Component UnderlyingPaymentStreamNonDeliverableSettlTerms Scenario base

SYNOPSIS: UnderlyingPaymentStreamNonDeliverableSettlTerms is a subcomponent of the UnderlyingPaymentStream component used to specify the non-deliverable settlement terms of the stream.
ELABORATION:

ID Abbr
4064NonDlvrblTrms

Pedigree

Added EP Updated EP Deprecated EP
FIX.5.0SP2161

Members

ID Name Abbr Presence Description
40648UnderlyingPaymentStreamNonDeliverableRefCurrencyCcy optional SYNOPSIS: The non-deliverable settlement reference currency. Uses ISO 4217 currency codes.
40649UnderlyingPaymentStreamNonDeliverableFixingDatesBusinessDayConventionBizDayCnvtn optional SYNOPSIS: The business day convention used to adjust the payment stream's fixing date for the non-deliverable terms. Used only to override the business day convention specified in the UnderlyingDateAdjustment component within the UnderlyingInstrument component.
4128UnderlyingPaymentStreamNonDeliverableFixingDatesBusinessCenterGrpBizCtroptionalSYNOPSIS: UnderlyingPaymentStreamNonDeliverableFixingDatesBusinessCenterGrp is a repeating subcomponent within the UnderlyingPaymentStreamNonDeliverableSettlTerms 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 UnderlyingDateAdjustment component in the UnderlyingInstrument component.
ELABORATION:
40651UnderlyingPaymentStreamNonDeliverableFixingDatesRelativeToFixngReltv optional SYNOPSIS: Specifies the anchor date when the non-deliverable fixing dates are relative to an anchor date. See http://www.fixtradingcommunity.org/codelists#Relative_To_Date for values.
40652UnderlyingPaymentStreamNonDeliverableFixingDatesOffsetPeriodFixngPeriod optional SYNOPSIS: Time unit multiplier for the relative non-deliverable fixing date offset.
40653UnderlyingPaymentStreamNonDeliverableFixingDatesOffsetUnitFixngUnit optional SYNOPSIS: Time unit associated with the relative non-deliverable fixing date offset.
40654UnderlyingPaymentStreamNonDeliverableFixingDatesOffsetDayTypeFixngDayTyp optional SYNOPSIS: Specifies the day type of the relative non-deliverable fixing date offset.
4139UnderlyingPaymentStreamNonDeliverableSettlRateSourceRtSrcoptionalSYNOPSIS: UnderlyingPaymentStreamNonDeliverableSettlRateSource is a subcomponent of the UnderlyingPaymentStreamNonDeliverableSettlTerms component used to specify the rate source in the event of payment non-delivery.
ELABORATION:
4065UnderlyingPaymentStreamNonDeliverableFixingDateGrpFixngDtoptionalSYNOPSIS: UnderlyingPaymentStreamNonDeliverableFixingDate is a subcomponent of the UnderlyingPaymentStreamNonDeliverableSettlTerms component used to specify predetermined fixing dates.
ELABORATION: For the purpose of optimization, the UnderlyingNonDeliverableFixingDateType(40658) field may optionally be omitted after the first instance provided the instance(s) which immediately follow is of the same date type. When the next instance requires a different date type from the prior instance, the UnderlyingNonDeliverableFixingDateType(40658) is required to specify the date type.
4066UnderlyingSettlRateDisruptionFallbackGrpSettlRtFallbckoptionalSYNOPSIS: The UnderlyingSettlRateDisruptionFallbackGrp is a repeating subcomponent of the UnderlyingPaymentStreamNonDeliverableSettlTermGrp component used to specify the method, prioritized by the order it is listed, to get a replacement rate for a disrupted settlement rate option for a non-deliverable settlement currency.
ELABORATION: