Group UnderlyingAdditionalTermBondRefGrp Scenario base


ID Abbr NumInGroup ID NumInGroup name
4287BondRef41340NoUnderlyingAdditionalTermBondRefs

Pedigree

Added EP Updated EP Deprecated EP
FIX.5.0SP2187

Members

ID Name Abbr Presence Description
41341UnderlyingAdditionalTermBondSecurityIDID optional SYNOPSIS: Security identifier of the bond.
41701UnderlyingAdditionalTermBondSecurityIDSourceSrc optional SYNOPSIS: Identifies the source scheme of the UnderlyingAdditionalTermBondSecurityID(41341) value.
41709UnderlyingAdditionalTermBondDescDesc optional SYNOPSIS: Description of the bond.
41710EncodedUnderlyingAdditionalTermBondDescLenEncDescLen optional SYNOPSIS: Byte length of encoded (non-ASCII characters) EncodedUnderlyingAdditionalTermBondDesc(41711) field.
41711EncodedUnderlyingAdditionalTermBondDescEncDesc optional SYNOPSIS: Encoded (non-ASCII characters) representation of the UnderlyingAdditionalTermBondDesc(41709) field in the encoded format specified via the MessageEncoding (347) field. If used, the ASCII (English) representation should also be specified in the UnderlyingAdditionalTermBondDesc(41709) field.
41712UnderlyingAdditionalTermBondCurrencyCcy optional SYNOPSIS: Specifies the currency the bond value is denominated in. Uses ISO 4217 currency codes.
42017UnderlyingAdditionalTermBondIssuerIssr optional SYNOPSIS: Issuer of the bond.
42025EncodedUnderlyingAdditionalTermBondIssuerLenEncIssrLen optional SYNOPSIS: Byte length of encoded (non-ASCII characters) EncodedUnderlyingAdditionalTermBondIssuer(42026) field.
42026EncodedUnderlyingAdditionalTermBondIssuerEncIssr optional SYNOPSIS: Encoded (non-ASCII characters) representation of the UnderlyingAdditionalTermBondIssuer(42017) field in the encoded format specified via the MessageEncoding (347) field. If used, the ASCII (English) representation should also be specified in the UnderlyingAdditionalTermBondIssuer(42017) field.
42027UnderlyingAdditionalTermBondSenioritySnrty optional SYNOPSIS: Specifies the bond's payment priority in the event of a default.
42028UnderlyingAdditionalTermBondCouponTypeCpnTyp optional SYNOPSIS: Coupon type of the bond.
42029UnderlyingAdditionalTermBondCouponRateCpnRt optional SYNOPSIS: Coupon rate of the bond. See also CouponRate(223).
42030UnderlyingAdditionalTermBondMaturityDateMatDt optional SYNOPSIS: The maturity date of the bond.
42031UnderlyingAdditionalTermBondParValuePar optional SYNOPSIS: The par value of the bond.
42032UnderlyingAdditionalTermBondCurrentTotalIssuedAmountCurTotAmt optional SYNOPSIS: Total issued amount of the bond.
42033UnderlyingAdditionalTermBondCouponFrequencyPeriodCpnPeriod optional SYNOPSIS: Time unit multiplier for the frequency of the bond's coupon payment.
42034UnderlyingAdditionalTermBondCouponFrequencyUnitCpnUnit optional SYNOPSIS: Time unit associated with the frequency of the bond's coupon payment.
42035UnderlyingAdditionalTermBondDayCountDayCnt optional SYNOPSIS: The day count convention used in interest calculations for a bond or an interest bearing security.