Group PaymentScheduleGrp Scenario base


ID Abbr NumInGroup ID NumInGroup name
4077PmtSched40828NoPaymentSchedules

Pedigree

Added EP Updated EP Deprecated EP
FIX.5.0SP2161

Members

ID Name Abbr Presence Description
40829PaymentScheduleTypeTyp optional SYNOPSIS: Type of schedule.
41164PaymentScheduleXIDXID optional SYNOPSIS: Identifier of this PaymentSchedule for cross referencing elsewhere in the message.
41165PaymentScheduleXIDRefXIDRef optional SYNOPSIS: Reference to payment schedule elsewhere in the message.
40830PaymentScheduleStubTypeStubTyp optional SYNOPSIS: Indicates to which stub this schedule applies.
40831PaymentScheduleStartDateUnadjustedStartDtUnadj optional SYNOPSIS: The date on which the value is adjusted, or calculated if a future value notional for certain non-deliverable interest rate swaps (e.g. Brazillian Real (BRL) vs. CETIP Interbank Deposit Rate (CDI)), or the start date of a cashflow payment.
40832PaymentScheduleEndDateUnadjustedEndDtUnadj optional SYNOPSIS: The unadjusted end date of a cash flow payment.
40833PaymentSchedulePaySidePaySide optional SYNOPSIS: The side of the party paying the step schedule.
40834PaymentScheduleReceiveSideRcvSide optional SYNOPSIS: The side of the party receiving the stepf schedule.
40835PaymentScheduleNotionalNotl optional SYNOPSIS: The notional value for this step, or amount of a cashflow payment.
40836PaymentScheduleCurrencyCcy optional SYNOPSIS: The currency for this step. Uses ISO 4217 currency codes.
40837PaymentScheduleRateRt optional SYNOPSIS: The rate value for this step schedule.
40838PaymentScheduleRateMultiplierRtMult optional SYNOPSIS: A rate multiplier to apply to the floating rate. The multiplier can be less than or greater than 1 (one). This element should only be included if the multiplier is not equal to 1 (one) for the term of the stream.
40839PaymentScheduleRateSpreadSpread optional SYNOPSIS: The spread value for this step schedule.
41166PaymentScheduleRateCurrencyRtCcy optional SYNOPSIS: The currency of the schedule rate. Uses ISO 4217 currency codes.
41167PaymentScheduleRateUnitOfMeasureRtUOM optional SYNOPSIS: The schedule rate unit of measure (UOM).
41168PaymentScheduleRateConversionFactorRtFctr optional SYNOPSIS: The number to be multiplied by the derived floating rate of the payment schedule in order to arrive at the payment rate. If omitted, the schedule rate conversion factor is 1.
41169PaymentScheduleRateSpreadTypeSpreadTyp optional SYNOPSIS: Identifies whether the rate spread is an absolute value to be added to the index rate or a percentage of the index rate.
40840PaymentScheduleRateSpreadPositionTypeSpreadPosTyp optional SYNOPSIS: Identifies whether the rate spread is applied to a long or short position.
40841PaymentScheduleRateTreatmentRtTrtmt optional SYNOPSIS: Specifies the yield calculation treatment for the step schedule.
40842PaymentScheduleFixedAmountFixedAmt optional SYNOPSIS: The explicit payment amount for this step schedule.
40843PaymentScheduleFixedCurrencyFixedCcy optional SYNOPSIS: The currency of the fixed amount. Uses ISO 4217 currency codes.
41170PaymentScheduleSettlPeriodPriceSettlPx optional SYNOPSIS: The schedule settlement period price.
41171PaymentScheduleSettlPeriodPriceCurrencySettlPxCcy optional SYNOPSIS: Specifies the currency of the schedule settlement period price. Uses ISO 4217 currency codes.
41172PaymentScheduleSettlPeriodPriceUnitOfMeasureSettlPxUOM optional SYNOPSIS: The settlement period price unit of measure (UOM).
41173PaymentScheduleStepUnitOfMeasureStepUOM optional SYNOPSIS: The schedule step unit of measure (UOM).
40844PaymentScheduleStepFrequencyPeriodStepPeriod optional SYNOPSIS: Time unit multiplier for the step frequency.
40845PaymentScheduleStepFrequencyUnitStepUnit optional SYNOPSIS: Time unit associated with the step frequency.
40846PaymentScheduleStepOffsetValueStepVal optional SYNOPSIS: The explicit amount that the notional changes on each step date. This can be a positive or negative amount.
40847PaymentScheduleStepRateStepRt optional SYNOPSIS: The percentage by which the notional changes on each step date. The percentage is either a percentage applied to the initial notional amount or the previous outstanding notional, depending on the value specified in PaymentScheduleStepRelativeTo(40849). The percentage can be either positive or negative.
40848PaymentScheduleStepOffsetRateStepOfstRt optional SYNOPSIS: The explicit amount that the rate changes on each step date. This can be a positive or negative value.
40849PaymentScheduleStepRelativeToStepReltv optional SYNOPSIS: Specifies whether the PaymentScheduleStepRate(40847) or PaymentScheduleStepOffsetValue(40846) should be applied to the initial notional or the previous notional in order to calculate the notional step change amount.
4078PaymentScheduleRateSourceGrpRtSrcoptionalSYNOPSIS: PaymentScheduleRateSourceGrp is a repeating component within the PaymentScheduleGrp component used to identify primary and secondary rate sources.
ELABORATION:
40850PaymentScheduleFixingDateUnadjustedFixngDtUnadj optional SYNOPSIS: The unadjusted fixing date.
40851PaymentScheduleWeightWt optional SYNOPSIS: Floating rate observation weight for cashflow payment.
40852PaymentScheduleFixingDateRelativeToFixngReltv optional SYNOPSIS: Specifies the anchor date when the fixing date is relative to an anchor date. See http://www.fixtradingcommunity.org/codelists#Relative_To_Date for values.
40853PaymentScheduleFixingDateBusinessDayConventionFixngBizDayCnvtn optional SYNOPSIS: The business day convention used to adjust the payment schedule's fixing date. Used only to override the business day convention specified in the DateAdjustment component within the Instrument component.
4106PaymentScheduleFixingDateBusinessCenterGrpFixngBizCtroptionalSYNOPSIS: PaymentScheduleFixingDateBusinessCenterGrp is a repeating subcomponent within the PaymentScheduleGrp component. It is used to specify the set of business centers whose calendars drive the date adjustment. Used only to override the business centers defined in the DateAdjustment component in Instrument.
ELABORATION:
40855PaymentScheduleFixingDateOffsetPeriodFixngPeriod optional SYNOPSIS: Time unit multiplier for the relative fixing date offset.
40856PaymentScheduleFixingDateOffsetUnitFixngUnit optional SYNOPSIS: Time unit associated with the relative fixing date offset.
40857PaymentScheduleFixingDateOffsetDayTypeFixngDayTyp optional SYNOPSIS: Specifies the day type of the relative fixing date offset.
41174PaymentScheduleFixingDayDistributionFixngDayDistrib optional SYNOPSIS: The distribution of fixing days.
41175PaymentScheduleFixingDayCountFixngDayCnt optional SYNOPSIS: The number of days over which fixing should take place.
40858PaymentScheduleFixingDateAdjustedFixngDt optional SYNOPSIS: The adjusted fixing date.
4169PaymentScheduleFixingDayGrpFixngDayoptionalSYNOPSIS: The PaymentScheduleFixingDayGrp is a repeating subcomponent of the PaymentScheduleGrp component used to detail periodic fixing days.
ELABORATION: If the fixing days are not specified, then every day of the week will be a fixing day.
41176PaymentScheduleFixingLagPeriodFixngLagPeriod optional SYNOPSIS: Time unit multiplier for the fixing lag duration.
41177PaymentScheduleFixingLagUnitFixngLagUnit optional SYNOPSIS: Time unit associated with the fixing lag duration.
41178PaymentScheduleFixingFirstObservationDateOffsetPeriodFixngFirstObsvtnPeriod optional SYNOPSIS: Time unit multiplier for the relative first observation date offset.
ELABORATION: If the first observation offset is specified, the observation period will start the specified interval prior to each calculation period - i.e. if the first observation offset is 4 months and the lag duration is 3 months, observations will be taken in months 4, 3 and 2 (but not 1) prior to each calculation period. If no first observation offset is specified, the observation period will end immediately preceding each calculation period.
41179PaymentScheduleFixingFirstObservationDateOffsetUnitFixngFirstObsvtnUnit optional SYNOPSIS: Time unit associated with the relative first observation date offset.
40859PaymentScheduleFixingTimeFixngTm optional SYNOPSIS: The fixing time associated with the step schedule.
40860PaymentScheduleFixingTimeBusinessCenterFixngTmBizCtr optional SYNOPSIS: Business center for determining fixing time. See http://www.fpml.org/coding-scheme/business-center for standard 4-character code values.
40861PaymentScheduleInterimExchangePaymentDateRelativeToIntrmExchDtReltv optional SYNOPSIS: Specifies the anchor date when the interim exchange payment date is relative to an anchor date. See http://www.fixtradingcommunity.org/codelists#Relative_To_Date for values.
40862PaymentScheduleInterimExchangeDatesBusinessDayConventionIntrmExchDtBizDayCnvtn optional SYNOPSIS: The business day convention used to adjust the payment schedule's interim exchange date. Used only to override the business day convention specified in the DateAdjustment component within the Instrument component.
4107PaymentScheduleInterimExchangeDateBusinessCenterGrpIntrmExchDtBizCtroptionalSYNOPSIS: PaymentScheduleInterimExchangeDateBusinessCenterGrp is a repeating subcomponent within the PaymentScheduleGrp component. It is used to specify the set of business centers whose calendars drive the date adjustment. Used only to override the business centers defined in the DateAdjustment component in Instrument.
ELABORATION:
40864PaymentScheduleInterimExchangeDatesOffsetPeriodIntrmExchDtPeriod optional SYNOPSIS: Time unit multiplier for the relative interim exchange date offset.
40865PaymentScheduleInterimExchangeDatesOffsetUnitIntrmExchDtUnit optional SYNOPSIS: Time unit associated with the relative interim exchange date offset.
40866PaymentScheduleInterimExchangeDatesOffsetDayTypeIntrmExchDayTyp optional SYNOPSIS: Specifies the day type of the relative interim exchange date offset.
40867PaymentScheduleInterimExchangeDateAdjustedIntrmExchDt optional SYNOPSIS: The adjusted interim exchange date.