-fx-4-2.xsd |
| currency2ValueDate | FxLeg | fpml-fx-4-2.xsd |
| equityValuation | DeprecatedEquityLegValuationPrice | fpml-return-swaps-4-2.xsd |
| equityValuation | EquityExercise | fpml-eqd-4-2.xsd |
| equityValuation | VarianceLeg | fpml-return-swaps-4-2.xsd |
| futuresPriceValuation | EquityValuation | fpml-eq-shared-4-2.xsd |
| initialValue | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| initialValue | Schedule | fpml-shared-4-2.xsd |
| lengthValue | ResourceLength | fpml-posttrade-4-2.xsd |
| multipleValuationDates | ValuationDate | fpml-cd-4-2.xsd |
| numberValuationDates | MultipleValuationDates | fpml-cd-4-2.xsd |
| optionsPriceValuation | EquityValuation | fpml-eq-shared-4-2.xsd |
| otherValue | TradeDifference | fpml-tradeexec-4-2.xsd |
| parameterValue | ParametricAdjustmentPoint | fpml-mktenv-4-2.xsd |
| parValue | Bond | fpml-asset-4-2.xsd |
| portfolioValuationItem | RequestValuationReport | fpml-reporting-4-2.xsd |
| portfolioValuationItem | ValuationReport | fpml-reporting-4-2.xsd |
| premiumValue | PremiumQuote | fpml-fx-4-2.xsd |
| presentValueAmount | Payment | fpml-shared-4-2.xsd |
| presentValueAmount | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| presentValuePrincipalExchangeAmount | PrincipalExchange | fpml-ird-4-2.xsd |
| queryParameterValue | QueryParameter | fpml-doc-4-2.xsd |
| singleValuationDate | ValuationDate | fpml-cd-4-2.xsd |
| spreadValue | TermPoint | fpml-mktenv-4-2.xsd |
| stepValue | Step | fpml-shared-4-2.xsd |
| tradeStatusValue | TradeStatusItem | fpml-msg-4-2.xsd |
| tradeValuationItem | PortfolioValuationItem | fpml-reporting-4-2.xsd |
| tradeValuationItem | RequestValuationReport | fpml-reporting-4-2.xsd |
| tradeValuationItem | ValuationReport | fpml-reporting-4-2.xsd |
| valuation | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| valuation | Valuations | fpml-valuation-4-2.xsd |
| valuationDate | CashSettlementTerms | fpml-cd-4-2.xsd |
| valuationDate | DerivedValuationScenario | fpml-valuation-4-2.xsd |
| valuationDate | EquityValuation | fpml-eq-shared-4-2.xsd |
| valuationDate | ValuationScenario | fpml-valuation-4-2.xsd |
| valuationDates | EquityValuation | fpml-eq-shared-4-2.xsd |
| valuationMethod | CashSettlementTerms | fpml-cd-4-2.xsd |
| valuationPriceFinal | DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd |
| valuationPriceFinal | ReturnLegValuation | fpml-return-swaps-4-2.xsd |
| valuationPriceInterim | DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd |
| valuationPriceInterim | ReturnLegValuation | fpml-return-swaps-4-2.xsd |
| valuationProvider | ReportingRoles | fpml-valuation-4-2.xsd |
| valuationReference | Valuations | fpml-valuation-4-2.xsd |
| valuationRules | ReturnLegValuationPrice | fpml-return-swaps-4-2.xsd |
| valuations | Position | fpml-valuation-4-2.xsd |
| valuationScenario | PositionReport | fpml-reporting-4-2.xsd |
| valuationScenario | ValuationSet | fpml-valuation-4-2.xsd |
| valuationScenarioReference | SensitivityDefinition | fpml-riskdef-4-2.xsd |
| valuationScenarioReference | SensitivitySetDefinition | fpml-riskdef-4-2.xsd |
| valuationScenarioReference | Valuation | fpml-valuation-base-4-2.xsd |
| valuationScenarioReference | ValuationSet | fpml-valuation-4-2.xsd |
| valuationTime | CashSettlementTerms | fpml-cd-4-2.xsd |
| valuationTime | EquityValuation | fpml-eq-shared-4-2.xsd |
| valuationTimeType | EquityValuation | fpml-eq-shared-4-2.xsd |
| value | BasicQuotation | fpml-valuation-base-4-2.xsd |
| value | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| value | Quotation | fpml-valuation-4-2.xsd |
| valueDate | FxAverageRateOption | fpml-fx-4-2.xsd |
| valueDate | FxDigitalOption | fpml-fx-4-2.xsd |
| valueDate | FxLeg | fpml-fx-4-2.xsd |
| valueDate | FxOptionLeg | fpml-fx-4-2.xsd |
| Component | Contained In | File |
| AssetValuation | fpml-valuation-4-2.xsd | |
| BasicAssetValuation | fpml-valuation-base-4-2.xsd | |
| CreditCurveValuation | fpml-mktenv-4-2.xsd | |
| DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd | |
| DeprecatedEquityLegValuationPrice | fpml-return-swaps-4-2.xsd | |
| DerivedValuationScenario | fpml-valuation-4-2.xsd | |
| EquityValuation | fpml-eq-shared-4-2.xsd | |
| EquityValuationDate | fpml-eq-shared-4-2.xsd | |
| FxCurveValuation | fpml-mktenv-4-2.xsd | |
| MultipleValuationDates | fpml-cd-4-2.xsd | |
| PortfolioValuationItem | fpml-reporting-4-2.xsd | |
| PricingStructureValuation | fpml-mktenv-4-2.xsd | |
| RequestValuationReport | fpml-reporting-4-2.xsd | |
| ReturnLegValuation | fpml-return-swaps-4-2.xsd | |
| ReturnLegValuationPrice | fpml-return-swaps-4-2.xsd | |
| SingleValuationDate | fpml-cd-4-2.xsd | |
| TradeStatusValue | fpml-msg-4-2.xsd | |
| TradeValuationItem | fpml-reporting-4-2.xsd | |
| Valuation | fpml-valuation-base-4-2.xsd | |
| ValuationDate | fpml-cd-4-2.xsd | |
| ValuationDocument | fpml-main-4-2.xsd | |
| ValuationReport | fpml-reporting-4-2.xsd | |
| Valuations | fpml-valuation-4-2.xsd | |
| ValuationScenario | fpml-valuation-4-2.xsd | |
| ValuationSet | fpml-valuation-4-2.xsd | |
| ValuationSetDetail | fpml-valuation-4-2.xsd | |
| YieldCurveValuation | fpml-mktenv-4-2.xsd |
No components
| Component | Contained In | File |
| accountReference | Allocation | fpml-doc-4-2.xsd |
| assetReference | ForwardRateCurve | fpml-mktenv-4-2.xsd |
| assetReference | PricingMethod | fpml-mktenv-4-2.xsd |
| assetReference | ScheduledDate | fpml-valuation-4-2.xsd |
| associatedValueReference | ScheduledDate | fpml-valuation-4-2.xsd |
| bondReference | SwapAdditionalTerms | fpml-ird-4-2.xsd |
| brokerPartyReference | Trade | fpml-doc-4-2.xsd |
| businessCentersReference | BusinessDateRange | fpml-shared-4-2.xsd |
| businessCentersReference | BusinessDayAdjustments | fpml-shared-4-2.xsd |
| businessCentersReference | FxFixingDate | fpml-ird-4-2.xsd |
| businessCentersReference | RelativeDateOffset | fpml-shared-4-2.xsd |
| businessCentersReference | RelativeDateSequence | fpml-shared-4-2.xsd |
| buyerPartyReference | CancelableProvision | fpml-ird-4-2.xsd |
| buyerPartyReference | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| buyerPartyReference | ExtendibleProvision | fpml-ird-4-2.xsd |
| buyerPartyReference | Fra | fpml-ird-4-2.xsd |
| buyerPartyReference | FxAverageRateOption | fpml-fx-4-2.xsd |
| buyerPartyReference | FxDigitalOption | fpml-fx-4-2.xsd |
| buyerPartyReference | FxOptionLeg | fpml-fx-4-2.xsd |
| buyerPartyReference | GeneralTerms | fpml-cd-4-2.xsd |
| buyerPartyReference | NotifyingParty | fpml-cd-4-2.xsd |
| buyerPartyReference | ReturnSwapBase | fpml-return-swaps-4-2.xsd |
| buyerPartyReference | SinglePartyOption | fpml-ird-4-2.xsd |
| buyerPartyReference | Swaption | fpml-ird-4-2.xsd |
| calculationAgentPartyReference | CalculationAgent | fpml-shared-4-2.xsd |
| calculationPeriodDatesReference | InterestLegResetDates | fpml-return-swaps-4-2.xsd |
| calculationPeriodDatesReference | NotionalStepRule | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | PaymentDates | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | ResetDates | fpml-ird-4-2.xsd |
| calculationPeriodDatesReference | StubCalculationPeriodAmount | fpml-ird-4-2.xsd |
| cashSettlementReferenceBanks | CashPriceMethod | fpml-ird-4-2.xsd |
| cashSettlementReferenceBanks | SettlementRateSource | fpml-ird-4-2.xsd |
| confirmationSenderPartyReference | FxLeg | fpml-fx-4-2.xsd |
| constantNotionalScheduleReference | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| contractReference | ExchangeTradedContract | fpml-asset-4-2.xsd |
| coordinateReference | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| coordinateReference | SensitivityDefinition | fpml-riskdef-4-2.xsd |
| creditEntityReference | CreditCurve | fpml-mktenv-4-2.xsd |
| creditEntityReference | SimpleCreditDefaultSwap | fpml-asset-4-2.xsd |
| dateAdjustmentsReference | AdjustableDate2 | fpml-shared-4-2.xsd |
| definitionReference | SensitivitySet | fpml-valuation-4-2.xsd |
| determiningPartyReference | AdditionalDisruptionEvents | fpml-eq-shared-4-2.xsd |
| dividendDateReference | DividendPaymentDate | fpml-shared-4-2.xsd |
| excludedReferenceEntity | IndexReferenceInformation | fpml-cd-4-2.xsd |
| exerciseNoticePartyReference | ExerciseNotice | fpml-shared-4-2.xsd |
| futureContractReference | Future | fpml-asset-4-2.xsd |
| guarantorReference | ReferenceObligation | fpml-cd-4-2.xsd |
| indexReferenceInformation | GeneralTerms | fpml-cd-4-2.xsd |
| initialPayerReference | TermDeposit | fpml-fx-4-2.xsd |
| initialReceiverReference | TermDeposit | fpml-fx-4-2.xsd |
| inputDateReference | PricingParameterDerivative | fpml-riskdef-4-2.xsd |
| marketReference | DerivedValuationScenario | fpml-valuation-4-2.xsd |
| marketReference | ValuationScenario | fpml-valuation-4-2.xsd |
| newTransactionReference | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | Novation | fpml-posttrade-4-2.xsd |
| newTransactionReference | Novation | fpml-posttrade-4-2.xsd |
| newTransactionReference | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| newTransactionReference | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| noReferenceObligation | ReferenceInformation | fpml-cd-4-2.xsd |
| noReferenceObligation | ReferencePair | fpml-cd-4-2.xsd |
| notifiedPartyReference | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| notifyingPartyReference | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| notionalAmountReference | PercentageRule | fpml-doc-4-2.xsd |
| notionalReference | ExerciseFee | fpml-shared-4-2.xsd |
| notionalReference | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| notionalReference | PartialExercise | fpml-shared-4-2.xsd |
| objectReference | Valuation | fpml-valuation-base-4-2.xsd |
| oldTransactionReference | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | Novation | fpml-posttrade-4-2.xsd |
| oldTransactionReference | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| oldTransactionReference | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| originalInputReference | PricingInputReplacement | fpml-valuation-4-2.xsd |
| othReferenceEntityObligations | DeliverableObligations | fpml-cd-4-2.xsd |
| othReferenceEntityObligations | Obligations | fpml-cd-4-2.xsd |
| parameterReference | PricingParameterDerivative | fpml-riskdef-4-2.xsd |
| parameterReference | PricingParameterShift | fpml-riskdef-4-2.xsd |
| partialDerivativeReference | FormulaTerm | fpml-riskdef-4-2.xsd |
| partialDerivativeReference | WeightedPartialDerivative | fpml-riskdef-4-2.xsd |
| partyReference | Allocation | fpml-doc-4-2.xsd |
| partyReference | ExerciseNotice | fpml-shared-4-2.xsd |
| partyReference | PartyMessageInformation | fpml-msg-4-2.xsd |
| partyReference | PartyPortfolioName | fpml-doc-4-2.xsd |
| partyReference | PartyTradeInformation | fpml-doc-4-2.xsd |
| partyReference | ReturnSwapEarlyTermination | fpml-return-swaps-4-2.xsd |
| partyReference | TradeIdentifier | fpml-doc-4-2.xsd |
| payerPartyReference | EquityPremium | fpml-eqd-4-2.xsd |
| payerPartyReference | ExerciseFee | fpml-shared-4-2.xsd |
| payerPartyReference | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| payerPartyReference | FeaturePayment | fpml-eq-shared-4-2.xsd |
| payerPartyReference | FxOptionPremium | fpml-fx-4-2.xsd |
| payerPartyReference | IndependentAmount | fpml-doc-4-2.xsd |
| payerPartyReference | InitialPayment | fpml-cd-4-2.xsd |
| payerPartyReference | InterestRateStream | fpml-ird-4-2.xsd |
| payerPartyReference | PassThroughItem | fpml-eq-shared-4-2.xsd |
| payerPartyReference | Payment | fpml-shared-4-2.xsd |
| payerPartyReference | PrePayment | fpml-eqd-4-2.xsd |
| payerPartyReference | PrincipalExchangeDescriptions | fpml-return-swaps-4-2.xsd |
| payerPartyReference | QuotablePayment | fpml-pretrade-4-2.xsd |
| payerPartyReference | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| payerPartyReference | ReturnSwapLeg | fpml-return-swaps-4-2.xsd |
| paymentDatesReference | DateRelativeToPaymentDates | fpml-ird-4-2.xsd |
| premiumProductReference | Strategy | fpml-doc-4-2.xsd |
| pricingInputReference | PricingMethod | fpml-mktenv-4-2.xsd |
| pricingInputReference | SensitivitySetDefinition | fpml-riskdef-4-2.xsd |
| primaryObligorReference | ReferenceObligation | fpml-cd-4-2.xsd |
| rateReference | RateObservation | fpml-shared-4-2.xsd |
| receiverPartyReference | EquityPremium | fpml-eqd-4-2.xsd |
| receiverPartyReference | ExerciseFee | fpml-shared-4-2.xsd |
| receiverPartyReference | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| receiverPartyReference | FeaturePayment | fpml-eq-shared-4-2.xsd |
| receiverPartyReference | FxOptionPremium | fpml-fx-4-2.xsd |
| receiverPartyReference | IndependentAmount | fpml-doc-4-2.xsd |
| receiverPartyReference | InitialPayment | fpml-cd-4-2.xsd |
| receiverPartyReference | InterestRateStream | fpml-ird-4-2.xsd |
| receiverPartyReference | PassThroughItem | fpml-eq-shared-4-2.xsd |
| receiverPartyReference | Payment | fpml-shared-4-2.xsd |
| receiverPartyReference | PrePayment | fpml-eqd-4-2.xsd |
| receiverPartyReference | PrincipalExchangeDescriptions | fpml-return-swaps-4-2.xsd |
| receiverPartyReference | QuotablePayment | fpml-pretrade-4-2.xsd |
| receiverPartyReference | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| receiverPartyReference | ReturnSwapLeg | fpml-return-swaps-4-2.xsd |
| referenceAmount | LegAmount | fpml-return-swaps-4-2.xsd |
| referenceBank | CashSettlementReferenceBanks | fpml-ird-4-2.xsd |
| referenceBankId | ReferenceBank | fpml-shared-4-2.xsd |
| referenceBankName | ReferenceBank | fpml-shared-4-2.xsd |
| referenceCurrency | FxFeature | fpml-eq-shared-4-2.xsd |
| referenceCurrency | NonDeliverableSettlement | fpml-ird-4-2.xsd |
| referenceEntity | CreditCurve | fpml-mktenv-4-2.xsd |
| referenceEntity | CreditEventNoticeDocument | fpml-posttrade-4-2.xsd |
| referenceEntity | ReferenceInformation | fpml-cd-4-2.xsd |
| referenceEntity | ReferencePair | fpml-cd-4-2.xsd |
| referenceEntity | SimpleCreditDefaultSwap | fpml-asset-4-2.xsd |
| referenceInformation | GeneralTerms | fpml-cd-4-2.xsd |
| referenceObligation | ReferenceInformation | fpml-cd-4-2.xsd |
| referenceObligation | ReferencePair | fpml-cd-4-2.xsd |
| referencePair | ReferencePoolItem | fpml-cd-4-2.xsd |
| referencePrice | ReferenceInformation | fpml-cd-4-2.xsd |
| replacementInputReference | PricingInputReplacement | fpml-valuation-4-2.xsd |
| resetDatesReference | PaymentDates | fpml-ird-4-2.xsd |
| routingReferenceText | RoutingExplicitDetails | fpml-shared-4-2.xsd |
| routingReferenceText | RoutingIdsAndExplicitDetails | fpml-shared-4-2.xsd |
| sellerPartyReference | CancelableProvision | fpml-ird-4-2.xsd |
| sellerPartyReference | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| sellerPartyReference | ExtendibleProvision | fpml-ird-4-2.xsd |
| sellerPartyReference | Fra | fpml-ird-4-2.xsd |
| sellerPartyReference | FxAverageRateOption | fpml-fx-4-2.xsd |
| sellerPartyReference | FxDigitalOption | fpml-fx-4-2.xsd |
| sellerPartyReference | FxOptionLeg | fpml-fx-4-2.xsd |
| sellerPartyReference | GeneralTerms | fpml-cd-4-2.xsd |
| sellerPartyReference | NotifyingParty | fpml-cd-4-2.xsd |
| sellerPartyReference | ReturnSwapBase | fpml-return-swaps-4-2.xsd |
| sellerPartyReference | SinglePartyOption | fpml-ird-4-2.xsd |
| sellerPartyReference | Swaption | fpml-ird-4-2.xsd |
| settlementMethodElectingPartyReference | EquityExercise | fpml-eqd-4-2.xsd |
| tradeReference | AffectedTransactions | fpml-posttrade-4-2.xsd |
| tradeReference | Increase | fpml-posttrade-4-2.xsd |
| tradeReference | PositionConstituent | fpml-valuation-4-2.xsd |
| tradeReference | Termination | fpml-posttrade-4-2.xsd |
| underlyerReference | PassThroughItem | fpml-eq-shared-4-2.xsd |
| underlyingAssetReference | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| unknownReferenceObligation | ReferenceInformation | fpml-cd-4-2.xsd |
| valuationReference | Valuations | fpml-valuation-4-2.xsd |
| valuationScenarioReference | SensitivityDefinition | fpml-riskdef-4-2.xsd |
| valuationScenarioReference | SensitivitySetDefinition | fpml-riskdef-4-2.xsd |
| valuationScenarioReference | Valuation | fpml-valuation-base-4-2.xsd |
| valuationScenarioReference | ValuationSet | fpml-valuation-4-2.xsd |
| Component | Contained In | File |
| AssetReference | fpml-mktenv-4-2.xsd | |
| AssetReference | fpml-mktenv-4-2.xsd | |
| BondReference | fpml-ird-4-2.xsd | |
| CashSettlementReferenceBanks | fpml-ird-4-2.xsd | |
| FirstPeriodStartDate | fpml-posttrade-4-2.xsd | |
| FormulaComponent | fpml-return-swaps-4-2.xsd | |
| GenericDimension | fpml-mktenv-4-2.xsd | |
| IndexReferenceInformation | fpml-cd-4-2.xsd | |
| Payment | fpml-shared-4-2.xsd | |
| PaymentCalculationPeriod | fpml-ird-4-2.xsd | |
| PaymentCurrency | fpml-shared-4-2.xsd | |
| Reference | fpml-shared-4-2.xsd | |
| Reference | fpml-shared-4-2.xsd | |
| ReferenceAmount | fpml-shared-4-2.xsd | |
| ReferenceBank | fpml-shared-4-2.xsd | |
| ReferenceBankId | fpml-shared-4-2.xsd | |
| ReferenceInformation | fpml-cd-4-2.xsd | |
| ReferenceObligation | fpml-cd-4-2.xsd | |
| ReferencePair | fpml-cd-4-2.xsd | |
| ReferencePoolItem | fpml-cd-4-2.xsd | |
| TimeDimension | fpml-mktenv-4-2.xsd |
| Component | Contained In | File |
| americanExercise | fpml-shared-4-2.xsd | |
| americanExercise | fpml-shared-4-2.xsd | |
| bermudaExercise | fpml-shared-4-2.xsd | |
| bermudaExercise | fpml-shared-4-2.xsd | |
| brokerEquityOption | fpml-eqd-4-2.xsd | |
| capFloor | fpml-ird-4-2.xsd | |
| capFloor | fpml-ird-4-2.xsd | |
| equityOption | fpml-eqd-4-2.xsd | |
| equityOptionTransactionSupplement | fpml-eqd-4-2.xsd | |
| europeanExercise | fpml-shared-4-2.xsd | |
| europeanExercise | fpml-shared-4-2.xsd | |
| exercise | fpml-shared-4-2.xsd | |
| fxAverageRateOption | fpml-fx-4-2.xsd | |
| fxBarrierOption | fpml-fx-4-2.xsd | |
| fxBarrierOption | fpml-fx-4-2.xsd | |
| fxDigitalOption | fpml-fx-4-2.xsd | |
| fxDigitalOption | fpml-fx-4-2.xsd | |
| fxSimpleOption | fpml-fx-4-2.xsd | |
| swaption | fpml-ird-4-2.xsd |
| Component | Contained In | File |
| adjustedExerciseDate | CancellationEvent | fpml-ird-4-2.xsd |
| adjustedExerciseDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedExerciseDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedExerciseDate | ExtensionEvent | fpml-ird-4-2.xsd |
| adjustedExerciseFeePaymentDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedExerciseFeePaymentDate | ExerciseEvent | fpml-ird-4-2.xsd |
| automaticExercise | EquityExercise | fpml-eqd-4-2.xsd |
| automaticExercise | ExerciseProcedure | fpml-shared-4-2.xsd |
| barrier | OptionFeatures | fpml-eq-shared-4-2.xsd |
| barrierCap | Barrier | fpml-eq-shared-4-2.xsd |
| barrierCap | Barrier | fpml-eq-shared-4-2.xsd |
| barrierFloor | Barrier | fpml-eq-shared-4-2.xsd |
| barrierFloor | Barrier | fpml-eq-shared-4-2.xsd |
| bermudaExerciseDates | BermudaExercise | fpml-shared-4-2.xsd |
| bermudaExerciseDates | BermudaExercise | fpml-shared-4-2.xsd |
| bermudaExerciseDates | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| bermudaExerciseDates | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| capFloorStream | CapFloor | fpml-ird-4-2.xsd |
| capFloorStream | CapFloor | fpml-ird-4-2.xsd |
| capRate | FloatingRateDefinition | fpml-ird-4-2.xsd |
| capRateSchedule | FloatingRate | fpml-shared-4-2.xsd |
| decreaseInNumberOfOptions | PartialTerminationAmount | fpml-posttrade-4-2.xsd |
| earliestExerciseDateTenor | ExercisePeriod | fpml-ird-4-2.xsd |
| earliestExerciseTime | AmericanExercise | fpml-shared-4-2.xsd |
| earliestExerciseTime | BermudaExercise | fpml-shared-4-2.xsd |
| earliestExerciseTime | EuropeanExercise | fpml-shared-4-2.xsd |
| equityAmericanExercise | EquityExercise | fpml-eqd-4-2.xsd |
| equityAmericanExercise | EquityExercise | fpml-eqd-4-2.xsd |
| equityBermudaExercise | EquityExercise | fpml-eqd-4-2.xsd |
| equityBermudaExercise | EquityExercise | fpml-eqd-4-2.xsd |
| equityEuropeanExercise | EquityExercise | fpml-eqd-4-2.xsd |
| equityEuropeanExercise | EquityExercise | fpml-eqd-4-2.xsd |
| equityExercise | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| equityExpirationTime | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| equityExpirationTime | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| equityExpirationTime | EquityEuropeanExercise | fpml-eqd-4-2.xsd |
| equityExpirationTimeType | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| equityExpirationTimeType | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| equityExpirationTimeType | EquityEuropeanExercise | fpml-eqd-4-2.xsd |
| equityMultipleExercise | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| equityMultipleExercise | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| exerciseEvent | SwaptionAdjustedDates | fpml-ird-4-2.xsd |
| exerciseFee | EuropeanExercise | fpml-shared-4-2.xsd |
| exerciseFeeSchedule | AmericanExercise | fpml-shared-4-2.xsd |
| exerciseFeeSchedule | BermudaExercise | fpml-shared-4-2.xsd |
| exerciseFrequency | ExercisePeriod | fpml-ird-4-2.xsd |
| exerciseNotice | CancelableProvision | fpml-ird-4-2.xsd |
| exerciseNotice | ExtendibleProvision | fpml-ird-4-2.xsd |
| exerciseNotice | ManualExercise | fpml-shared-4-2.xsd |
| exerciseNotice | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| exerciseNoticePartyReference | ExerciseNotice | fpml-shared-4-2.xsd |
| exerciseProcedure | Swaption | fpml-ird-4-2.xsd |
| exerciseStyle | FxAverageRateOption | fpml-fx-4-2.xsd |
| exerciseStyle | FxOptionLeg | fpml-fx-4-2.xsd |
| expiration | PricingDataPointCoordinate | fpml-mktenv-4-2.xsd |
| expirationDate | AmericanExercise | fpml-shared-4-2.xsd |
| expirationDate | EquityEuropeanExercise | fpml-eqd-4-2.xsd |
| expirationDate | EuropeanExercise | fpml-shared-4-2.xsd |
| expirationDate | ExchangeTradedContract | fpml-asset-4-2.xsd |
| expirationDate | SharedAmericanExercise | fpml-shared-4-2.xsd |
| expirationDateTwo | CalendarSpread | fpml-eqd-4-2.xsd |
| expirationTime | AmericanExercise | fpml-shared-4-2.xsd |
| expirationTime | BermudaExercise | fpml-shared-4-2.xsd |
| expirationTime | EuropeanExercise | fpml-shared-4-2.xsd |
| fallbackExercise | ManualExercise | fpml-shared-4-2.xsd |
| floorRate | FloatingRateDefinition | fpml-ird-4-2.xsd |
| floorRateSchedule | FloatingRate | fpml-shared-4-2.xsd |
| fxAmericanTrigger | FxDigitalOption | fpml-fx-4-2.xsd |
| fxBarrier | FxBarrierOption | fpml-fx-4-2.xsd |
| fxBarrierType | FxBarrier | fpml-fx-4-2.xsd |
| fxEuropeanTrigger | FxDigitalOption | fpml-fx-4-2.xsd |
| fxOptionPremium | FxAverageRateOption | fpml-fx-4-2.xsd |
| fxOptionPremium | FxDigitalOption | fpml-fx-4-2.xsd |
| fxOptionPremium | FxOptionLeg | fpml-fx-4-2.xsd |
| fxStrikePrice | FxAverageRateOption | fpml-fx-4-2.xsd |
| fxStrikePrice | FxOptionLeg | fpml-fx-4-2.xsd |
| increaseInNumberOfOptions | Increase | fpml-posttrade-4-2.xsd |
| integralMultipleExercise | EquityMultipleExercise | fpml-eqd-4-2.xsd |
| knock | OptionFeatures | fpml-eq-shared-4-2.xsd |
| knockIn | Knock | fpml-eq-shared-4-2.xsd |
| knockOut | Knock | fpml-eq-shared-4-2.xsd |
| latestExerciseTime | AmericanExercise | fpml-shared-4-2.xsd |
| latestExerciseTime | BermudaExercise | fpml-shared-4-2.xsd |
| latestExerciseTime | SharedAmericanExercise | fpml-shared-4-2.xsd |
| latestExerciseTimeType | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| latestExerciseTimeType | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| manualExercise | ExerciseProcedure | fpml-shared-4-2.xsd |
| maximumNumberOfOptions | EquityMultipleExercise | fpml-eqd-4-2.xsd |
| minimumNumberOfOptions | EquityMultipleExercise | fpml-eqd-4-2.xsd |
| multipleExercise | AmericanExercise | fpml-shared-4-2.xsd |
| multipleExercise | BermudaExercise | fpml-shared-4-2.xsd |
| novatedNumberOfOptions | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | Novation | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| novatedNumberOfOptions | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| numberOfOptions | EquityDerivativeShortFormBase | fpml-eqd-4-2.xsd |
| numberOfOptions | EquityOption | fpml-eqd-4-2.xsd |
| optionalEarlyTermination | EarlyTerminationProvision | fpml-ird-4-2.xsd |
| optionalEarlyTermination | EarlyTerminationProvision | fpml-ird-4-2.xsd |
| optionalEarlyTerminationAdjustedDates | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| optionalEarlyTerminationParameters | EarlyTerminationProvision | fpml-ird-4-2.xsd |
| optionEntitlement | EquityOption | fpml-eqd-4-2.xsd |
| optionOnCurrency | QuotedAs | fpml-fx-4-2.xsd |
| optionsExchangeDividends | ReturnSwapAmount | fpml-return-swaps-4-2.xsd |
| optionsExchangeId | EquityAsset | fpml-asset-4-2.xsd |
| optionsExchangeId | ExchangeTradedContract | fpml-asset-4-2.xsd |
| optionsExchangeId | ExchangeTradedFund | fpml-asset-4-2.xsd |
| optionsExchangeId | Future | fpml-asset-4-2.xsd |
| optionsPriceValuation | EquityValuation | fpml-eq-shared-4-2.xsd |
| optionType | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| outstandingNumberOfOptions | Increase | fpml-posttrade-4-2.xsd |
| outstandingNumberOfOptions | PartialTerminationAmount | fpml-posttrade-4-2.xsd |
| partialExercise | EuropeanExercise | fpml-shared-4-2.xsd |
| partialExerciseAmount | RestructuringEvent | fpml-posttrade-4-2.xsd |
| pricePerOption | EquityPremium | fpml-eqd-4-2.xsd |
| settlementRateOption | NonDeliverableSettlement | fpml-ird-4-2.xsd |
| singlePartyOption | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| sixtyBusinessDaySettlementCap | PhysicalSettlementTerms | fpml-cd-4-2.xsd |
| strike | EquityDerivativeShortFormBase | fpml-eqd-4-2.xsd |
| strike | EquityOption | fpml-eqd-4-2.xsd |
| strike | PricingDataPointCoordinate | fpml-mktenv-4-2.xsd |
| strikeFactor | Asian | fpml-eq-shared-4-2.xsd |
| strikePercentage | EquityStrike | fpml-eqd-4-2.xsd |
| strikePrice | EquityStrike | fpml-eqd-4-2.xsd |
| strikeQuoteBasis | FxStrikePrice | fpml-fx-4-2.xsd |
| strikeRate | Strike | fpml-shared-4-2.xsd |
| strikeSpread | StrategyFeature | fpml-eqd-4-2.xsd |
| swaptionAdjustedDates | Swaption | fpml-ird-4-2.xsd |
| swaptionStraddle | Swaption | fpml-ird-4-2.xsd |
| unadjustedVarianceCap | Variance | fpml-return-swaps-4-2.xsd |
| upperStrike | StrikeSpread | fpml-eqd-4-2.xsd |
| upperStrikeNumberOfOptions | StrikeSpread | fpml-eqd-4-2.xsd |
| upperStrikeNumberOfOptions | StrikeSpread | fpml-eqd-4-2.xsd |
| varianceCap | Variance | fpml-return-swaps-4-2.xsd |
| varianceStrikePrice | Variance | fpml-return-swaps-4-2.xsd |
| volatilityStrikePrice | Variance | fpml-return-swaps-4-2.xsd |
| Component | Contained In | File |
| AmericanExercise | fpml-shared-4-2.xsd | |
| AmericanExercise | fpml-shared-4-2.xsd | |
| AutomaticExercise | fpml-shared-4-2.xsd | |
| Barrier | fpml-eq-shared-4-2.xsd | |
| BermudaExercise | fpml-shared-4-2.xsd | |
| BermudaExercise | fpml-shared-4-2.xsd | |
| BrokerEquityOption | fpml-eqd-4-2.xsd | |
| CapFloor | fpml-ird-4-2.xsd | |
| CapFloor | fpml-ird-4-2.xsd | |
| EquityAmericanExercise | fpml-eqd-4-2.xsd | |
| EquityAmericanExercise | fpml-eqd-4-2.xsd | |
| EquityBermudaExercise | fpml-eqd-4-2.xsd | |
| EquityBermudaExercise | fpml-eqd-4-2.xsd | |
| EquityEuropeanExercise | fpml-eqd-4-2.xsd | |
| EquityEuropeanExercise | fpml-eqd-4-2.xsd | |
| EquityExercise | fpml-eqd-4-2.xsd | |
| EquityMultipleExercise | fpml-eqd-4-2.xsd | |
| EquityOption | fpml-eqd-4-2.xsd | |
| EquityOptionTermination | fpml-eqd-4-2.xsd | |
| EquityOptionTransactionSupplement | fpml-eqd-4-2.xsd | |
| EquityStrike | fpml-eqd-4-2.xsd | |
| EuropeanExercise | fpml-shared-4-2.xsd | |
| EuropeanExercise | fpml-shared-4-2.xsd | |
| Exercise | fpml-shared-4-2.xsd | |
| ExerciseEvent | fpml-ird-4-2.xsd | |
| ExerciseFee | fpml-shared-4-2.xsd | |
| ExerciseFeeSchedule | fpml-shared-4-2.xsd | |
| ExerciseNotice | fpml-shared-4-2.xsd | |
| ExercisePeriod | fpml-ird-4-2.xsd | |
| ExerciseProcedure | fpml-shared-4-2.xsd | |
| FxAmericanTrigger | fpml-fx-4-2.xsd | |
| FxAverageRateOption | fpml-fx-4-2.xsd | |
| FxBarrier | fpml-fx-4-2.xsd | |
| FxBarrierOption | fpml-fx-4-2.xsd | |
| FxBarrierOption | fpml-fx-4-2.xsd | |
| FxDigitalOption | fpml-fx-4-2.xsd | |
| FxDigitalOption | fpml-fx-4-2.xsd | |
| FxEuropeanTrigger | fpml-fx-4-2.xsd | |
| FxOptionLeg | fpml-fx-4-2.xsd | |
| FxOptionPayout | fpml-fx-4-2.xsd | |
| FxOptionPremium | fpml-fx-4-2.xsd | |
| FxStrikePrice | fpml-fx-4-2.xsd | |
| Knock | fpml-eq-shared-4-2.xsd | |
| ManualExercise | fpml-shared-4-2.xsd | |
| MultipleExercise | fpml-shared-4-2.xsd | |
| OptionalEarlyTermination | fpml-ird-4-2.xsd | |
| OptionalEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd | |
| OptionFeatures | fpml-eq-shared-4-2.xsd | |
| PartialExercise | fpml-shared-4-2.xsd | |
| SettlementRateOption | fpml-ird-4-2.xsd | |
| SharedAmericanExercise | fpml-shared-4-2.xsd | |
| SharedAmericanExercise | fpml-shared-4-2.xsd | |
| SinglePartyOption | fpml-ird-4-2.xsd | |
| Strike | fpml-shared-4-2.xsd | |
| StrikeSchedule | fpml-shared-4-2.xsd | |
| StrikeSpread | fpml-eqd-4-2.xsd | |
| Swaption | fpml-ird-4-2.xsd | |
| SwaptionAdjustedDates | fpml-ird-4-2.xsd |
| Component | Contained In | File |
| bulletPayment | fpml-ird-4-2.xsd | |
| equityLeg | fpml-return-swaps-4-2.xsd | |
| fxSingleLeg | fpml-fx-4-2.xsd | |
| interestLeg | fpml-return-swaps-4-2.xsd | |
| product | fpml-shared-4-2.xsd | |
| quotableFxSingleLeg | fpml-pretrade-4-2.xsd | |
| quotableProduct | fpml-pretrade-4-2.xsd | |
| returnLeg | fpml-return-swaps-4-2.xsd | |
| returnSwapLeg | fpml-return-swaps-4-2.xsd | |
| underlyingAsset | fpml-asset-4-2.xsd | |
| varianceLeg | fpml-return-swaps-4-2.xsd |
| Component | Contained In | File |
| additionalPayment | CapFloor | fpml-ird-4-2.xsd |
| additionalPayment | ReturnSwap | fpml-return-swaps-4-2.xsd |
| additionalPayment | Swap | fpml-ird-4-2.xsd |
| additionalPaymentAmount | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| additionalPaymentDate | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| adjustablePaymentDate | InitialPayment | fpml-cd-4-2.xsd |
| adjustablePaymentDate | PaymentDetail | fpml-doc-4-2.xsd |
| adjustablePaymentDate | SinglePayment | fpml-cd-4-2.xsd |
| adjustedCashSettlementPaymentDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustedCashSettlementPaymentDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedCashSettlementValuationDate | MandatoryEarlyTerminationAdjustedDates | fpml-ird-4-2.xsd |
| adjustedExerciseFeePaymentDate | EarlyTerminationEvent | fpml-ird-4-2.xsd |
| adjustedExerciseFeePaymentDate | ExerciseEvent | fpml-ird-4-2.xsd |
| adjustedPaymentDate | AdjustedPaymentDates | fpml-cd-4-2.xsd |
| adjustedPaymentDate | InitialPayment | fpml-cd-4-2.xsd |
| adjustedPaymentDate | Payment | fpml-shared-4-2.xsd |
| adjustedPaymentDate | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| adjustedPaymentDate | PaymentDetail | fpml-doc-4-2.xsd |
| adjustedPaymentDate | SinglePayment | fpml-cd-4-2.xsd |
| adjustedPaymentDates | PeriodicPayment | fpml-cd-4-2.xsd |
| averageRateObservationDate | FxAverageRateOption | fpml-fx-4-2.xsd |
| averageRateObservationSchedule | FxAverageRateOption | fpml-fx-4-2.xsd |
| capFloorStream | CapFloor | fpml-ird-4-2.xsd |
| cashflows | InterestRateStream | fpml-ird-4-2.xsd |
| cashflowsMatchParameters | Cashflows | fpml-ird-4-2.xsd |
| cashFlowType | BasicQuotation | fpml-valuation-base-4-2.xsd |
| cashFlowType | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| cashFlowType | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| cashFlowType | Quotation | fpml-valuation-4-2.xsd |
| cashFlowType | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| cashSettlement | MandatoryEarlyTermination | fpml-ird-4-2.xsd |
| cashSettlement | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| cashSettlement | ReturnSwapAmount | fpml-return-swaps-4-2.xsd |
| cashSettlement | Swaption | fpml-ird-4-2.xsd |
| cashSettlementAmount | CashSettlementTerms | fpml-cd-4-2.xsd |
| cashSettlementBusinessDays | CashSettlementTerms | fpml-cd-4-2.xsd |
| cashSettlementCurrency | CashPriceMethod | fpml-ird-4-2.xsd |
| cashSettlementPaymentDate | CashSettlement | fpml-ird-4-2.xsd |
| cashSettlementPaymentDate | CashSettlement | fpml-ird-4-2.xsd |
| cashSettlementPaymentDate | VarianceAmount | fpml-return-swaps-4-2.xsd |
| cashSettlementPaymentDate | VarianceAmount | fpml-return-swaps-4-2.xsd |
| cashSettlementReferenceBanks | CashPriceMethod | fpml-ird-4-2.xsd |
| cashSettlementReferenceBanks | SettlementRateSource | fpml-ird-4-2.xsd |
| cashSettlementTerms | CreditDefaultSwap | fpml-cd-4-2.xsd |
| cashSettlementTerms | FxOptionLeg | fpml-fx-4-2.xsd |
| cashSettlementValuationDate | CashSettlement | fpml-ird-4-2.xsd |
| cashSettlementValuationTime | CashSettlement | fpml-ird-4-2.xsd |
| couponPayment | BasketConstituent | fpml-asset-4-2.xsd |
| couponPayment | SingleUnderlyer | fpml-asset-4-2.xsd |
| dateRelativeToPaymentDates | FxFixingDate | fpml-ird-4-2.xsd |
| dayCountFraction | Bond | fpml-asset-4-2.xsd |
| dayCountFraction | Calculation | fpml-ird-4-2.xsd |
| dayCountFraction | Deposit | fpml-asset-4-2.xsd |
| dayCountFraction | FixedAmountCalculation | fpml-cd-4-2.xsd |
| dayCountFraction | Fra | fpml-ird-4-2.xsd |
| dayCountFraction | InterestCalculation | fpml-return-swaps-4-2.xsd |
| dayCountFraction | RateIndex | fpml-asset-4-2.xsd |
| dayCountFraction | SimpleFra | fpml-asset-4-2.xsd |
| dayCountFraction | SimpleIRSwap | fpml-asset-4-2.xsd |
| dayCountFraction | TermDeposit | fpml-fx-4-2.xsd |
| dayCountYearFraction | CalculationPeriod | fpml-ird-4-2.xsd |
| discountRateDayCountFraction | Discounting | fpml-ird-4-2.xsd |
| dividendPayment | DividendPayout | fpml-asset-4-2.xsd |
| dividendPaymentDate | DividendConditions | fpml-shared-4-2.xsd |
| equityPaymentDateFinal | DeprecatedEquityPaymentDates | fpml-return-swaps-4-2.xsd |
| equityPaymentDates | DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd |
| equityPaymentDatesInterim | DeprecatedEquityPaymentDates | fpml-return-swaps-4-2.xsd |
| featurePayment | TriggerEvent | fpml-eq-shared-4-2.xsd |
| featurePaymentDate | FeaturePayment | fpml-eq-shared-4-2.xsd |
| feeLeg | CreditDefaultSwap | fpml-cd-4-2.xsd |
| feePaymentDate | ExerciseFee | fpml-shared-4-2.xsd |
| feePaymentDate | ExerciseFeeSchedule | fpml-shared-4-2.xsd |
| firstPaymentDate | PaymentDates | fpml-ird-4-2.xsd |
| firstPaymentDate | PeriodicPayment | fpml-cd-4-2.xsd |
| fixedPaymentAmount | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| forecastPaymentAmount | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| initialPayment | FeeLeg | fpml-cd-4-2.xsd |
| interestLegCalculationPeriodDates | InterestLeg | fpml-return-swaps-4-2.xsd |
| interestLegPaymentDates | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| interestLegPaymentDates | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| interestLegResetDates | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| lastRegularPaymentDate | PaymentDates | fpml-ird-4-2.xsd |
| lastRegularPaymentDate | PeriodicPayment | fpml-cd-4-2.xsd |
| nonDeliverableSettlement | SettlementProvision | fpml-ird-4-2.xsd |
| observationDate | FxAverageRateObservationDate | fpml-fx-4-2.xsd |
| observationDate | ObservedRates | fpml-fx-4-2.xsd |
| observationEndDate | FxAmericanTrigger | fpml-fx-4-2.xsd |
| observationEndDate | FxAverageRateObservationSchedule | fpml-fx-4-2.xsd |
| observationEndDate | FxBarrier | fpml-fx-4-2.xsd |
| observationStartDate | FxAmericanTrigger | fpml-fx-4-2.xsd |
| observationStartDate | FxAverageRateObservationSchedule | fpml-fx-4-2.xsd |
| observationStartDate | FxBarrier | fpml-fx-4-2.xsd |
| observationStartDate | VarianceAmount | fpml-return-swaps-4-2.xsd |
| observationWeight | RateObservation | fpml-shared-4-2.xsd |
| otherPartyPayment | Trade | fpml-doc-4-2.xsd |
| partialCashSettlement | PCDeliverableObligationCharac | fpml-cd-4-2.xsd |
| payment | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | Amendment | fpml-posttrade-4-2.xsd |
| payment | BulletPayment | fpml-ird-4-2.xsd |
| payment | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | Increase | fpml-posttrade-4-2.xsd |
| payment | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | Novation | fpml-posttrade-4-2.xsd |
| payment | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| payment | TermDeposit | fpml-fx-4-2.xsd |
| payment | Termination | fpml-posttrade-4-2.xsd |
| paymentAmount | AdditionalPaymentAmount | fpml-return-swaps-4-2.xsd |
| paymentAmount | AdjustedPaymentDates | fpml-cd-4-2.xsd |
| paymentAmount | EquityPremium | fpml-eqd-4-2.xsd |
| paymentAmount | InitialPayment | fpml-cd-4-2.xsd |
| paymentAmount | Payment | fpml-shared-4-2.xsd |
| paymentAmount | PaymentDetail | fpml-doc-4-2.xsd |
| paymentAmount | PaymentDetail | fpml-doc-4-2.xsd |
| paymentAmount | QuotablePayment | fpml-pretrade-4-2.xsd |
| paymentCalculationPeriod | Cashflows | fpml-ird-4-2.xsd |
| paymentCurrency | DividendConditions | fpml-shared-4-2.xsd |
| paymentCurrency | LegAmount | fpml-return-swaps-4-2.xsd |
| paymentDate | EquityPremium | fpml-eqd-4-2.xsd |
| paymentDate | Fra | fpml-ird-4-2.xsd |
| paymentDate | Payment | fpml-shared-4-2.xsd |
| paymentDate | PendingPayment | fpml-asset-4-2.xsd |
| paymentDate | QuotablePayment | fpml-pretrade-4-2.xsd |
| paymentDateFinal | ReturnSwapPaymentDates | fpml-return-swaps-4-2.xsd |
| paymentDates | InterestRateStream | fpml-ird-4-2.xsd |
| paymentDates | ReturnLegValuation | fpml-return-swaps-4-2.xsd |
| paymentDatesAdjustments | PaymentDates | fpml-ird-4-2.xsd |
| paymentDatesInterim | ReturnSwapPaymentDates | fpml-return-swaps-4-2.xsd |
| paymentDatesReference | DateRelativeToPaymentDates | fpml-ird-4-2.xsd |
| paymentDaysOffset | PaymentDates | fpml-ird-4-2.xsd |
| paymentDetail | IndependentAmount | fpml-doc-4-2.xsd |
| paymentFrequency | Bond | fpml-asset-4-2.xsd |
| paymentFrequency | Deposit | fpml-asset-4-2.xsd |
| paymentFrequency | PaymentDates | fpml-ird-4-2.xsd |
| paymentFrequency | PeriodicPayment | fpml-cd-4-2.xsd |
| paymentFrequency | RateIndex | fpml-asset-4-2.xsd |
| paymentFrequency | ReturnSwapLeg | fpml-return-swaps-4-2.xsd |
| paymentFrequency | SimpleCreditDefaultSwap | fpml-asset-4-2.xsd |
| paymentFrequency | SimpleIRSwap | fpml-asset-4-2.xsd |
| paymentPercent | PercentageRule | fpml-doc-4-2.xsd |
| paymentRequirement | FailureToPay | fpml-cd-4-2.xsd |
| paymentRule | PaymentDetail | fpml-doc-4-2.xsd |
| paymentType | Payment | fpml-shared-4-2.xsd |
| paymentType | ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd |
| periodicPayment | FeeLeg | fpml-cd-4-2.xsd |
| physicalSettlement | CreditDerivativesNotices | fpml-posttrade-4-2.xsd |
| physicalSettlementPeriod | PhysicalSettlementTerms | fpml-cd-4-2.xsd |
| physicalSettlementTerms | CreditDefaultSwap | fpml-cd-4-2.xsd |
| premiumProductReference | Strategy | fpml-doc-4-2.xsd |
| premiumSettlementDate | FxOptionPremium | fpml-fx-4-2.xsd |
| prePayment | EquityExercise | fpml-eqd-4-2.xsd |
| prePayment | PrePayment | fpml-eqd-4-2.xsd |
| prePaymentAmount | PrePayment | fpml-eqd-4-2.xsd |
| prePaymentDate | PrePayment | fpml-eqd-4-2.xsd |
| productId | Product | fpml-shared-4-2.xsd |
| productId | QuotableProduct | fpml-pretrade-4-2.xsd |
| productType | Product | fpml-shared-4-2.xsd |
| productType | QuotableProduct | fpml-pretrade-4-2.xsd |
| rateObservation | FloatingRateDefinition | fpml-ird-4-2.xsd |
| relevantUnderlyingDate | AmericanExercise | fpml-shared-4-2.xsd |
| relevantUnderlyingDate | BermudaExercise | fpml-shared-4-2.xsd |
| relevantUnderlyingDate | EuropeanExercise | fpml-shared-4-2.xsd |
| settlementAmount | EquityOptionTermination | fpml-eqd-4-2.xsd |
| settlementAmountPaymentDate | EquityOptionTermination | fpml-eqd-4-2.xsd |
| settlementAmountPaymentDate | EquityOptionTermination | fpml-eqd-4-2.xsd |
| settlementCurrency | EquityExercise | fpml-eqd-4-2.xsd |
| settlementCurrency | FxCashSettlement | fpml-shared-4-2.xsd |
| settlementCurrency | SettlementProvision | fpml-ird-4-2.xsd |
| settlementCurrency | SettlementTerms | fpml-cd-4-2.xsd |
| settlementCurrencyYieldCurve | FxCurveValuation | fpml-mktenv-4-2.xsd |
| settlementDate | EquityExercise | fpml-eqd-4-2.xsd |
| settlementInformation | FxOptionPayout | fpml-fx-4-2.xsd |
| settlementInformation | FxOptionPremium | fpml-fx-4-2.xsd |
| settlementInformation | Payment | fpml-shared-4-2.xsd |
| settlementInstruction | SettlementInformation | fpml-shared-4-2.xsd |
| settlementMethod | SettlementInstruction | fpml-shared-4-2.xsd |
| settlementMethodElectingPartyReference | EquityExercise | fpml-eqd-4-2.xsd |
| settlementMethodElectionDate | EquityExercise | fpml-eqd-4-2.xsd |
| settlementPriceSource | EquityExercise | fpml-eqd-4-2.xsd |
| settlementProvision | InterestRateStream | fpml-ird-4-2.xsd |
| settlementRateOption | NonDeliverableSettlement | fpml-ird-4-2.xsd |
| settlementRateSource | YieldCurveMethod | fpml-ird-4-2.xsd |
| settlementType | EquityExercise | fpml-eqd-4-2.xsd |
| singlePayment | FeeLeg | fpml-cd-4-2.xsd |
| sixtyBusinessDaySettlementCap | PhysicalSettlementTerms | fpml-cd-4-2.xsd |
| splitSettlement | SettlementInstruction | fpml-shared-4-2.xsd |
| splitSettlementAmount | SplitSettlement | fpml-shared-4-2.xsd |
| standardSettlementStyle | SettlementInformation | fpml-shared-4-2.xsd |
| swapStream | Swap | fpml-ird-4-2.xsd |
| unadjustedPaymentDate | PaymentCalculationPeriod | fpml-ird-4-2.xsd |
| underlyingAssetReference | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| underlyingEquity | ConvertibleBond | fpml-asset-4-2.xsd |
| varyingNotionalInterimExchangePaymentDates | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| Component | Contained In | File |
| AdditionalPaymentAmount | fpml-return-swaps-4-2.xsd | |
| AdjustedPaymentDates | fpml-cd-4-2.xsd | |
| AllegedNovationAgreement | fpml-posttrade-4-2.xsd | |
| BulletPayment | fpml-ird-4-2.xsd | |
| Cashflows | fpml-ird-4-2.xsd | |
| CashFlowType | fpml-valuation-base-4-2.xsd | |
| CashSettlement | fpml-ird-4-2.xsd | |
| CashSettlementPaymentDate | fpml-ird-4-2.xsd | |
| CashSettlementPaymentDate | fpml-ird-4-2.xsd | |
| CashSettlementReferenceBanks | fpml-ird-4-2.xsd | |
| CashSettlementTerms | fpml-cd-4-2.xsd | |
| DateRelativeToPaymentDates | fpml-ird-4-2.xsd | |
| DayCountFraction | fpml-shared-4-2.xsd | |
| DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd | |
| DeprecatedEquityLegValuation | fpml-return-swaps-4-2.xsd | |
| DeprecatedEquityLegValuationPrice | fpml-return-swaps-4-2.xsd | |
| DeprecatedEquityPaymentDates | fpml-return-swaps-4-2.xsd | |
| DividendPaymentDate | fpml-shared-4-2.xsd | |
| FeaturePayment | fpml-eq-shared-4-2.xsd | |
| FeeLeg | fpml-cd-4-2.xsd | |
| FxAverageRateObservationDate | fpml-fx-4-2.xsd | |
| FxAverageRateObservationSchedule | fpml-fx-4-2.xsd | |
| FxCashSettlement | fpml-shared-4-2.xsd | |
| FxLeg | fpml-fx-4-2.xsd | |
| FxOptionLeg | fpml-fx-4-2.xsd | |
| InitialPayment | fpml-cd-4-2.xsd | |
| InterestLeg | fpml-return-swaps-4-2.xsd | |
| InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd | |
| InterestLegResetDates | fpml-return-swaps-4-2.xsd | |
| InterestRateStream | fpml-ird-4-2.xsd | |
| LegalEntity | fpml-shared-4-2.xsd | |
| LegAmount | fpml-return-swaps-4-2.xsd | |
| NonDeliverableSettlement | fpml-ird-4-2.xsd | |
| NovationAlleged | fpml-posttrade-4-2.xsd | |
| Payment | fpml-shared-4-2.xsd | |
| PaymentCalculationPeriod | fpml-ird-4-2.xsd | |
| PaymentCurrency | fpml-shared-4-2.xsd | |
| PaymentDates | fpml-ird-4-2.xsd | |
| PaymentDetail | fpml-doc-4-2.xsd | |
| PaymentRule | fpml-doc-4-2.xsd | |
| PaymentType | fpml-shared-4-2.xsd | |
| PendingPayment | fpml-asset-4-2.xsd | |
| PeriodicPayment | fpml-cd-4-2.xsd | |
| PhysicalSettlementPeriod | fpml-cd-4-2.xsd | |
| PhysicalSettlementTerms | fpml-cd-4-2.xsd | |
| PrePayment | fpml-eqd-4-2.xsd | |
| Product | fpml-shared-4-2.xsd | |
| ProductId | fpml-shared-4-2.xsd | |
| ProductType | fpml-shared-4-2.xsd | |
| QuotableFxLeg | fpml-pretrade-4-2.xsd | |
| QuotablePayment | fpml-pretrade-4-2.xsd | |
| QuotableProduct | fpml-pretrade-4-2.xsd | |
| RateObservation | fpml-shared-4-2.xsd | |
| ReturnLeg | fpml-return-swaps-4-2.xsd | |
| ReturnLegValuation | fpml-return-swaps-4-2.xsd | |
| ReturnLegValuationPrice | fpml-return-swaps-4-2.xsd | |
| ReturnSwapAdditionalPayment | fpml-return-swaps-4-2.xsd | |
| ReturnSwapLeg | fpml-return-swaps-4-2.xsd | |
| ReturnSwapPaymentDates | fpml-return-swaps-4-2.xsd | |
| SettlementInformation | fpml-shared-4-2.xsd | |
| SettlementInstruction | fpml-shared-4-2.xsd | |
| SettlementMethod | fpml-shared-4-2.xsd | |
| SettlementPriceSource | fpml-shared-4-2.xsd | |
| SettlementProvision | fpml-ird-4-2.xsd | |
| SettlementRateOption | fpml-ird-4-2.xsd | |
| SettlementRateSource | fpml-ird-4-2.xsd | |
| SettlementTerms | fpml-cd-4-2.xsd | |
| SinglePayment | fpml-cd-4-2.xsd | |
| SplitSettlement | fpml-shared-4-2.xsd | |
| TradeAlleged | fpml-tradeexec-4-2.xsd | |
| UnderlyingAsset | fpml-asset-4-2.xsd | |
| VarianceLeg | fpml-return-swaps-4-2.xsd |
| Component | Contained In | File |
| interestLeg | fpml-return-swaps-4-2.xsd | |
| simpleIrSwap | fpml-asset-4-2.xsd |
| Component | Contained In | File |
| accruedInterest | CashSettlementTerms | fpml-cd-4-2.xsd |
| accruedInterest | DeliverableObligations | fpml-cd-4-2.xsd |
| accruedInterest | PendingPayment | fpml-asset-4-2.xsd |
| accruedInterestPrice | Price | fpml-asset-4-2.xsd |
| brokerConfirmation | Documentation | fpml-shared-4-2.xsd |
| brokerConfirmationType | BrokerConfirmation | fpml-shared-4-2.xsd |
| confirmationSenderPartyReference | FxLeg | fpml-fx-4-2.xsd |
| confirmer | TradeSide | fpml-doc-4-2.xsd |
| consentRequiredLoan | DeliverableObligations | fpml-cd-4-2.xsd |
| defaultRequirement | CreditEvents | fpml-cd-4-2.xsd |
| directLoanParticipation | DeliverableObligations | fpml-cd-4-2.xsd |
| equityExpirationTime | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| equityExpirationTime | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| equityExpirationTime | EquityEuropeanExercise | fpml-eqd-4-2.xsd |
| equityExpirationTimeType | EquityAmericanExercise | fpml-eqd-4-2.xsd |
| equityExpirationTimeType | EquityBermudaExercise | fpml-eqd-4-2.xsd |
| equityExpirationTimeType | EquityEuropeanExercise | fpml-eqd-4-2.xsd |
| expiration | PricingDataPointCoordinate | fpml-mktenv-4-2.xsd |
| expirationDate | AmericanExercise | fpml-shared-4-2.xsd |
| expirationDate | EquityEuropeanExercise | fpml-eqd-4-2.xsd |
| expirationDate | EuropeanExercise | fpml-shared-4-2.xsd |
| expirationDate | ExchangeTradedContract | fpml-asset-4-2.xsd |
| expirationDate | SharedAmericanExercise | fpml-shared-4-2.xsd |
| expirationDateTwo | CalendarSpread | fpml-eqd-4-2.xsd |
| expirationTime | AmericanExercise | fpml-shared-4-2.xsd |
| expirationTime | BermudaExercise | fpml-shared-4-2.xsd |
| expirationTime | EuropeanExercise | fpml-shared-4-2.xsd |
| expiryDate | ExpiryDateTime | fpml-fx-4-2.xsd |
| expiryDateTime | FxAverageRateOption | fpml-fx-4-2.xsd |
| expiryDateTime | FxDigitalOption | fpml-fx-4-2.xsd |
| expiryDateTime | FxOptionLeg | fpml-fx-4-2.xsd |
| expiryTime | BasicQuotation | fpml-valuation-base-4-2.xsd |
| expiryTime | ExpiryDateTime | fpml-fx-4-2.xsd |
| expiryTime | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| expiryTime | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| expiryTime | Quotation | fpml-valuation-4-2.xsd |
| expiryTime | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| expiryTimestamp | MessageHeader | fpml-msg-4-2.xsd |
| expiryTimestamp | NotificationMessageHeader | fpml-msg-4-2.xsd |
| expiryTimestamp | RequestMessageHeader | fpml-msg-4-2.xsd |
| expiryTimestamp | ResponseMessageHeader | fpml-msg-4-2.xsd |
| firstNotionalStepDate | NotionalStepRule | fpml-ird-4-2.xsd |
| firstPaymentDate | PaymentDates | fpml-ird-4-2.xsd |
| firstPaymentDate | PeriodicPayment | fpml-cd-4-2.xsd |
| firstPeriodStartDate | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| firstPeriodStartDate | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | Novation | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | PeriodicPayment | fpml-cd-4-2.xsd |
| firstPeriodStartDate | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| firstPeriodStartDate | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| firstRegularPeriodStartDate | CalculationPeriodDates | fpml-ird-4-2.xsd |
| followUpConfirmation | CancelableProvision | fpml-ird-4-2.xsd |
| followUpConfirmation | ExerciseProcedure | fpml-shared-4-2.xsd |
| followUpConfirmation | ExtendibleProvision | fpml-ird-4-2.xsd |
| followUpConfirmation | OptionalEarlyTermination | fpml-ird-4-2.xsd |
| fullFirstCalculationPeriod | AllegedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | ConsentGrantedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | ConsentRefusedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | ConsentRequestNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | MatchedNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | NovateTradeNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | Novation | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | StatusNotificationNovationAgreement | fpml-posttrade-4-2.xsd |
| fullFirstCalculationPeriod | TradeNovatedNovationAgreement | fpml-posttrade-4-2.xsd |
| indirectLoanParticipation | DeliverableObligations | fpml-cd-4-2.xsd |
| interest | TermDeposit | fpml-fx-4-2.xsd |
| interestAccrualsMethod | DividendConditions | fpml-shared-4-2.xsd |
| interestAmount | InterestLeg | fpml-return-swaps-4-2.xsd |
| interestCalculation | InterestLeg | fpml-return-swaps-4-2.xsd |
| interestLegCalculationPeriodDates | InterestLeg | fpml-return-swaps-4-2.xsd |
| interestLegPaymentDates | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| interestLegResetDates | InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd |
| masterConfirmation | Documentation | fpml-shared-4-2.xsd |
| masterConfirmationAnnexDate | MasterConfirmation | fpml-shared-4-2.xsd |
| masterConfirmationDate | Allocation | fpml-doc-4-2.xsd |
| masterConfirmationDate | MasterConfirmation | fpml-shared-4-2.xsd |
| masterConfirmationType | MasterConfirmation | fpml-shared-4-2.xsd |
| negativeInterestRateTreatment | FloatingRateCalculation | fpml-shared-4-2.xsd |
| paymentRequirement | FailureToPay | fpml-cd-4-2.xsd |
| quotedCurrencyPair | FxAmericanTrigger | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxBarrier | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxCurve | fpml-mktenv-4-2.xsd |
| quotedCurrencyPair | FxDigitalOption | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxEuropeanTrigger | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxFixing | fpml-shared-4-2.xsd |
| quotedCurrencyPair | FxRate | fpml-shared-4-2.xsd |
| quotedCurrencyPair | FxRateAsset | fpml-asset-4-2.xsd |
| quotedCurrencyPair | QuotableFxRate | fpml-pretrade-4-2.xsd |
| referencePair | ReferencePoolItem | fpml-cd-4-2.xsd |
| roundingDirection | Rounding | fpml-shared-4-2.xsd |
| unadjustedFirstDate | DateRange | fpml-shared-4-2.xsd |
| Component | Contained In | File |
| AmendmentConfirmed | fpml-posttrade-4-2.xsd | |
| BrokerConfirmation | fpml-shared-4-2.xsd | |
| BrokerConfirmationType | fpml-shared-4-2.xsd | |
| CancelTradeConfirmation | fpml-tradeexec-4-2.xsd | |
| ConfirmationCancelled | fpml-tradeexec-4-2.xsd | |
| ConfirmedNovationAgreement | fpml-posttrade-4-2.xsd | |
| ConfirmTrade | fpml-tradeexec-4-2.xsd | |
| ExpiryDateTime | fpml-fx-4-2.xsd | |
| FirstPeriodStartDate | fpml-posttrade-4-2.xsd | |
| IncreaseConfirmed | fpml-posttrade-4-2.xsd | |
| InterestAccrualsCompoundingMethod | fpml-shared-4-2.xsd | |
| InterestAccrualsMethod | fpml-shared-4-2.xsd | |
| InterestCalculation | fpml-return-swaps-4-2.xsd | |
| InterestLeg | fpml-return-swaps-4-2.xsd | |
| InterestLegCalculationPeriodDates | fpml-return-swaps-4-2.xsd | |
| InterestLegResetDates | fpml-return-swaps-4-2.xsd | |
| InterestRateStream | fpml-ird-4-2.xsd | |
| MasterConfirmation | fpml-shared-4-2.xsd | |
| MasterConfirmationType | fpml-shared-4-2.xsd | |
| ModifyTradeConfirmation | fpml-tradeexec-4-2.xsd | |
| NovationConfirmed | fpml-posttrade-4-2.xsd | |
| QuoteAcceptanceConfirmed | fpml-pretrade-4-2.xsd | |
| QuoteAlreadyExpired | fpml-pretrade-4-2.xsd | |
| QuotedCurrencyPair | fpml-shared-4-2.xsd | |
| ReferencePair | fpml-cd-4-2.xsd | |
| RequestAmendmentConfirmation | fpml-posttrade-4-2.xsd | |
| RequestConfirmationNovationAgreement | fpml-posttrade-4-2.xsd | |
| RequestIncreaseConfirmation | fpml-posttrade-4-2.xsd | |
| RequestNovationConfirmation | fpml-posttrade-4-2.xsd | |
| RequestTerminationConfirmation | fpml-posttrade-4-2.xsd | |
| RequestTradeConfirmation | fpml-tradeexec-4-2.xsd | |
| RequiredIdentifierDate | fpml-shared-4-2.xsd | |
| SimpleIRSwap | fpml-asset-4-2.xsd | |
| TerminationConfirmed | fpml-posttrade-4-2.xsd | |
| TradeAffirmation | fpml-tradeexec-4-2.xsd | |
| TradeAffirmed | fpml-tradeexec-4-2.xsd | |
| TradeConfirmed | fpml-tradeexec-4-2.xsd |
| Component | Contained In | File |
| fxAverageRateOption | fpml-fx-4-2.xsd | |
| fxBarrierOption | fpml-fx-4-2.xsd | |
| fxCurve | fpml-mktenv-4-2.xsd | |
| fxCurveValuation | fpml-mktenv-4-2.xsd | |
| fxDigitalOption | fpml-fx-4-2.xsd | |
| fxRate | fpml-asset-4-2.xsd | |
| fxSimpleOption | fpml-fx-4-2.xsd | |
| fxSingleLeg | fpml-fx-4-2.xsd | |
| fxSwap | fpml-fx-4-2.xsd | |
| quotableFxSingleLeg | fpml-pretrade-4-2.xsd |
| Component | Contained In | File |
| adjustedFxSpotFixingDate | FxLinkedNotionalAmount | fpml-ird-4-2.xsd |
| baseCurrency | SideRates | fpml-fx-4-2.xsd |
| callCurrencyAmount | FxAverageRateOption | fpml-fx-4-2.xsd |
| callCurrencyAmount | FxOptionLeg | fpml-fx-4-2.xsd |
| cashSettlementCurrency | CashPriceMethod | fpml-ird-4-2.xsd |
| currency | ActualPrice | fpml-asset-4-2.xsd |
| currency | AmountSchedule | fpml-shared-4-2.xsd |
| currency | BasicQuotation | fpml-valuation-base-4-2.xsd |
| currency | Cash | fpml-asset-4-2.xsd |
| currency | Commission | fpml-asset-4-2.xsd |
| currency | CreditCurve | fpml-mktenv-4-2.xsd |
| currency | Equity | fpml-eq-shared-4-2.xsd |
| currency | EquityStrike | fpml-eqd-4-2.xsd |
| currency | FeaturePayment | fpml-eq-shared-4-2.xsd |
| currency | Money | fpml-shared-4-2.xsd |
| currency | MultiDimensionalPricingData | fpml-mktenv-4-2.xsd |
| currency | NotDomesticCurrency | fpml-cd-4-2.xsd |
| currency | PaymentCurrency | fpml-shared-4-2.xsd |
| currency | PricingStructure | fpml-mktenv-4-2.xsd |
| currency | PricingStructurePoint | fpml-mktenv-4-2.xsd |
| currency | Quotation | fpml-valuation-4-2.xsd |
| currency | QuotationCharacteristics | fpml-valuation-base-4-2.xsd |
| currency | SideRate | fpml-fx-4-2.xsd |
| currency | SpecifiedCurrency | fpml-cd-4-2.xsd |
| currency | UnderlyingAsset | fpml-asset-4-2.xsd |
| currency1 | QuotedCurrencyPair | fpml-shared-4-2.xsd |
| currency1SideRate | SideRates | fpml-fx-4-2.xsd |
| currency1ValueDate | FxLeg | fpml-fx-4-2.xsd |
| currency2 | QuotedCurrencyPair | fpml-shared-4-2.xsd |
| currency2SideRate | SideRates | fpml-fx-4-2.xsd |
| currency2ValueDate | FxLeg | fpml-fx-4-2.xsd |
| dividendFxTriggerDate | DividendConditions | fpml-shared-4-2.xsd |
| exchangedCurrency | QuotableFxLeg | fpml-pretrade-4-2.xsd |
| exchangedCurrency1 | FxLeg | fpml-fx-4-2.xsd |
| exchangedCurrency2 | FxLeg | fpml-fx-4-2.xsd |
| faceOnCurrency | QuotedAs | fpml-fx-4-2.xsd |
| forecastCurrencyYieldCurve | FxCurveValuation | fpml-mktenv-4-2.xsd |
| fxAmericanTrigger | FxDigitalOption | fpml-fx-4-2.xsd |
| fxBarrier | FxBarrierOption | fpml-fx-4-2.xsd |
| fxBarrierType | FxBarrier | fpml-fx-4-2.xsd |
| fxConversion | Price | fpml-asset-4-2.xsd |
| fxEuropeanTrigger | FxDigitalOption | fpml-fx-4-2.xsd |
| fxFeature | DeprecatedEquityLeg | fpml-return-swaps-4-2.xsd |
| fxFeature | EquityDerivativeBase | fpml-eqd-4-2.xsd |
| fxFeature | ReturnLeg | fpml-return-swaps-4-2.xsd |
| fxFixingDate | NonDeliverableSettlement | fpml-ird-4-2.xsd |
| fxForwardCurve | FxCurveValuation | fpml-mktenv-4-2.xsd |
| fxForwardPointsCurve | FxCurveValuation | fpml-mktenv-4-2.xsd |
| fxLinkedNotionalAmount | CalculationPeriod | fpml-ird-4-2.xsd |
| fxLinkedNotionalSchedule | Calculation | fpml-ird-4-2.xsd |
| fxOptionPremium | FxAverageRateOption | fpml-fx-4-2.xsd |
| fxOptionPremium | FxDigitalOption | fpml-fx-4-2.xsd |
| fxOptionPremium | FxOptionLeg | fpml-fx-4-2.xsd |
| fxRate | AssetValuation | fpml-valuation-4-2.xsd |
| fxRate | Commission | fpml-asset-4-2.xsd |
| fxRate | FxConversion | fpml-asset-4-2.xsd |
| fxRate | Quanto | fpml-eq-shared-4-2.xsd |
| fxSpotRateSource | Composite | fpml-eq-shared-4-2.xsd |
| fxSpotRateSource | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| fxSpotRateSource | Quanto | fpml-eq-shared-4-2.xsd |
| fxStrikePrice | FxAverageRateOption | fpml-fx-4-2.xsd |
| fxStrikePrice | FxOptionLeg | fpml-fx-4-2.xsd |
| notDomesticCurrency | DeliverableObligations | fpml-cd-4-2.xsd |
| notDomesticCurrency | Obligations | fpml-cd-4-2.xsd |
| observedFxSpotRate | FxLinkedNotionalAmount | fpml-ird-4-2.xsd |
| optionOnCurrency | QuotedAs | fpml-fx-4-2.xsd |
| paymentCurrency | DividendConditions | fpml-shared-4-2.xsd |
| paymentCurrency | LegAmount | fpml-return-swaps-4-2.xsd |
| payoutCurrency | FxAverageRateOption | fpml-fx-4-2.xsd |
| putCurrencyAmount | FxAverageRateOption | fpml-fx-4-2.xsd |
| putCurrencyAmount | FxOptionLeg | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxAmericanTrigger | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxBarrier | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxCurve | fpml-mktenv-4-2.xsd |
| quotedCurrencyPair | FxDigitalOption | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxEuropeanTrigger | fpml-fx-4-2.xsd |
| quotedCurrencyPair | FxFixing | fpml-shared-4-2.xsd |
| quotedCurrencyPair | FxRate | fpml-shared-4-2.xsd |
| quotedCurrencyPair | FxRateAsset | fpml-asset-4-2.xsd |
| quotedCurrencyPair | QuotableFxRate | fpml-pretrade-4-2.xsd |
| referenceCurrency | FxFeature | fpml-eq-shared-4-2.xsd |
| referenceCurrency | NonDeliverableSettlement | fpml-ird-4-2.xsd |
| settlementCurrency | EquityExercise | fpml-eqd-4-2.xsd |
| settlementCurrency | FxCashSettlement | fpml-shared-4-2.xsd |
| settlementCurrency | SettlementProvision | fpml-ird-4-2.xsd |
| settlementCurrency | SettlementTerms | fpml-cd-4-2.xsd |
| settlementCurrencyYieldCurve | FxCurveValuation | fpml-mktenv-4-2.xsd |
| specifiedCurrency | DeliverableObligations | fpml-cd-4-2.xsd |
| specifiedCurrency | Obligations | fpml-cd-4-2.xsd |
| varyingNotionalCurrency | FxLinkedNotionalSchedule | fpml-ird-4-2.xsd |
| Component | Contained In | File |
| Currency | fpml-shared-4-2.xsd | |
| FxAmericanTrigger | fpml-fx-4-2.xsd | |
| FxAverageRateObservationDate | fpml-fx-4-2.xsd | |
| FxAverageRateObservationSchedule | fpml-fx-4-2.xsd | |
| FxAverageRateOption | fpml-fx-4-2.xsd | |
| FxBarrier | fpml-fx-4-2.xsd | |
| FxBarrierOption | fpml-fx-4-2.xsd | |
| FxCashSettlement | fpml-shared-4-2.xsd | |
| FxConversion | fpml-asset-4-2.xsd | |
| FxCurve | fpml-mktenv-4-2.xsd | |
| FxCurveValuation | fpml-mktenv-4-2.xsd | |
| FxDigitalOption | fpml-fx-4-2.xsd | |
| FxEuropeanTrigger | fpml-fx-4-2.xsd | |
| FxFeature | fpml-eq-shared-4-2.xsd | |
| FxFixing | fpml-shared-4-2.xsd | |
| FxFixingDate | fpml-ird-4-2.xsd | |
| FxLeg | fpml-fx-4-2.xsd | |
| FxLinkedNotionalAmount | fpml-ird-4-2.xsd | |
| FxLinkedNotionalSchedule | fpml-ird-4-2.xsd | |
| FxOptionLeg | fpml-fx-4-2.xsd | |
| FxOptionPayout | fpml-fx-4-2.xsd | |
| FxOptionPremium | fpml-fx-4-2.xsd | |
| FxRate | fpml-shared-4-2.xsd | |
| FxRateAsset | fpml-asset-4-2.xsd | |
| FxRateSet | fpml-mktenv-4-2.xsd | |
| FxSpotRateSource | fpml-shared-4-2.xsd | |
| FxStrikePrice | fpml-fx-4-2.xsd | |
| FxSwap | fpml-fx-4-2.xsd | |
| IdentifiedCurrency | fpml-shared-4-2.xsd | |
| NotDomesticCurrency | fpml-cd-4-2.xsd | |
| PaymentCurrency | fpml-shared-4-2.xsd | |
| QuotableFxLeg | fpml-pretrade-4-2.xsd | |
| QuotableFxRate | fpml-pretrade-4-2.xsd | |
| QuotedCurrencyPair | fpml-shared-4-2.xsd | |
| SpecifiedCurrency | fpml-cd-4-2.xsd |