Definition Type: Element
Name: equityPaymentDateFinal
Namespace: http://www.fpml.org/2007/FpML-4-4
Type: fpml:AdjustableOrRelativeDate
Containing Schema: fpml-return-swaps-4-4.xsd
MinOccurs (1)
MaxOccurs (1)
Abstract
Documentation:
Specifies the final payment date of the swap. When defined in relation to a date specified somewhere else in the document (through the relativeDate component), this element will typically refer to the final valuation date and add a lag corresponding to the settlement cycle of the underlyer.
Collapse XSD Schema Diagram:
Drilldown into relativeDate in schema fpml-shared-4-4_xsd Drilldown into adjustableDate in schema fpml-shared-4-4_xsd Drilldown into id in schema fpml-shared-4-4_xsd Drilldown into AdjustableOrRelativeDate in schema fpml-shared-4-4_xsdXSD Diagram of equityPaymentDateFinal in schema fpml-return-swaps-4-4_xsd (Financial products Markup Language (FpML®))
Collapse XSD Schema Code:
<xsd:element name="equityPaymentDateFinal" type="AdjustableOrRelativeDate">
    <xsd:annotation>
        <xsd:documentation xml:lang="en">Specifies the final payment date of the swap. When defined in relation to a date specified somewhere else in the document (through the relativeDate component), this element will typically refer to the final valuation date and add a lag corresponding to the settlement cycle of the underlyer.</xsd:documentation>
    </xsd:annotation>
</xsd:element>
Collapse Child Elements:
Name Type Min Occurs Max Occurs
adjustableDate fpml:adjustableDate (1) (1)
relativeDate fpml:relativeDate (1) (1)
Collapse Child Attributes:
Name Type Default Value Use
id fpml:id (Optional)
Collapse Derivation Tree: