Bond

/FundsXML4/Funds/Fund/Subfunds/Subfund/Segments/Segment/SegmentDynamicData/Portfolios/Portfolio/PositionsDecomposed/Positions/Position/Bond

Diagram

Documentation

EN

Details for bond positions

DE

Details für Anleihepositionen

FR

Détails pour les positions obligataires

NL

Details voor obligatieposities

Properties

Type
(anonymous)
Cardinality
1
Namespace
xs = "http://www.w3.org/2001/XMLSchema"
vc = "http://www.w3.org/2007/XMLSchema-versioning"
altova = "http://www.altova.com/xml-schema-extensions"
ds = "http://www.w3.org/2000/09/xmldsig#"
Level
15

Child Elements & Attributes

Child elements and attributes of this element
Name (XPath) Type Documentation Sample Data
xs:decimal

Nominal value (units) of bond

Nominale/Stückzahl der Rentenposition

Valeur nominale (unités) de l'obligation

Nominale waarde (eenheden) van de obligatie

235.53
xs:decimal

Par value of a bond when it has been bought

Nennwert einer Anleihe bei Kauf

Valeur nominale d'une obligation lors de l'achat

Nominale waarde van een obligatie bij aankoop

831.67
FundAmountType

Clean price (in different currencies)

Bewertungskurs (in verschiedenen Währungen)

Prix net (dans différentes devises)

Schone prijs (in verschillende valuta's)

OtherPricesType

Additional prices (e.g. hold to maturity)

Zusätzliche Preise (z.B. Hold-To-Maturity)

Prix supplémentaires (p.ex. hold to maturity)

Aanvullende prijzen (bijv. hold to maturity)

FundAmountType

Dirty Price (including interests)

Dirty Price (inklusive Zinsen)

Prix sale (intérêts inclus)

Vuile prijs (inclusief rente)

FundAmountType

Market value of security position without interests

Kurswert der Wertpapierposition ohne Zinsen

Valeur de marché de la position en titres hors intérêts

Marktwaarde van de effectenpositie exclusief rente

FundAmountType

Interest claim net value

Netto-Zinsanspruch der Rentenposition

Montant dans different currencies avec fonds/subfund/shareclass devise indicators

Bedrag in different currencies met fonds/subfund/shareclass valuta indicators

FundAmountType

Interest claim gross value

Brutto-Zinsanspruch der Rentenposition

Montant dans different currencies avec fonds/subfund/shareclass devise indicators

Bedrag in different currencies met fonds/subfund/shareclass valuta indicators

xs:integer

Number of accrued interest days

Anzahl der Stueckzins Tage an

3508
FundAmountType

Interest claim net value of zero bond position

Netto-Zinsanspruch der Null-Coupon-Anleihenposition

Montant dans different currencies avec fonds/subfund/shareclass devise indicators

Bedrag in different currencies met fonds/subfund/shareclass valuta indicators

FundAmountType

Interest claim gross value of zero bond position

Brutto Zinsanspruch des Zerobond an

Montant dans different currencies avec fonds/subfund/shareclass devise indicators

Bedrag in different currencies met fonds/subfund/shareclass valuta indicators

FundAmountType

Capital yields tax claim of zero bond position

KEST-Anspruch der Null-Coupon-Anleihenposition

Montant dans different currencies avec fonds/subfund/shareclass devise indicators

Bedrag in different currencies met fonds/subfund/shareclass valuta indicators

xs:decimal

Yield of zero bond (percentage)

Null-Coupon-Anleihenrendite (in Prozent)

559.19
xs:decimal

Index factor of bond

Indexfaktor der Anleihe

964.08
xs:decimal

Pool factor of bond

Poolfaktor der Anleihe

600.68
FundAmountType

Book rate

Buchkurs

Montant dans different currencies avec fonds/subfund/shareclass devise indicators

Bedrag in different currencies met fonds/subfund/shareclass valuta indicators

FundAmountType

Purchase Value

Einstandswert

Montant dans different currencies avec fonds/subfund/shareclass devise indicators

Bedrag in different currencies met fonds/subfund/shareclass valuta indicators

xs:boolean

Indicates whether it is an acrual indexed bond

Gibt an ob die Abgrenzung der Indexanleihe erfolgt

true
xs:date

Date when last coupon will be payed

Datum an dem der letzte Kupon gezahlt wird

2021-10-21
xs:boolean

Indicates whether (part of) position is lended

Gibt an, ob Bestand (teilweise) verliehen ist

true
xs:decimal

Number of lended units

Verliehende Stücke

696.00
xs:boolean

Indicates whether bond has been raffled

Gibt an, ob das Wertpapier verlost wurde

false
FundAmountType

Current value of collateral usage (positive value if received, negative value if delivered from/to counterparty)

Amount in different currencies with fund/subfund/shareclass currency indicators

[AUTO] Betrag in verschiedenen Währungen mit Fund/Subfund/ShareClass-Währungskennzeichen

Montant dans different currencies avec fonds/subfund/shareclass devise indicators

Bedrag in different currencies met fonds/subfund/shareclass valuta indicators

Element Definition

<xs:element xmlns:vc="http://www.w3.org/2007/XMLSchema-versioning"
            xmlns:xs="http://www.w3.org/2001/XMLSchema"
            name="Bond">
   <xs:annotation>
      <xs:documentation xml:lang="en">Details for bond positions</xs:documentation>
      <xs:documentation xml:lang="de">Details für Anleihepositionen</xs:documentation>
      <xs:documentation xml:lang="fr">Détails pour les positions obligataires</xs:documentation>
      <xs:documentation xml:lang="nl">Details voor obligatieposities</xs:documentation>
   </xs:annotation>
   <xs:complexType>
      <xs:sequence>
         <xs:element name="Nominal" type="xs:decimal">
            <xs:annotation>
               <xs:documentation xml:lang="en">Nominal value (units) of bond</xs:documentation>
               <xs:documentation xml:lang="de">Nominale/Stückzahl der Rentenposition</xs:documentation>
               <xs:documentation xml:lang="fr">Valeur nominale (unités) de l'obligation</xs:documentation>
               <xs:documentation xml:lang="nl">Nominale waarde (eenheden) van de obligatie</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="OriginalFace" type="xs:decimal">
            <xs:annotation>
               <xs:documentation xml:lang="en">Par value of a bond when it has been bought</xs:documentation>
               <xs:documentation xml:lang="de">Nennwert einer Anleihe bei Kauf</xs:documentation>
               <xs:documentation xml:lang="fr">Valeur nominale d'une obligation lors de l'achat</xs:documentation>
               <xs:documentation xml:lang="nl">Nominale waarde van een obligatie bij aankoop</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="Price" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Clean price (in different currencies)</xs:documentation>
               <xs:documentation xml:lang="de">Bewertungskurs (in verschiedenen Währungen)</xs:documentation>
               <xs:documentation xml:lang="fr">Prix net (dans différentes devises)</xs:documentation>
               <xs:documentation xml:lang="nl">Schone prijs (in verschillende valuta's)</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="OtherPrices" type="OtherPricesType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Additional prices (e.g. hold to maturity)</xs:documentation>
               <xs:documentation xml:lang="de">Zusätzliche Preise (z.B. Hold-To-Maturity)</xs:documentation>
               <xs:documentation xml:lang="fr">Prix supplémentaires (p.ex. hold to maturity)</xs:documentation>
               <xs:documentation xml:lang="nl">Aanvullende prijzen (bijv. hold to maturity)</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="DirtyPrice" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Dirty Price (including interests)</xs:documentation>
               <xs:documentation xml:lang="de">Dirty Price (inklusive Zinsen)</xs:documentation>
               <xs:documentation xml:lang="fr">Prix sale (intérêts inclus)</xs:documentation>
               <xs:documentation xml:lang="nl">Vuile prijs (inclusief rente)</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="MarketValue" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Market value of security position without interests</xs:documentation>
               <xs:documentation xml:lang="de">Kurswert der Wertpapierposition ohne Zinsen</xs:documentation>
               <xs:documentation xml:lang="fr">Valeur de marché de la position en titres hors intérêts</xs:documentation>
               <xs:documentation xml:lang="nl">Marktwaarde van de effectenpositie exclusief rente</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="InterestClaimNet" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Interest claim net value</xs:documentation>
               <xs:documentation xml:lang="de">Netto-Zinsanspruch der Rentenposition</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="InterestClaimGross" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Interest claim gross value</xs:documentation>
               <xs:documentation xml:lang="de">Brutto-Zinsanspruch der Rentenposition</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="AccruedInterestDays" type="xs:integer">
            <xs:annotation>
               <xs:documentation xml:lang="en">Number of accrued interest days</xs:documentation>
               <xs:documentation xml:lang="de">Anzahl der Stueckzins Tage an</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="ZeroBondInterestClaimNet" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Interest claim net value of zero bond position</xs:documentation>
               <xs:documentation xml:lang="de">Netto-Zinsanspruch der Null-Coupon-Anleihenposition</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0"
                     name="ZeroBondInterestClaimGross"
                     type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Interest claim gross value of zero bond position</xs:documentation>
               <xs:documentation xml:lang="de">Brutto Zinsanspruch des Zerobond an</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0"
                     name="ZeroBondCapitalYieldsTaxClaim"
                     type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Capital yields tax claim of zero bond position</xs:documentation>
               <xs:documentation xml:lang="de">KEST-Anspruch der Null-Coupon-Anleihenposition</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="ZeroBondYield" type="xs:decimal">
            <xs:annotation>
               <xs:documentation xml:lang="en">Yield of zero bond (percentage)</xs:documentation>
               <xs:documentation xml:lang="de">Null-Coupon-Anleihenrendite (in Prozent)</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="Indexfactor" type="xs:decimal">
            <xs:annotation>
               <xs:documentation xml:lang="en">Index factor of bond</xs:documentation>
               <xs:documentation xml:lang="de">Indexfaktor der Anleihe</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="Poolfactor" type="xs:decimal">
            <xs:annotation>
               <xs:documentation xml:lang="en">Pool factor of bond</xs:documentation>
               <xs:documentation xml:lang="de">Poolfaktor der Anleihe</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="BookRate" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Book rate</xs:documentation>
               <xs:documentation xml:lang="de">Buchkurs</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="PurchaseValue" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Purchase Value</xs:documentation>
               <xs:documentation xml:lang="de">Einstandswert</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="AcrualIndexedBond" type="xs:boolean">
            <xs:annotation>
               <xs:documentation xml:lang="en">Indicates whether it is an acrual indexed bond</xs:documentation>
               <xs:documentation xml:lang="de">Gibt an ob die Abgrenzung der Indexanleihe erfolgt</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="DateLastCouponPayment" type="xs:date">
            <xs:annotation>
               <xs:documentation xml:lang="en">Date when last coupon will be payed</xs:documentation>
               <xs:documentation xml:lang="de">Datum an dem der letzte Kupon gezahlt wird</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="LendedFlag" type="xs:boolean">
            <xs:annotation>
               <xs:documentation xml:lang="en">Indicates whether (part of) position is lended</xs:documentation>
               <xs:documentation xml:lang="de">Gibt an, ob Bestand (teilweise) verliehen ist</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="LendedUnits" type="xs:decimal">
            <xs:annotation>
               <xs:documentation xml:lang="en">Number of lended units</xs:documentation>
               <xs:documentation xml:lang="de">Verliehende Stücke</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="IndicatorRaffled" type="xs:boolean">
            <xs:annotation>
               <xs:documentation xml:lang="en">Indicates whether bond has been raffled</xs:documentation>
               <xs:documentation xml:lang="de">Gibt an, ob das Wertpapier verlost wurde</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="CollateralValue" type="FundAmountType">
            <xs:annotation>
               <xs:documentation>Current value of collateral usage (positive value if received, negative value if delivered from/to counterparty)</xs:documentation>
            </xs:annotation>
         </xs:element>
      </xs:sequence>
   </xs:complexType>
</xs:element>