Definition Type: ComplexType
Name: CreditDefaultSwap
Namespace: http://www.fpml.org/FpML-5/transparency
Type: nsF:Product
Containing Schema: fpml-cd-5-10.xsd
Abstract
Collapse XSD Schema Diagram:
Drilldown into protectionTerms in schema fpml-cd-5-10_xsd4 Drilldown into feeLeg in schema fpml-cd-5-10_xsd4 Drilldown into generalTerms in schema fpml-cd-5-10_xsd4 Drilldown into embeddedOptionType in schema fpml-shared-5-10_xsd5 Drilldown into productId in schema fpml-shared-5-10_xsd5 Drilldown into productType in schema fpml-shared-5-10_xsd5 Drilldown into secondaryAssetClass in schema fpml-shared-5-10_xsd5 Drilldown into primaryAssetClass in schema fpml-shared-5-10_xsd5 Drilldown into Product.model in schema fpml-shared-5-10_xsd5 Drilldown into id in schema fpml-shared-5-10_xsd5 Drilldown into Product in schema fpml-shared-5-10_xsd5XSD Diagram of CreditDefaultSwap in schema fpml-cd-5-10_xsd4 (Financial products Markup Language (FpML®))
Collapse XSD Schema Code:
<xsd:complexType name="CreditDefaultSwap">
    <xsd:complexContent>
        <xsd:extension base="Product">
            <xsd:sequence>
                <xsd:element name="generalTerms" type="GeneralTerms">
                    <xsd:annotation>
                        <xsd:documentation xml:lang="en">This element contains all the data that appears in the section entitled "1. General Terms" in the 2003 ISDA Credit Derivatives Confirmation.</xsd:documentation>
                    </xsd:annotation>
                </xsd:element>
                <xsd:element name="feeLeg" type="FeeLeg">
                    <xsd:annotation>
                        <xsd:documentation xml:lang="en">This element contains all the terms relevant to defining the fixed amounts/payments per the applicable ISDA definitions.</xsd:documentation>
                    </xsd:annotation>
                </xsd:element>
                <xsd:element name="protectionTerms" type="ProtectionTerms" maxOccurs="unbounded">
                    <xsd:annotation>
                        <xsd:documentation xml:lang="en">This element contains all the terms relevant to defining the applicable floating rate payer calculation amount, credit events and associated conditions to settlement, and reference obligations.</xsd:documentation>
                    </xsd:annotation>
                </xsd:element>
            </xsd:sequence>
        </xsd:extension>
    </xsd:complexContent>
</xsd:complexType>
Collapse Child Elements:
Name Type Min Occurs Max Occurs
primaryAssetClass nsF:primaryAssetClass 0 (1)
secondaryAssetClass nsF:secondaryAssetClass 0 unbounded
productType nsF:productType 0 unbounded
productId nsF:productId 0 unbounded
embeddedOptionType nsF:embeddedOptionType 0 2
generalTerms nsF:generalTerms (1) (1)
feeLeg nsF:feeLeg (1) (1)
protectionTerms nsF:protectionTerms (1) unbounded
Collapse Child Attributes:
Name Type Default Value Use
id nsF:id (Optional)
Collapse Derivation Tree:
Collapse References:
nsF:creditDefaultSwap