<xsd:complexType name="ConvertibleBond">
<xsd:complexContent>
<xsd:extension base="Bond">
<xsd:sequence>
<xsd:element name="underlyingEquity" type="EquityAsset" minOccurs="0">
<xsd:annotation>
<xsd:documentation xml:lang="en">Specifies the equity in which the convertible bond can be converted.</xsd:documentation>
</xsd:annotation>
</xsd:element>
<xsd:element name="redemptionDate" type="xsd:date" minOccurs="0">
<xsd:annotation>
<xsd:documentation xml:lang="en">Earlier date between the convertible bond put dates and its maturity date.</xsd:documentation>
</xsd:annotation>
</xsd:element>
</xsd:sequence>
</xsd:extension>
</xsd:complexContent>
</xsd:complexType>
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