element <fxRangeAccrual> (global)
Namespace:
Type:
Content:
complex, 1 attribute, 18 elements
Subst.Gr:
may substitute for element product
Defined:
Used:
never
Content Model Diagram
XML Representation Summary
<fxRangeAccrual
   
 = 
xsd:ID
   
>
   
Content: 
</fxRangeAccrual>
Content model elements (18):
accrual (in fxRangeAccrual),
assetClass (defined in Product.model group),
barrier (in fxRangeAccrual),
embeddedOptionType,
expiryDate (defined in FxExpiryDateOrSchedule.model group),
expirySchedule (defined in FxExpiryDateOrSchedule.model group),
notionalAmount (in fxRangeAccrual),
payerAccountReference,
payerPartyReference (defined in Payer.model group),
premium (in fxRangeAccrual),
primaryAssetClass (defined in Product.model group),
productId (defined in Product.model group),
productType (defined in Product.model group),
receiverAccountReference,
receiverPartyReference (defined in Receiver.model group),
secondaryAssetClass (defined in Product.model group),
settlementDate (defined in FxSettlementDateOrSchedule.model group),
settlementSchedule (defined in FxSettlementDateOrSchedule.model group)
May be included in elements by substitutions (26):
oldTrade (defined in OldTrade.model group),
oldTrade (defined in TradeChangeContent complexType),
originalTrade (defined in OptionExercise complexType),
originalTrade (defined in OptionExpiry complexType),
originalTrade (defined in TradeChangeBase complexType),
physicalSettlement (defined in OptionExercise complexType),
resultingTrade (defined in PhysicalSettlement complexType),
resultingTrade (defined in TradeChangeBase complexType),
trade (defined in DataDocument complexType),
trade (defined in Events.model group),
trade (defined in PositionConstituent complexType),
trade (defined in TradeAmendmentContent complexType),
trade (defined in TradeChangeContent complexType),
trade (defined in TradePackage complexType),
trade (defined in TradeValuationItem complexType),
trade (defined in Withdrawal complexType),
Annotation
A structured product which consists of a single cash payment or a strip of cash payments. At each settlement the settled amounts are a fraction of the notional amount for that settlement period calculated as the number of fixings which fall within accrual regions divided by the total number of fixings in the settlement period.
XML Source (w/o annotations (1); see within schema source)
<xsd:element name="fxRangeAccrual" substitutionGroup="product" type="FxRangeAccrual"/>

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