Definition Type: Element
Name: valuationDate
Namespace: http://www.fpml.org/FpML-5/reporting
Type: nsE:AdjustableDateOrRelativeDateSequence
Containing Schema: fpml-eq-shared-5-10.xsd
MinOccurs (1)
MaxOccurs (1)
Abstract
Documentation:
The term "Valuation Date" is assumed to have the meaning as defined in the ISDA 2002 Equity Derivatives Definitions. Cash Settlement Payment Date in accordance with the ISDA 2002 Equity Derivatives Definitions. SettlementCycle in accordance with the ISDA 2011 Equity Derivatives Definitions.
Collapse XSD Schema Diagram:
Drilldown into relativeDateSequence in schema fpml-eq-shared-5-10_xsd2 Drilldown into adjustableDate in schema fpml-eq-shared-5-10_xsd2 Drilldown into id in schema fpml-eq-shared-5-10_xsd2 Drilldown into AdjustableDateOrRelativeDateSequence in schema fpml-eq-shared-5-10_xsd2XSD Diagram of valuationDate in schema fpml-eq-shared-5-10_xsd2 (Financial products Markup Language (FpML®))
Collapse XSD Schema Code:
<xsd:element name="valuationDate" type="AdjustableDateOrRelativeDateSequence">
    <xsd:annotation>
        <xsd:documentation xml:lang="en">The term "Valuation Date" is assumed to have the meaning as defined in the ISDA 2002 Equity Derivatives Definitions. Cash Settlement Payment Date in accordance with the ISDA 2002 Equity Derivatives Definitions. SettlementCycle in accordance with the ISDA 2011 Equity Derivatives Definitions.</xsd:documentation>
    </xsd:annotation>
</xsd:element>
Collapse Child Elements:
Name Type Min Occurs Max Occurs
adjustableDate nsE:adjustableDate (1) (1)
relativeDateSequence nsE:relativeDateSequence (1) (1)
Collapse Child Attributes:
Name Type Default Value Use
id nsE:id (Optional)
Collapse Derivation Tree: