InterestRateInstrumentCharacteristics
/FundsXML4/RegulatoryReportings/IndirectReporting/TripartiteTemplateSolvencyII_V6/Portfolio/Positions/Position/InterestRateInstrumentCharacteristics
Diagram
Documentation
Detailed characteristics for interest rate instruments.
Detaillierte Merkmale für Zinsinstrumente.
Detailed characteristics pour intérêt taux instruments.
Detailed characteristics voor rente tarief instruments.
Properties
- Type
- (anonymous)
- Cardinality
- 0..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
- 7
Child Elements & Attributes
| Name (XPath) | Type | Documentation | Sample Data |
|---|---|---|---|
| xs:string |
A32 - Type of interest rate: A32 - Art des Zinssatzes: A32 - Type de intérêt taux: A32 - Type van rente tarief: |
Infation_linked | |
| PercentageType |
A33 - Next annual coupon rate in percentage A33 - Nächste jährliche Kuponrate in Prozent A33 - Next annuel coupon taux dans pourcentage A33 - Next jaarlijks coupon tarief in percentage |
640.27 | |
| (anonymous) |
For Floating/Variable rate bond. Für variabel verzinsliche Anleihen. For Floating/Variable taux obligation. For Floating/Variable tarief obligatie. |
||
| SIICouponFrequencyType |
A38 - Coupon payment frequency as number of coupons per year A38 - Kuponzahlungsfrequenz as Anzahl der Kupons pro Jahr A38 - Coupon payment frequency comme numéro de coupons per year A38 - Coupon payment frequency als nummer van coupons per year |
2 | |
| xs:date |
A63 - Start date to accrue interest. A63 - Beginn der Zinsberechnung. A63 - Start date à accrue intérêt. A63 - Start datum naar accrue rente. |
2025-01-09 | |
| RedemptionType_V7 |
A39 40 41 - Redemption details A39 40 41 - Rücknahmedetails A39 40 41 - Rachat details A39 40 41 - Inkoop details |
||
| (anonymous) |
To be used only for a To be used only für ein To be used only pour un To be used only voor een |
||
| (anonymous) |
Specific data in case no yield curve of reference is available (e.g. for developing countries or BRICS) Spezifisch Daten in case kein yield curve von Referenz ist verfügbar (e.g. für developing countries oder BRICS) Spécifique données dans case aucun yield curve de référence est disponible (e.g. pour developing countries ou BRICS) Specifiek gegevens in case geen yield curve van referentie is beschikbaar (e.g. voor developing countries van BRICS) |
Element Definition
Element Definition
<xs:element xmlns:altova="http://www.altova.com/xml-schema-extensions"
xmlns:vc="http://www.w3.org/2007/XMLSchema-versioning"
xmlns:xs="http://www.w3.org/2001/XMLSchema"
minOccurs="0"
name="InterestRateInstrumentCharacteristics">
<xs:annotation>
<xs:documentation xml:lang="en">Detailed characteristics for interest rate instruments.</xs:documentation>
<xs:documentation xml:lang="de">Detaillierte Merkmale für Zinsinstrumente.</xs:documentation>
<xs:documentation xml:lang="fr">Detailed characteristics pour intérêt taux instruments.</xs:documentation>
<xs:documentation xml:lang="nl">Detailed characteristics voor rente tarief instruments.</xs:documentation>
</xs:annotation>
<xs:complexType>
<xs:sequence>
<xs:sequence minOccurs="0">
<xs:element name="RateType">
<xs:annotation>
<xs:documentation xml:lang="en">A32 - Type of interest rate:
"Fixed" (fixe), "Variable" (révisable), "Floating" (variable), " Infation_linked" (inflation linked bonds)</xs:documentation>
<xs:documentation xml:lang="de">A32 - Art des Zinssatzes:
"Fest" (fixe), "Variabel" (révisable), "Variabel" (variable), " Infation_linked" (inflation linked bonds)</xs:documentation>
<xs:documentation xml:lang="fr">A32 - Type de intérêt taux:
"Fixed" (fixe), "Variable" (révisable), "Floating" (variable), " Infation_linked" (inflation linked bonds)</xs:documentation>
<xs:documentation xml:lang="nl">A32 - Type van rente tarief:
"Fixed" (fixe), "Variable" (révisable), "Floating" (variable), " Infation_linked" (inflation linked bonds)</xs:documentation>
</xs:annotation>
<xs:simpleType>
<xs:restriction base="xs:string">
<xs:enumeration value="Fixed"/>
<xs:enumeration value="Variable"/>
<xs:enumeration value="Floating"/>
<xs:enumeration value="Infation_linked"/>
</xs:restriction>
</xs:simpleType>
</xs:element>
<xs:element name="CouponRate" type="PercentageType">
<xs:annotation>
<xs:documentation xml:lang="en">A33 - Next annual coupon rate in percentage
(known, or estimated for Floating).
3.5% has to be written "3.5"</xs:documentation>
<xs:documentation xml:lang="de">A33 - Nächste jährliche Kuponrate in Prozent
(known, or estimated for Variabel).
3.5% has to be written "3.5"</xs:documentation>
<xs:documentation xml:lang="fr">A33 - Next annuel coupon taux dans pourcentage
(known, ou estimé pour Floating).
3.5% un à be written "3.5"</xs:documentation>
<xs:documentation xml:lang="nl">A33 - Next jaarlijks coupon tarief in percentage
(known, van geschat voor Floating).
3.5% heeft naar be written "3.5"</xs:documentation>
</xs:annotation>
</xs:element>
<xs:element minOccurs="0" name="VariableRate">
<xs:annotation>
<xs:documentation xml:lang="en">For Floating/Variable rate bond.</xs:documentation>
<xs:documentation xml:lang="de">Für variabel verzinsliche Anleihen.</xs:documentation>
<xs:documentation xml:lang="fr">For Floating/Variable taux obligation.</xs:documentation>
<xs:documentation xml:lang="nl">For Floating/Variable tarief obligatie.</xs:documentation>
</xs:annotation>
<xs:complexType>
<xs:sequence>
<xs:element name="IndexID" type="CodificationType_V5">
<xs:annotation>
<xs:documentation xml:lang="en">A35 34 - Identification of index used as reference for Floating/Variable rate bond.
CodificationSystem omitted if internal codification is used.</xs:documentation>
<xs:documentation xml:lang="de">A35 34 - Identifikation des als Referenz verwendeten Index for Variabel/Variabel rate bond.
CodificationSystem omitted if internal codification is used.</xs:documentation>
<xs:documentation xml:lang="fr">A35 34 - Identification de index used comme référence pour Floating/Variable taux obligation.
CodificationSystem omitted si interne codification est used.</xs:documentation>
<xs:documentation xml:lang="nl">A35 34 - Identification van index used als referentie voor Floating/Variable tarief obligatie.
CodificationSystem omitted als intern codification is used.</xs:documentation>
</xs:annotation>
</xs:element>
<xs:element name="IndexName" type="xs:string">
<xs:annotation>
<xs:documentation xml:lang="en">A36 - Name of Index</xs:documentation>
<xs:documentation xml:lang="de">A36 - Name von Index</xs:documentation>
<xs:documentation xml:lang="fr">A36 - Nom de Index</xs:documentation>
<xs:documentation xml:lang="nl">A36 - Naam van Index</xs:documentation>
</xs:annotation>
</xs:element>
<xs:element name="Margin" type="PercentageType">
<xs:annotation>
<xs:documentation xml:lang="en">A37 - Annual additive margin in percentage.
e.g. -0.5% should be written as "-0.5"</xs:documentation>
<xs:documentation xml:lang="de">A37 - Jährliche additive Marge in percentage.
e.g. -0.5% should be written as "-0.5"</xs:documentation>
<xs:documentation xml:lang="fr">A37 - Annuel additive margin dans pourcentage.
e.g. -0.5% should be written comme "-0.5"</xs:documentation>
<xs:documentation xml:lang="nl">A37 - Jaarlijks additive margin in percentage.
e.g. -0.5% should be written als "-0.5"</xs:documentation>
</xs:annotation>
</xs:element>
</xs:sequence>
</xs:complexType>
</xs:element>
<xs:element name="CouponFrequency" type="SIICouponFrequencyType">
<xs:annotation>
<xs:documentation xml:lang="en">A38 - Coupon payment frequency as number of coupons per year
0 = other than below options:
1= annual
2= biannual
4= quarterly
12= monthly
52= weekly</xs:documentation>
<xs:documentation xml:lang="de">A38 - Kuponzahlungsfrequenz as Anzahl der Kupons pro Jahr
0 = other than below options:
1= annual
2= biannual
4= quarterly
12= monthly
52= weekly</xs:documentation>
<xs:documentation xml:lang="fr">A38 - Coupon payment frequency comme numéro de coupons per year
0 = autre than below options:
1= annuel
2= biannual
4= trimestriel
12= mensuel
52= hebdomadaire</xs:documentation>
<xs:documentation xml:lang="nl">A38 - Coupon payment frequency als nummer van coupons per year
0 = overig than below options:
1= jaarlijks
2= biannual
4= kwartaal
12= maandelijks
52= wekelijks</xs:documentation>
</xs:annotation>
</xs:element>
</xs:sequence>
<xs:element minOccurs="0" name="EffectiveDateOfInstrument" type="xs:date">
<xs:annotation>
<xs:documentation xml:lang="en">A63 - Start date to accrue interest.</xs:documentation>
<xs:documentation xml:lang="de">A63 - Beginn der Zinsberechnung.</xs:documentation>
<xs:documentation xml:lang="fr">A63 - Start date à accrue intérêt.</xs:documentation>
<xs:documentation xml:lang="nl">A63 - Start datum naar accrue rente.</xs:documentation>
</xs:annotation>
</xs:element>
<xs:element name="Redemption" type="RedemptionType_V7">
<xs:annotation>
<xs:documentation xml:lang="en">A39 40 41 - Redemption details</xs:documentation>
<xs:documentation xml:lang="de">A39 40 41 - Rücknahmedetails</xs:documentation>
<xs:documentation xml:lang="fr">A39 40 41 - Rachat details</xs:documentation>
<xs:documentation xml:lang="nl">A39 40 41 - Inkoop details</xs:documentation>
</xs:annotation>
</xs:element>
<xs:element minOccurs="0" name="EmbeddedOption">
<xs:annotation>
<xs:documentation xml:lang="en">To be used only for a
callable / putable bond.
The embedded option is described only for the first option date to come.</xs:documentation>
<xs:documentation xml:lang="de">To be used only für ein
callable / putable Anleihe.
The embedded option ist described only für first option Datum zu come.</xs:documentation>
<xs:documentation xml:lang="fr">To be used only pour un
callable / putable obligation.
The embedded option est described only pour first option date à come.</xs:documentation>
<xs:documentation xml:lang="nl">To be used only voor een
callable / putable obligatie.
The embedded option is described only voor first option datum naar come.</xs:documentation>
</xs:annotation>
<xs:complexType>
<xs:sequence>
<xs:element name="CallPutType">
<xs:annotation>
<xs:documentation xml:lang="en">A42 - Cal = Call
Put = Put
Cap = Cap
Flr= Floor</xs:documentation>
<xs:documentation xml:lang="de">A42 - Cal = Call
Put = Put
Cap = Cap
Flr= Floor</xs:documentation>
<xs:documentation xml:lang="fr">A42 - Cal = Call
Put = Put
Cap = Cap
Flr= Floor</xs:documentation>
<xs:documentation xml:lang="nl">A42 - Cal = Call
Put = Put
Cap = Cap
Flr= Floor</xs:documentation>
</xs:annotation>
<xs:simpleType>
<xs:restriction base="xs:string">
<xs:enumeration value="Cal"/>
<xs:enumeration value="Put"/>
<xs:enumeration value="Cap"/>
<xs:enumeration value="Flr"/>
</xs:restriction>
</xs:simpleType>
</xs:element>
<xs:element name="CallPutDate" type="xs:date">
<xs:annotation>
<xs:documentation xml:lang="en">A43 - Date of first Call / Put option to come.</xs:documentation>
<xs:documentation xml:lang="de">A43 - Datum der ersten Call/Put-Option to come.</xs:documentation>
<xs:documentation xml:lang="fr">A43 - Date de first Call / Put option à come.</xs:documentation>
<xs:documentation xml:lang="nl">A43 - Datum van first Call / Put option naar come.</xs:documentation>
</xs:annotation>
</xs:element>
<xs:element name="OptionDirection">
<xs:annotation>
<xs:documentation xml:lang="en">A44 - Option at the discretion of issuer(I) or bearer(B). "O" if both are possible.</xs:documentation>
<xs:documentation xml:lang="de">A44 - Option im Ermessen von Emittent(I) or Inhaber(B). "O" if both are possible.</xs:documentation>
<xs:documentation xml:lang="fr">A44 - Option at discretion de émetteur(I) ou bearer(B). "O" si both sont possible.</xs:documentation>
<xs:documentation xml:lang="nl">A44 - Option at discretion van emittent(I) van bearer(B). "O" als both zijn possible.</xs:documentation>
</xs:annotation>
<xs:simpleType>
<xs:restriction base="xs:string">
<xs:minLength value="1"/>
<xs:maxLength value="1"/>
<xs:enumeration value="I"/>
<xs:enumeration value="B"/>
<xs:enumeration value="O"/>
</xs:restriction>
</xs:simpleType>
</xs:element>
<xs:element name="StrikePrice" type="xs:decimal">
<xs:annotation>
<xs:documentation xml:lang="en">A45 - Strike price of first optional Call / Put as a percentage of nominal amount.
95%=0.95</xs:documentation>
<xs:documentation xml:lang="de">A45 - Ausübungspreis of first optional Call / Put as a percentage of Nennwert.
95%=0.95</xs:documentation>
<xs:documentation xml:lang="fr">A45 - Strike prix de first optionnel Call / Put comme un pourcentage de nominal montant.
95%=0.95</xs:documentation>
<xs:documentation xml:lang="nl">A45 - Strike prijs van first optioneel Call / Put als een percentage van nominal bedrag.
95%=0.95</xs:documentation>
</xs:annotation>
</xs:element>
</xs:sequence>
</xs:complexType>
</xs:element>
<xs:element minOccurs="0" name="ValuationYieldCurve">
<xs:annotation>
<xs:documentation xml:lang="en">Specific data in case no yield curve of reference is available (e.g. for developing countries or BRICS)</xs:documentation>
<xs:documentation xml:lang="de">Spezifisch Daten in case kein yield curve von Referenz ist verfügbar (e.g. für developing countries oder BRICS)</xs:documentation>
<xs:documentation xml:lang="fr">Spécifique données dans case aucun yield curve de référence est disponible (e.g. pour developing countries ou BRICS)</xs:documentation>
<xs:documentation xml:lang="nl">Specifiek gegevens in case geen yield curve van referentie is beschikbaar (e.g. voor developing countries van BRICS)</xs:documentation>
</xs:annotation>
<xs:complexType>
<xs:sequence>
<xs:element name="Yield" type="xs:decimal">
<xs:annotation>
<xs:documentation xml:lang="en">A129 - Valuation Yield of the interest rate instrument
****Is 3.5% coded as 3.5 or 0.035?</xs:documentation>
<xs:documentation xml:lang="de">A129 - Bewertung Yield von Zins Satz instrument
****Is 3.5% coded als 3.5 oder 0.035?</xs:documentation>
<xs:documentation xml:lang="fr">A129 - Évaluation Yield de intérêt taux instrument
****Is 3.5% coded comme 3.5 ou 0.035?</xs:documentation>
<xs:documentation xml:lang="nl">A129 - Waardering Yield van rente tarief instrument
****Is 3.5% coded als 3.5 van 0.035?</xs:documentation>
</xs:annotation>
</xs:element>
<xs:element name="Spread" type="xs:decimal">
<xs:annotation>
<xs:documentation xml:lang="en">A130 - Issuer spread calculated from Z coupon IRS curve of quotation currency
****Is 0.5% coded as 0.5 or 0.005?</xs:documentation>
<xs:documentation xml:lang="de">A130 - Emittent spread berechnet von Z coupon IRS curve von quotation Währung
****Is 0.5% coded als 0.5 oder 0.005?</xs:documentation>
<xs:documentation xml:lang="fr">A130 - Émetteur spread calculé de Z coupon IRS curve de quotation devise
****Is 0.5% coded comme 0.5 ou 0.005?</xs:documentation>
<xs:documentation xml:lang="nl">A130 - Emittent spread berekend van Z coupon IRS curve van quotation valuta
****Is 0.5% coded als 0.5 van 0.005?</xs:documentation>
</xs:annotation>
</xs:element>
</xs:sequence>
</xs:complexType>
</xs:element>
</xs:sequence>
</xs:complexType>
</xs:element>