| Package | Description |
|---|---|
| un.unece.uncefact.data.standard.reusableaggregatebusinessinformationentity._100 |
| Modifier and Type | Method and Description |
|---|---|
SpecifiedPeriodType |
SpecifiedPeriodType.clone()
Created by ph-jaxb22-plugin -Xph-cloneable2
|
SpecifiedPeriodType |
ObjectFactory.createSpecifiedPeriodType()
Create an instance of
SpecifiedPeriodType |
SpecifiedPeriodType |
SpecifiedBinaryFileType.getAccessAvailabilitySpecifiedPeriod()
Gets the value of the accessAvailabilitySpecifiedPeriod property.
|
SpecifiedPeriodType |
HeaderTradeSettlementType.getBillingSpecifiedPeriod()
Gets the value of the billingSpecifiedPeriod property.
|
SpecifiedPeriodType |
LineTradeSettlementType.getBillingSpecifiedPeriod()
Gets the value of the billingSpecifiedPeriod property.
|
SpecifiedPeriodType |
ReturnableAssetInstructionsType.getDepositValueValiditySpecifiedPeriod()
Gets the value of the depositValueValiditySpecifiedPeriod property.
|
SpecifiedPeriodType |
ExchangedDocumentType.getEffectiveSpecifiedPeriod()
Gets the value of the effectiveSpecifiedPeriod property.
|
SpecifiedPeriodType |
ReferencedDocumentType.getEffectiveSpecifiedPeriod()
Gets the value of the effectiveSpecifiedPeriod property.
|
SpecifiedPeriodType |
SupplyChainEventType.getOccurrenceSpecifiedPeriod()
Gets the value of the occurrenceSpecifiedPeriod property.
|
SpecifiedPeriodType |
TradePriceType.getValiditySpecifiedPeriod()
Gets the value of the validitySpecifiedPeriod property.
|
| Modifier and Type | Method and Description |
|---|---|
void |
SpecifiedPeriodType.cloneTo(SpecifiedPeriodType ret)
This method clones all values from
this to the passed object. |
void |
SpecifiedBinaryFileType.setAccessAvailabilitySpecifiedPeriod(SpecifiedPeriodType value)
Sets the value of the accessAvailabilitySpecifiedPeriod property.
|
void |
HeaderTradeSettlementType.setBillingSpecifiedPeriod(SpecifiedPeriodType value)
Sets the value of the billingSpecifiedPeriod property.
|
void |
LineTradeSettlementType.setBillingSpecifiedPeriod(SpecifiedPeriodType value)
Sets the value of the billingSpecifiedPeriod property.
|
void |
ReturnableAssetInstructionsType.setDepositValueValiditySpecifiedPeriod(SpecifiedPeriodType value)
Sets the value of the depositValueValiditySpecifiedPeriod property.
|
void |
ExchangedDocumentType.setEffectiveSpecifiedPeriod(SpecifiedPeriodType value)
Sets the value of the effectiveSpecifiedPeriod property.
|
void |
ReferencedDocumentType.setEffectiveSpecifiedPeriod(SpecifiedPeriodType value)
Sets the value of the effectiveSpecifiedPeriod property.
|
void |
SupplyChainEventType.setOccurrenceSpecifiedPeriod(SpecifiedPeriodType value)
Sets the value of the occurrenceSpecifiedPeriod property.
|
void |
TradePriceType.setValiditySpecifiedPeriod(SpecifiedPeriodType value)
Sets the value of the validitySpecifiedPeriod property.
|
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