| Definition Type: | Element |
| Name: | equityPaymentDatesInterim |
| Namespace: | http://www.fpml.org/2007/FpML-4-4 |
| Type: | fpml:AdjustableOrRelativeDates |
| Containing Schema: | fpml-return-swaps-4-4.xsd |
| MinOccurs | 0 |
| MaxOccurs | (1) |
| Abstract | |
| Documentation: |
Specifies the interim payment dates of the swap. When defined in relation to a date
specified somewhere else in the document (through the relativeDates component), this
element will typically refer to the valuation dates and add a lag corresponding to
the settlement cycle of the underlyer.
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