Definition Type: ComplexType
Name: InitialPayment
Namespace: http://www.fpml.org/FpML-5/reporting
Type: nsA:PaymentBase
Containing Schema: fpml-cd-5-9.xsd
Abstract
Collapse XSD Schema Diagram:
Drilldown into paymentAmount in schema fpml-cd-5-9_xsd Drilldown into adjustedPaymentDate in schema fpml-cd-5-9_xsd Drilldown into adjustablePaymentDate in schema fpml-cd-5-9_xsd Drilldown into receiverAccountReference in schema fpml-shared-5-9_xsd Drilldown into receiverPartyReference in schema fpml-shared-5-9_xsd Drilldown into Receiver.model in schema fpml-shared-5-9_xsd Drilldown into payerAccountReference in schema fpml-shared-5-9_xsd Drilldown into payerPartyReference in schema fpml-shared-5-9_xsd Drilldown into Payer.model in schema fpml-shared-5-9_xsd Drilldown into PayerReceiver.model in schema fpml-shared-5-9_xsd Drilldown into id in schema fpml-shared-5-9_xsd Drilldown into PaymentBase in schema fpml-shared-5-9_xsdXSD Diagram of InitialPayment in schema fpml-cd-5-9_xsd (Financial products Markup Language (FpML®) - Reporting)
Collapse XSD Schema Code:
<xsd:complexType name="InitialPayment">
    <xsd:complexContent>
        <xsd:extension base="PaymentBase">
            <xsd:sequence>
                <xsd:group ref="PayerReceiver.model" />
                <xsd:element name="adjustablePaymentDate" type="xsd:date" minOccurs="0">
                    <xsd:annotation>
                        <xsd:documentation xml:lang="en">A fixed payment date that shall be subject to adjustment in accordance with the applicable business day convention if it would otherwise fall on a day that is not a business day. The applicable business day convention and business day are those specified in the dateAdjustments element within the generalTerms component.</xsd:documentation>
                    </xsd:annotation>
                </xsd:element>
                <xsd:element name="adjustedPaymentDate" type="xsd:date" minOccurs="0">
                    <xsd:annotation>
                        <xsd:documentation xml:lang="en">The adjusted payment date. This date should already be adjusted for any applicable business day convention. This component is not intended for use in trade confirmation but may be specified to allow the fee structure to also serve as a cashflow type component.</xsd:documentation>
                    </xsd:annotation>
                </xsd:element>
                <xsd:element name="paymentAmount" type="Money" minOccurs="0">
                    <xsd:annotation>
                        <xsd:documentation xml:lang="en">A fixed payment amount.</xsd:documentation>
                    </xsd:annotation>
                </xsd:element>
            </xsd:sequence>
        </xsd:extension>
    </xsd:complexContent>
</xsd:complexType>
Collapse Child Elements:
Name Type Min Occurs Max Occurs
payerPartyReference nsA:payerPartyReference 0 (1)
payerAccountReference nsA:payerAccountReference 0 (1)
receiverPartyReference nsA:receiverPartyReference 0 (1)
receiverAccountReference nsA:receiverAccountReference 0 (1)
adjustablePaymentDate nsA:adjustablePaymentDate 0 (1)
adjustedPaymentDate nsA:adjustedPaymentDate 0 (1)
paymentAmount nsA:paymentAmount 0 (1)
<xs:group> nsA:PayerReceiver.model (1) (1)
<xs:group> nsA:Payer.model (1) (1)
<xs:group> nsA:Receiver.model (1) (1)
Collapse Child Attributes:
Name Type Default Value Use
id nsA:id (Optional)
Collapse Derivation Tree:
Collapse References:
nsA:initialPayment
Collapse Comments:
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