Component PaymentStreamPaymentDates Scenario base

SYNOPSIS: PaymentStreamPaymentDates is a subcomponent of the PaymentStream component used to specify the payment dates of the stream.
ELABORATION: For equity return swaps this component is used to specify the interim price payment dates and the PaymentStreamFinalPricePaymentDate component is used to specify the final price payment date.

ID Abbr
4071PmtDts

Pedigree

Added EP Updated EP Deprecated EP
FIX.5.0SP2161FIX.5.0SP2208

Members

ID Name Abbr Presence Description
40751PaymentStreamPaymentDateBusinessDayConventionBizDayCnvtn optional SYNOPSIS: The business day convention used to adjust the payment stream's payment date. Used only to override the business day convention specified in the DateAdjustment component within the Instrument component.
4109PaymentStreamPaymentDateBusinessCenterGrpBizCtroptionalSYNOPSIS: PaymentStreamPaymentDateBusinessCenterGrp is a repeating subcomponent within the PaymentStreamPaymentDates 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:
4171PaymentStreamPaymentDateGrpPmtDtoptionalSYNOPSIS: The PaymentStreamPaymentDateGrp is a repeating subcomponent of the PaymentStreamPaymentDates component used to detail fixed dates for swap stream payments.
ELABORATION:
40753PaymentStreamPaymentFrequencyPeriodFreqPeriod optional SYNOPSIS: Time unit multiplier for the frequency of payments.
40754PaymentStreamPaymentFrequencyUnitFreqUnit optional SYNOPSIS: Time unit associated with the frequency of payments.
40755PaymentStreamPaymentRollConventionRoll optional SYNOPSIS: The convention for determining the sequence of end dates. It is used in conjunction with a specified frequency. Used only to override the roll convention specified in the DateAdjustment component within the Instrument component.
40756PaymentStreamFirstPaymentDateUnadjustedFirstDtUnadj optional SYNOPSIS: The unadjusted first payment date.
40757PaymentStreamLastRegularPaymentDateUnadjustedLastReglrDtUnadj optional SYNOPSIS: The unadjusted last regular payment date.
40758PaymentStreamPaymentDateRelativeToReltv optional SYNOPSIS: Specifies the anchor date when payment dates are relative to an anchor date. See http://www.fixtradingcommunity.org/codelists#Relative_To_Date for values.
40759PaymentStreamPaymentDateOffsetPeriodOfstPeriod optional SYNOPSIS: Time unit multiplier for the relative payment date offset.
40760PaymentStreamPaymentDateOffsetUnitOfstUnit optional SYNOPSIS: Time unit multiplier for the relative initial fixing date offset.
40920PaymentStreamPaymentDateOffsetDayTypeOfstDayTyp optional SYNOPSIS: Specifies the day type of the relative payment date offset.
41223PaymentStreamMasterAgreementPaymentDatesIndicatorMADts optional SYNOPSIS: When set to 'Y', it indicates that payment dates are specified in the relevant master agreement.
4370PaymentStreamFinalPricePaymentDateFnlPxPmtoptionalSYNOPSIS: PaymentStreamFinalPricePaymentDate is a subcomponent of the PaymentStreamPaymentDates component used to specify the final price payment date, e.g. for an equity return swap.
ELABORATION: