Definition Type: ComplexType
Name: FeeLeg
Namespace: http://www.fpml.org/FpML-5/transparency
Type: nsA:Leg
Containing Schema: fpml-cd-5-9.xsd
Abstract
Collapse XSD Schema Diagram:
Drilldown into periodicPayment in schema fpml-cd-5-9_xsd Drilldown into periodicPayment in schema fpml-cd-5-9_xsd Drilldown into singlePayment in schema fpml-cd-5-9_xsd Drilldown into periodicPayment in schema fpml-cd-5-9_xsd Drilldown into initialPayment in schema fpml-cd-5-9_xsd Drilldown into id in schema fpml-shared-5-9_xsd Drilldown into Leg in schema fpml-shared-5-9_xsdXSD Diagram of FeeLeg in schema fpml-cd-5-9_xsd (Financial products Markup Language (FpML®) - Transparency)
Collapse XSD Schema Code:
<xsd:complexType name="FeeLeg">
    <xsd:complexContent>
        <xsd:extension base="Leg">
            <xsd:sequence>
                <xsd:choice>
                    <xsd:choice>
                        <xsd:sequence>
                            <xsd:element name="initialPayment" type="InitialPayment">
                                <xsd:annotation>
                                    <xsd:documentation xml:lang="en">Specifies a single fixed payment that is payable by the payer to the receiver on the initial payment date. The fixed payment to be paid is specified in terms of a known currency amount. This element should be used for CDS Index trades, Standard CDS trades, and can be used for CDS trades where it is necessary to represent a payment from Seller to Buyer. For CDS trades where a payment is to be made from Buyer to Seller the feeLeg/singlePayment structure must be used.</xsd:documentation>
                                </xsd:annotation>
                            </xsd:element>
                            <xsd:element name="periodicPayment" type="PeriodicPayment" minOccurs="0">
                                <xsd:annotation>
                                    <xsd:documentation xml:lang="en">Specifies a periodic schedule of fixed amounts that are payable by the buyer to the seller on the fixed rate payer payment dates. The fixed amount to be paid on each payment date can be specified in terms of a known currency amount or as an amount calculated on a formula basis by reference to a per annum fixed rate. The applicable business day convention and business day for adjusting any fixed rate payer payment date if it would otherwise fall on a day that is not a business day are those specified in the dateAdjustments element within the generalTerms component. ISDA 2003 Term:</xsd:documentation>
                                </xsd:annotation>
                            </xsd:element>
                        </xsd:sequence>
                        <xsd:sequence>
                            <xsd:element name="singlePayment" type="SinglePayment" maxOccurs="unbounded">
                                <xsd:annotation>
                                    <xsd:documentation xml:lang="en">Specifies a single fixed amount that is payable by the buyer to the seller on the fixed rate payer payment date. The fixed amount to be paid is specified in terms of a known currency amount.</xsd:documentation>
                                </xsd:annotation>
                            </xsd:element>
                            <xsd:element name="periodicPayment" type="PeriodicPayment" minOccurs="0">
                                <xsd:annotation>
                                    <xsd:documentation xml:lang="en">Specifies a periodic schedule of fixed amounts that are payable by the buyer to the seller on the fixed rate payer payment dates. The fixed amount to be paid on each payment date can be specified in terms of a known currency amount or as an amount calculated on a formula basis by reference to a per annum fixed rate. The applicable business day convention and business day for adjusting any fixed rate payer payment date if it would otherwise fall on a day that is not a business day are those specified in the dateAdjustments element within the generalTerms component. ISDA 2003 Term:</xsd:documentation>
                                </xsd:annotation>
                            </xsd:element>
                        </xsd:sequence>
                    </xsd:choice>
                    <xsd:element name="periodicPayment" type="PeriodicPayment">
                        <xsd:annotation>
                            <xsd:documentation xml:lang="en">Specifies a periodic schedule of fixed amounts that are payable by the buyer to the seller on the fixed rate payer payment dates. The fixed amount to be paid on each payment date can be specified in terms of a known currency amount or as an amount calculated on a formula basis by reference to a per annum fixed rate. The applicable business day convention and business day for adjusting any fixed rate payer payment date if it would otherwise fall on a day that is not a business day are those specified in the dateAdjustments element within the generalTerms component. ISDA 2003 Term:</xsd:documentation>
                        </xsd:annotation>
                    </xsd:element>
                </xsd:choice>
            </xsd:sequence>
        </xsd:extension>
    </xsd:complexContent>
</xsd:complexType>
Collapse Child Elements:
Name Type Min Occurs Max Occurs
initialPayment nsA:initialPayment (1) (1)
periodicPayment nsA:periodicPayment 0 (1)
singlePayment nsA:singlePayment (1) unbounded
periodicPayment nsA:periodicPayment 0 (1)
periodicPayment nsA:periodicPayment (1) (1)
Collapse Child Attributes:
Name Type Default Value Use
id nsA:id (Optional)
Collapse Derivation Tree:
Collapse References:
nsA:feeLeg, nsA:feeLeg
Collapse Comments:
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