Portfolio

/FundsXML4/RegulatoryReportings/IndirectReporting/TripartiteTemplateSolvencyII_V7/Portfolio

Diagram

Portfolio FundOrShareClassIdentifiers FundOrShareClassIdentifiersType [0..1] DataSupplier DataSupplierType [0..1] TPTVersion xs:string [1] PortfolioID SIISecurityCodificationType_V7 [1] PortfolioName xs:string [1] PortfolioCurrency ISOCurrencyCodeType [1] TotalNetAssets xs:decimal [1] ValuationDate xs:date [1] ReportingDate xs:date [1] ShareClass (anonymous) [0..1] CashPercentage xs:decimal [0..1] PortfolioModifiedDuration xs:decimal [0..1] CompleteSCRDelivery YesNoL1Type [1] QRTPortfolioInformation (anonymous) [0..1] Positions (anonymous) [1]

Documentation

EN

The Portfolio is analysed from investor's point of view. If Portfolio is a Fund with share classes, there is one Portfolio for each share class. For hedged shares, hedging instruments are included in the prortfolio.

DE

The Portfolio ist analysed von Anleger's point von view. If Portfolio ist ein Fonds mit Anteil classes, there ist one Portfolio für jede Anteilsklasse. For hedged shares, hedging instruments sind included in prortfolio.

FR

The Portefeuille est analysed de investisseur's point de view. If Portefeuille est un Fonds avec action classes, there est one Portefeuille pour chaque classe d'actions. For hedged shares, hedging instruments sont included dans prortfolio.

NL

The Portefeuille is analysed van belegger's point van view. If Portefeuille is een Fonds met aandeel classes, there is one Portefeuille voor elke aandelenklasse. For hedged shares, hedging instruments zijn included in prortfolio.

Properties

Type
SolvencyIIPortfolioType_V7
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
4

Child Elements & Attributes

Child elements and attributes of this element
Name (XPath) Type Documentation Sample Data
FundOrShareClassIdentifiersType

Fund or share class identifiers for easy connection to other fund or share class data

Fonds oder Anteilsklasse identifiers für easy connection zu Sonstig Fonds oder Anteilsklasse Daten

Fonds ou classe d'actions identifiers pour easy connection à autre fonds ou classe d'actions données

Fonds van aandelenklasse identifiers voor easy connection naar overig fonds van aandelenklasse gegevens

DataSupplierType

Definition of data source (investment company, vendor, ...)

Definition von Daten source (Anlage company, vendor, ...)

Definition de données source (investissement company, vendor, ...)

Definition van gegevens source (belegging company, vendor, ...)

xs:string

A 1000

A 1000

A 1000

A 1000

V7.0
SIISecurityCodificationType_V7

A02 01 - Use ISIN, CUSIP, BLOOMBERG etc. or internal code. See CodificationSystem.
ISIN Preferred when available.

A02 01 - Verwenden Sie ISIN, CUSIP, BLOOMBERG etc. oder internen Code. Siehe CodificationSystem.
ISIN bevorzugt, wenn verfügbar.

A02 01 - Utilisez ISIN, CUSIP, BLOOMBERG etc. ou interne code. Voir CodificationSystem.
ISIN Préféré si disponible.

A02 01 - Gebruik ISIN, CUSIP, BLOOMBERG etc. van intern code. Zie CodificationSystem.
ISIN Voorkeur indien beschikbaar.

xs:string

A03 - Portfolio or Fund or Share class name

A03 - Portfolio- oder Fonds- oder Anteilsklassenname

A03 - Portefeuille ou Fonds ou Classe d'actions nom

A03 - Portefeuille van Fonds van Aandelenklasse naam

ExampleText
ISOCurrencyCodeType

A04 - Portfolio currency used for valuation of assets.
If Portfolio is reported at ShareClass level, PortfolioCurrency is the ShareClass currency. Code ISO 4217 CNH : 2 Chinese yuan (when traded offshore) - Hong Kong
CNT: Chinese yuan (when traded offshore) -Taiwan
GGP – Guernsey pound - Guernsey
IMP: Isle of Man pound also Manx pound -Isle of Man
JEP: Jersey pound - Jersey
KID: Kiribati dollar -Kiribati
NIS – New Israeli Shekel - Israel
PRB – Transnistrian ruble - Transnistria (The code conflicts with ISO-4217 because PR stands for Puerto Rico. X should have been used for the first letter.)
TVD – Tuvalu dollar- Tuvalu

A04 - Portfoliowährung für die Bewertung von Vermögenswerten.
Wenn das Portfolio auf Anteilsklassenebene gemeldet wird, ist die Portfoliowährung die Währung der Anteilsklasse. Code ISO 4217.

A04 - Portefeuille devise used pour évaluation de assets.
If Portefeuille est reported at ShareClass level, PortfolioCurrency est ShareClass devise. Code ISO 4217 CNH : 2 Chinese yuan (quand traded offshore) - Hong Kong
CNT: Chinese yuan (quand traded offshore) -Taiwan
GGP – Guernsey pound - Guernsey
IMP: Isle de Man pound also Manx pound -Isle de Man
JEP: Jersey pound - Jersey
KID: Kiribati dollar -Kiribati
NIS – New Israeli Shekel - Israel
PRB – Transnistrian ruble - Transnistria (The code conflicts avec ISO-4217 because PR stands pour Puerto Rico. X should ont been used pour first letter.)
TVD – Tuvalu dollar- Tuvalu

A04 - Portefeuille valuta used voor waardering van assets.
If Portefeuille is reported at ShareClass level, PortfolioCurrency is ShareClass valuta. Code ISO 4217 CNH : 2 Chinese yuan (wanneer traded offshore) - Hong Kong
CNT: Chinese yuan (wanneer traded offshore) -Taiwan
GGP – Guernsey pound - Guernsey
IMP: Isle van Man pound also Manx pound -Isle van Man
JEP: Jersey pound - Jersey
KID: Kiribati dollar -Kiribati
NIS – New Israeli Shekel - Israel
PRB – Transnistrian ruble - Transnistria (The code conflicts met ISO-4217 because PR stands voor Puerto Rico. X should hebben been used voor first letter.)
TVD – Tuvalu dollar- Tuvalu

ECG
xs:decimal

A05 - Total net assets of the Portfolio or the Share class in PortfolioCurrency

A05 - Gesamtnettovermögen des Portfolios oder der Anteilsklasse in Portfoliowährung

A05 - Total net assets de Portefeuille ou Classe d'actions dans PortfolioCurrency

A05 - Totaal netto assets van Portefeuille van Aandelenklasse in PortfolioCurrency

635.18
xs:date

A06 - Date at which the portfolio inventory is valid.
Used for NAV date.

A06 - Datum, an dem das Portfolioinventar gültig ist.
Verwendet für NAV-Datum.

A06 - Date at qui portefeuille inventory est valid.
Used pour NAV date.

A06 - Datum at welke portefeuille inventory is valid.
Used voor NAV datum.

2021-06-20
xs:date

A07 - Date to which data refers ( end of month for example)

A07 - Datum zu welche Daten refers ( end von month für example)

A07 - Date à qui données refers ( end de month pour example)

A07 - Datum naar welke gegevens refers ( end van month voor example)

2025-03-12
(anonymous)

A 08, A 08b

A 08, A 08b

A 08, A 08b

A 08, A 08b

xs:decimal

A09 - Liquidities of the Portfolio converted into Portfolio currency.
In percentage of TotalNetAssets.

A09 - Liquidität des Portfolios umgerechnet in Portfoliowährung.
In Prozent des Gesamtnettovermögens.

A09 - Liquidities de Portefeuille converted into Portefeuille devise.
In pourcentage de TotalNetAssets.

A09 - Liquidities van Portefeuille converted into Portefeuille valuta.
In percentage van TotalNetAssets.

567.38
xs:decimal

A10 -Weighted average modified duration of the Marked to Market instruments in portfolio. This datapoint has the same value for all instruments in the portfolio of the funds. Ideally it should be based on expected modified duration for relevant instruments.

A10 - Gewichtete durchschnittliche modifizierte Duration der zum Marktwert bewerteten Instrumente im Portfolio. Dieser Datenpunkt hat denselben Wert für alle Instrumente im Portfolio des Fonds.

A10 -Weighted average modified duration de Marked à Marché instruments dans portefeuille. This datapoint un same valeur pour tous instruments dans portefeuille de funds. Ideally it should be based on expected modified duration pour relevant instruments.

A10 -Weighted average modified duration van Marked naar Markt instruments in portefeuille. This datapoint heeft same waarde voor alle instruments in portefeuille van funds. Ideally it should be based on expected modified duration voor relevant instruments.

762.62
YesNoL1Type

A11 - "Y" if all SCR contributions are given for each Portfolio line.
"N" otherwise.

A11 - "Y" wenn alle SCR contributions sind given für jede Portfolio line.
"N" otherwise.

A11 - "Y" si tous SCR contributions sont given pour chaque Portefeuille line.
"N" otherwise.

A11 - "Y" als alle SCR contributions zijn given voor elke Portefeuille line.
"N" otherwise.

Y
(anonymous)

Additional Portfolio information for QRTs

Zusätzlich Portfolio Information für QRTs

Supplémentaire Portefeuille information pour QRTs

Aanvullend Portefeuille informatie voor QRTs

(anonymous)

Inventory of the Portfolio

Inventar des Portfolios

Inventory de Portefeuille

Inventory van Portefeuille

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"
            maxOccurs="unbounded"
            name="Portfolio"
            type="SolvencyIIPortfolioType_V7">
   <xs:annotation>
      <xs:documentation xml:lang="en">The Portfolio is analysed from investor's point of view. If Portfolio is a Fund with share classes, there is one Portfolio for each share class. For hedged shares, hedging instruments are included in the prortfolio.
</xs:documentation>
      <xs:documentation xml:lang="de">The Portfolio ist analysed von Anleger's point von view. If Portfolio ist ein Fonds mit Anteil classes, there ist one Portfolio für jede Anteilsklasse. For hedged shares, hedging instruments sind included in prortfolio.</xs:documentation>
      <xs:documentation xml:lang="fr">The Portefeuille est analysed de investisseur's point de view. If Portefeuille est un Fonds avec action classes, there est one Portefeuille pour chaque classe d'actions. For hedged shares, hedging instruments sont included dans prortfolio.</xs:documentation>
      <xs:documentation xml:lang="nl">The Portefeuille is analysed van belegger's point van view. If Portefeuille is een Fonds met aandeel classes, there is one Portefeuille voor elke aandelenklasse. For hedged shares, hedging instruments zijn included in prortfolio.</xs:documentation>
   </xs:annotation>
</xs:element>

Referenced Type Definition (SolvencyIIPortfolioType_V7)

<xs:complexType 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"
                name="SolvencyIIPortfolioType_V7">
   <xs:annotation>
      <xs:documentation xml:lang="en">XML adaptation of "Tripartite Template" V.7.</xs:documentation>
      <xs:documentation xml:lang="de">XML adaptation von "Tripartite Template" V.7.</xs:documentation>
      <xs:documentation xml:lang="fr">XML adaptation de "Tripartite Template" V.7.</xs:documentation>
      <xs:documentation xml:lang="nl">XML adaptation van "Tripartite Template" V.7.</xs:documentation>
   </xs:annotation>
   <xs:sequence>
      <xs:element minOccurs="0"
                  name="FundOrShareClassIdentifiers"
                  type="FundOrShareClassIdentifiersType">
         <xs:annotation>
            <xs:documentation xml:lang="en">Fund or share class identifiers for easy connection to other fund or share class data</xs:documentation>
            <xs:documentation xml:lang="de">Fonds oder Anteilsklasse identifiers für easy connection zu Sonstig Fonds oder Anteilsklasse Daten</xs:documentation>
            <xs:documentation xml:lang="fr">Fonds ou classe d'actions identifiers pour easy connection à autre fonds ou classe d'actions données</xs:documentation>
            <xs:documentation xml:lang="nl">Fonds van aandelenklasse identifiers voor easy connection naar overig fonds van aandelenklasse gegevens</xs:documentation>
         </xs:annotation>
      </xs:element>
      <xs:element minOccurs="0" name="DataSupplier" type="DataSupplierType">
         <xs:annotation>
            <xs:documentation xml:lang="en">Definition of data source (investment company, vendor, ...)</xs:documentation>
            <xs:documentation xml:lang="de">Definition von Daten source (Anlage company, vendor, ...)</xs:documentation>
            <xs:documentation xml:lang="fr">Definition de données source (investissement company, vendor, ...)</xs:documentation>
            <xs:documentation xml:lang="nl">Definition van gegevens source (belegging company, vendor, ...)</xs:documentation>
         </xs:annotation>
      </xs:element>
      <xs:element name="TPTVersion">
         <xs:annotation>
            <xs:documentation xml:lang="en">A 1000
</xs:documentation>
            <xs:documentation xml:lang="de">A 1000</xs:documentation>
            <xs:documentation xml:lang="fr">A 1000</xs:documentation>
            <xs:documentation xml:lang="nl">A 1000</xs:documentation>
         </xs:annotation>
         <xs:simpleType>
            <xs:restriction base="xs:string">
               <xs:enumeration value="V7.0"/>
            </xs:restriction>
         </xs:simpleType>
      </xs:element>
      <xs:element name="PortfolioID" type="SIISecurityCodificationType_V7">
         <xs:annotation>
            <xs:documentation xml:lang="en">A02 01 - Use ISIN, CUSIP, BLOOMBERG etc.  or internal code. See CodificationSystem.
ISIN Preferred when available.</xs:documentation>
            <xs:documentation xml:lang="de">A02 01 - Verwenden Sie ISIN, CUSIP, BLOOMBERG etc. oder internen Code. Siehe CodificationSystem.
ISIN bevorzugt, wenn verfügbar.</xs:documentation>
            <xs:documentation xml:lang="fr">A02 01 - Utilisez ISIN, CUSIP, BLOOMBERG etc. ou interne code. Voir CodificationSystem.
ISIN Préféré si disponible.</xs:documentation>
            <xs:documentation xml:lang="nl">A02 01 - Gebruik ISIN, CUSIP, BLOOMBERG etc. van intern code. Zie CodificationSystem.
ISIN Voorkeur indien beschikbaar.</xs:documentation>
         </xs:annotation>
      </xs:element>
      <xs:element name="PortfolioName" type="xs:string">
         <xs:annotation>
            <xs:documentation xml:lang="en">A03 - Portfolio or Fund or Share class name</xs:documentation>
            <xs:documentation xml:lang="de">A03 - Portfolio- oder Fonds- oder Anteilsklassenname</xs:documentation>
            <xs:documentation xml:lang="fr">A03 - Portefeuille ou Fonds ou Classe d'actions nom</xs:documentation>
            <xs:documentation xml:lang="nl">A03 - Portefeuille van Fonds van Aandelenklasse naam</xs:documentation>
         </xs:annotation>
      </xs:element>
      <xs:element name="PortfolioCurrency" type="ISOCurrencyCodeType">
         <xs:annotation>
            <xs:documentation xml:lang="en">A04 - Portfolio currency used for valuation of assets.
If Portfolio is reported at ShareClass level, PortfolioCurrency is the ShareClass currency.                                        Code ISO 4217                                      CNH : 2 Chinese yuan (when traded offshore) - Hong Kong
CNT: Chinese yuan (when traded offshore) -Taiwan
GGP – Guernsey pound - Guernsey
IMP: Isle of Man pound also Manx pound -Isle of Man
JEP: Jersey pound - Jersey
KID: Kiribati dollar -Kiribati
NIS – New Israeli Shekel - Israel 
PRB – Transnistrian ruble - Transnistria (The code conflicts with ISO-4217 because PR stands for Puerto Rico. X should have been used for the first letter.)
TVD – Tuvalu dollar- Tuvalu</xs:documentation>
            <xs:documentation xml:lang="de">A04 - Portfoliowährung für die Bewertung von Vermögenswerten.
Wenn das Portfolio auf Anteilsklassenebene gemeldet wird, ist die Portfoliowährung die Währung der Anteilsklasse. Code ISO 4217.</xs:documentation>
            <xs:documentation xml:lang="fr">A04 - Portefeuille devise used pour évaluation de assets.
If Portefeuille est reported at ShareClass level, PortfolioCurrency est ShareClass devise. Code ISO 4217 CNH : 2 Chinese yuan (quand traded offshore) - Hong Kong
CNT: Chinese yuan (quand traded offshore) -Taiwan
GGP – Guernsey pound - Guernsey
IMP: Isle de Man pound also Manx pound -Isle de Man
JEP: Jersey pound - Jersey
KID: Kiribati dollar -Kiribati
NIS – New Israeli Shekel - Israel 
PRB – Transnistrian ruble - Transnistria (The code conflicts avec ISO-4217 because PR stands pour Puerto Rico. X should ont been used pour first letter.)
TVD – Tuvalu dollar- Tuvalu</xs:documentation>
            <xs:documentation xml:lang="nl">A04 - Portefeuille valuta used voor waardering van assets.
If Portefeuille is reported at ShareClass level, PortfolioCurrency is ShareClass valuta. Code ISO 4217 CNH : 2 Chinese yuan (wanneer traded offshore) - Hong Kong
CNT: Chinese yuan (wanneer traded offshore) -Taiwan
GGP – Guernsey pound - Guernsey
IMP: Isle van Man pound also Manx pound -Isle van Man
JEP: Jersey pound - Jersey
KID: Kiribati dollar -Kiribati
NIS – New Israeli Shekel - Israel 
PRB – Transnistrian ruble - Transnistria (The code conflicts met ISO-4217 because PR stands voor Puerto Rico. X should hebben been used voor first letter.)
TVD – Tuvalu dollar- Tuvalu</xs:documentation>
         </xs:annotation>
      </xs:element>
      <xs:element name="TotalNetAssets" type="xs:decimal">
         <xs:annotation>
            <xs:documentation xml:lang="en">A05 - Total net assets of the Portfolio or the Share class in PortfolioCurrency</xs:documentation>
            <xs:documentation xml:lang="de">A05 - Gesamtnettovermögen des Portfolios oder der Anteilsklasse in Portfoliowährung</xs:documentation>
            <xs:documentation xml:lang="fr">A05 - Total net assets de Portefeuille ou Classe d'actions dans PortfolioCurrency</xs:documentation>
            <xs:documentation xml:lang="nl">A05 - Totaal netto assets van Portefeuille van Aandelenklasse in PortfolioCurrency</xs:documentation>
         </xs:annotation>
      </xs:element>
      <xs:element name="ValuationDate" type="xs:date">
         <xs:annotation>
            <xs:documentation xml:lang="en">A06 - Date at which the portfolio inventory is valid.
Used for NAV date.</xs:documentation>
            <xs:documentation xml:lang="de">A06 - Datum, an dem das Portfolioinventar gültig ist.
Verwendet für NAV-Datum.</xs:documentation>
            <xs:documentation xml:lang="fr">A06 - Date at qui portefeuille inventory est valid.
Used pour NAV date.</xs:documentation>
            <xs:documentation xml:lang="nl">A06 - Datum at welke portefeuille inventory is valid.
Used voor NAV datum.</xs:documentation>
         </xs:annotation>
      </xs:element>
      <xs:element name="ReportingDate" type="xs:date">
         <xs:annotation>
            <xs:documentation xml:lang="en">A07 - Date to which data refers ( end of month for example)</xs:documentation>
            <xs:documentation xml:lang="de">A07 - Datum zu welche Daten refers ( end von month für example)</xs:documentation>
            <xs:documentation xml:lang="fr">A07 - Date à qui données refers ( end de month pour example)</xs:documentation>
            <xs:documentation xml:lang="nl">A07 - Datum naar welke gegevens refers ( end van month voor example)</xs:documentation>
         </xs:annotation>
      </xs:element>
      <xs:element minOccurs="0" name="ShareClass">
         <xs:annotation>
            <xs:documentation xml:lang="en">A 08, A 08b</xs:documentation>
            <xs:documentation xml:lang="de">A 08, A 08b</xs:documentation>
            <xs:documentation xml:lang="fr">A 08, A 08b</xs:documentation>
            <xs:documentation xml:lang="nl">A 08, A 08b</xs:documentation>
         </xs:annotation>
         <xs:complexType>
            <xs:sequence>
               <xs:element name="SharePrice" type="xs:decimal">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">A08 - The valuation should be expressed
in Portfolio currency </xs:documentation>
                     <xs:documentation xml:lang="de">A08 - The Bewertung should be expressed
in Portfolio Währung</xs:documentation>
                     <xs:documentation xml:lang="fr">A08 - The évaluation should be expressed
dans Portefeuille devise</xs:documentation>
                     <xs:documentation xml:lang="nl">A08 - The waardering should be expressed
in Portefeuille valuta</xs:documentation>
                  </xs:annotation>
               </xs:element>
               <xs:element minOccurs="0" name="TotalNumberOfShares" type="xs:decimal">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">A08b - Total number of shares of the Share Class. 
To enable apportionment of the investment holding by the insurance entity in their proportion ownership.</xs:documentation>
                     <xs:documentation xml:lang="de">A08b - Gesamt Nummer von shares von Anteil Class. 
To enable apportionment von Anlage Bestand durch insurance entity in their proportion ownership.</xs:documentation>
                     <xs:documentation xml:lang="fr">A08b - Total numéro de shares de Action Class. 
To enable apportionment de investissement détention par insurance entity dans their proportion ownership.</xs:documentation>
                     <xs:documentation xml:lang="nl">A08b - Totaal nummer van shares van Aandeel Class. 
To enable apportionment van belegging bezit door insurance entity in their proportion ownership.</xs:documentation>
                  </xs:annotation>
               </xs:element>
            </xs:sequence>
         </xs:complexType>
      </xs:element>
      <xs:element minOccurs="0" name="CashPercentage" type="xs:decimal">
         <xs:annotation>
            <xs:documentation xml:lang="en">A09 - Liquidities of the Portfolio converted into Portfolio currency.
In percentage of TotalNetAssets.</xs:documentation>
            <xs:documentation xml:lang="de">A09 - Liquidität des Portfolios umgerechnet in Portfoliowährung.
In Prozent des Gesamtnettovermögens.</xs:documentation>
            <xs:documentation xml:lang="fr">A09 - Liquidities de Portefeuille converted into Portefeuille devise.
In pourcentage de TotalNetAssets.</xs:documentation>
            <xs:documentation xml:lang="nl">A09 - Liquidities van Portefeuille converted into Portefeuille valuta.
In percentage van TotalNetAssets.</xs:documentation>
         </xs:annotation>
      </xs:element>
      <xs:element minOccurs="0" name="PortfolioModifiedDuration" type="xs:decimal">
         <xs:annotation>
            <xs:documentation xml:lang="en">A10 -Weighted average modified duration of the Marked to Market instruments in portfolio. This datapoint has the same value for all instruments in the portfolio of the funds. Ideally it should be based on expected modified duration for relevant instruments. </xs:documentation>
            <xs:documentation xml:lang="de">A10 - Gewichtete durchschnittliche modifizierte Duration der zum Marktwert bewerteten Instrumente im Portfolio. Dieser Datenpunkt hat denselben Wert für alle Instrumente im Portfolio des Fonds.</xs:documentation>
            <xs:documentation xml:lang="fr">A10 -Weighted average modified duration de Marked à Marché instruments dans portefeuille. This datapoint un same valeur pour tous instruments dans portefeuille de funds. Ideally it should be based on expected modified duration pour relevant instruments.</xs:documentation>
            <xs:documentation xml:lang="nl">A10 -Weighted average modified duration van Marked naar Markt instruments in portefeuille. This datapoint heeft same waarde voor alle instruments in portefeuille van funds. Ideally it should be based on expected modified duration voor relevant instruments.</xs:documentation>
         </xs:annotation>
      </xs:element>
      <xs:element name="CompleteSCRDelivery" type="YesNoL1Type">
         <xs:annotation>
            <xs:documentation xml:lang="en">A11 - "Y" if all SCR contributions are given for each Portfolio line.
 "N" otherwise.</xs:documentation>
            <xs:documentation xml:lang="de">A11 - "Y" wenn alle SCR contributions sind given für jede Portfolio line.
 "N" otherwise.</xs:documentation>
            <xs:documentation xml:lang="fr">A11 - "Y" si tous SCR contributions sont given pour chaque Portefeuille line.
 "N" otherwise.</xs:documentation>
            <xs:documentation xml:lang="nl">A11 - "Y" als alle SCR contributions zijn given voor elke Portefeuille line.
 "N" otherwise.</xs:documentation>
         </xs:annotation>
      </xs:element>
      <xs:element minOccurs="0" name="QRTPortfolioInformation">
         <xs:annotation>
            <xs:documentation xml:lang="en">Additional Portfolio information for QRTs</xs:documentation>
            <xs:documentation xml:lang="de">Zusätzlich Portfolio Information für QRTs</xs:documentation>
            <xs:documentation xml:lang="fr">Supplémentaire Portefeuille information pour QRTs</xs:documentation>
            <xs:documentation xml:lang="nl">Aanvullend Portefeuille informatie voor QRTs</xs:documentation>
         </xs:annotation>
         <xs:complexType>
            <xs:sequence>
               <xs:element name="FundIssuer">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">A117-116-115 - Name and Code of Fund Issuer</xs:documentation>
                     <xs:documentation xml:lang="de">A117-116-115 - Name und Code von Fonds Emittent</xs:documentation>
                     <xs:documentation xml:lang="fr">A117-116-115 - Nom et Code de Fonds Émetteur</xs:documentation>
                     <xs:documentation xml:lang="nl">A117-116-115 - Naam en Code van Fonds Emittent</xs:documentation>
                  </xs:annotation>
                  <xs:complexType>
                     <xs:complexContent>
                        <xs:extension base="SIIIssuerType_V7">
                           <xs:sequence>
                              <xs:element name="EconomicSector" type="NACECodeType">
                                 <xs:annotation>
                                    <xs:documentation xml:lang="en">A118 - NACE code of Issuer of Fund  or Share Class "S.06.02 (old: Assets D1)
Nace codification required by EIOPA is different from the one required by European Regulation (V2.1) starting january 2025. Therefore TPT providers should  indicates the precedent version (NACE code V2),  untill new ITS are published. "
</xs:documentation>
                                    <xs:documentation xml:lang="de">A118 - NACE Code von Emittent von Fonds oder Anteil Class "S.06.02 (old: Assets D1)
Nace codification erforderlich durch EIOPA ist different von one erforderlich durch European Regulation (V2.1) starting january 2025. Therefore TPT providers should indicates precedent Version (NACE Code V2), untill new ITS sind published. "</xs:documentation>
                                    <xs:documentation xml:lang="fr">A118 - NACE code de Émetteur de Fonds ou Action Class "S.06.02 (old: Assets D1)
Nace codification requis par EIOPA est different de one requis par European Regulation (V2.1) starting january 2025. Therefore TPT providers should indicates precedent version (NACE code V2), untill new ITS sont published. "</xs:documentation>
                                    <xs:documentation xml:lang="nl">A118 - NACE code van Emittent van Fonds van Aandeel Class "S.06.02 (old: Assets D1)
Nace codification vereist door EIOPA is different van one vereist door European Regulation (V2.1) starting january 2025. Therefore TPT providers should indicates precedent versie (NACE code V2), untill new ITS zijn published. "</xs:documentation>
                                 </xs:annotation>
                              </xs:element>
                              <xs:element name="Country" type="ISOCountryCodeType">
                                 <xs:annotation>
                                    <xs:documentation xml:lang="en">A122 Country ISO of Issuer of Fund  or Share Class</xs:documentation>
                                    <xs:documentation xml:lang="de">A122 Land ISO von Emittent von Fonds oder Anteil Class</xs:documentation>
                                    <xs:documentation xml:lang="fr">A122 Pays ISO de Émetteur de Fonds ou Action Class</xs:documentation>
                                    <xs:documentation xml:lang="nl">A122 Land ISO van Emittent van Fonds van Aandeel Class</xs:documentation>
                                 </xs:annotation>
                              </xs:element>
                           </xs:sequence>
                        </xs:extension>
                     </xs:complexContent>
                  </xs:complexType>
               </xs:element>
               <xs:element name="FundIssuerGroup" type="SIIIssuerType_V7">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">A121-120-119 - Name, LEI or Pre LEI of the Group the Fund issuer belongs to.</xs:documentation>
                     <xs:documentation xml:lang="de">A121-120-119 - Name, LEI oder Pre LEI von Gruppe Fonds Emittent belongs zu.</xs:documentation>
                     <xs:documentation xml:lang="fr">A121-120-119 - Nom, LEI ou Pre LEI de Groupe Fonds émetteur belongs à.</xs:documentation>
                     <xs:documentation xml:lang="nl">A121-120-119 - Naam, LEI van Pre LEI van Groep Fonds emittent belongs naar.</xs:documentation>
                  </xs:annotation>
               </xs:element>
               <xs:element name="FundCIC" type="CICCodeType">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">A123</xs:documentation>
                     <xs:documentation xml:lang="de">A123</xs:documentation>
                     <xs:documentation xml:lang="fr">A123</xs:documentation>
                     <xs:documentation xml:lang="nl">A123</xs:documentation>
                  </xs:annotation>
               </xs:element>
               <xs:element name="FundCustodianCountry" type="ISOCountryCodeType">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">A123a</xs:documentation>
                     <xs:documentation xml:lang="de">A123a</xs:documentation>
                     <xs:documentation xml:lang="fr">A123a</xs:documentation>
                     <xs:documentation xml:lang="nl">A123a</xs:documentation>
                  </xs:annotation>
               </xs:element>
               <xs:element minOccurs="0" name="FundCustodianName" type="xs:string">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">A133</xs:documentation>
                     <xs:documentation xml:lang="de">A133</xs:documentation>
                     <xs:documentation xml:lang="fr">A133</xs:documentation>
                     <xs:documentation xml:lang="nl">A133</xs:documentation>
                  </xs:annotation>
               </xs:element>
               <xs:element minOccurs="0" name="CustodianIdentificationCode" type="LEICodeType">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">A140 - Identification of the custodian code using the LEI if available. 
If none is available this item shall not be reported
</xs:documentation>
                     <xs:documentation xml:lang="de">A140 - Identification von Verwahrstelle Code using LEI wenn verfügbar. 
If keine ist verfügbar dies item shall nicht be reported</xs:documentation>
                     <xs:documentation xml:lang="fr">A140 - Identification de dépositaire code using LEI si disponible. 
If aucun est disponible ce item shall pas be reported</xs:documentation>
                     <xs:documentation xml:lang="nl">A140 - Identification van bewaarder code using LEI als beschikbaar. 
If geen is beschikbaar dit item shall niet be reported</xs:documentation>
                  </xs:annotation>
               </xs:element>
               <xs:element minOccurs="0" name="TypeOfCustodianIdentificationCode">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">A141 - C0220   1-LEI,  9-None or internal
 Mandatory if dp 140_custodian_identification_code is filled</xs:documentation>
                     <xs:documentation xml:lang="de">A141 - C0220 1-LEI, 9-None oder intern
 Pflicht wenn dp 140_custodian_identification_code ist filled</xs:documentation>
                     <xs:documentation xml:lang="fr">A141 - C0220 1-LEI, 9-None ou interne
 Obligatoire si dp 140_custodian_identification_code est filled</xs:documentation>
                     <xs:documentation xml:lang="nl">A141 - C0220 1-LEI, 9-None van intern
 Verplicht als dp 140_custodian_identification_code is filled</xs:documentation>
                  </xs:annotation>
                  <xs:simpleType>
                     <xs:restriction base="xs:int">
                        <xs:enumeration value="1"/>
                        <xs:enumeration value="9"/>
                     </xs:restriction>
                  </xs:simpleType>
               </xs:element>
               <xs:element minOccurs="0" name="Duration" type="xs:decimal">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">A124 - For funds or portfolios mainly invested in debt instruments (&gt;50%) - Fund modified Duration (Residual modified duration) "S.06.02 (old: Assets D1) - Residual modified duration
same as datapoint 10 for portfolios mainly invested in debt instruments."

</xs:documentation>
                     <xs:documentation xml:lang="de">A124 - For funds oder portfolios mainly invested in debt instruments (&gt;50%) - Fonds modified Duration (Residual modified duration) "S.06.02 (old: Assets D1) - Residual modified duration
same als datapoint 10 für portfolios mainly invested in debt instruments."</xs:documentation>
                     <xs:documentation xml:lang="fr">A124 - For funds ou portfolios mainly invested dans debt instruments (&gt;50%) - Fonds modified Duration (Residual modified duration) "S.06.02 (old: Assets D1) - Residual modified duration
same comme datapoint 10 pour portfolios mainly invested dans debt instruments."</xs:documentation>
                     <xs:documentation xml:lang="nl">A124 - For funds van portfolios mainly invested in debt instruments (&gt;50%) - Fonds modified Duration (Residual modified duration) "S.06.02 (old: Assets D1) - Residual modified duration
same als datapoint 10 voor portfolios mainly invested in debt instruments."</xs:documentation>
                  </xs:annotation>
               </xs:element>
            </xs:sequence>
         </xs:complexType>
      </xs:element>
      <xs:element name="Positions">
         <xs:annotation>
            <xs:documentation xml:lang="en">Inventory of the Portfolio</xs:documentation>
            <xs:documentation xml:lang="de">Inventar des Portfolios</xs:documentation>
            <xs:documentation xml:lang="fr">Inventory de Portefeuille</xs:documentation>
            <xs:documentation xml:lang="nl">Inventory van Portefeuille</xs:documentation>
         </xs:annotation>
         <xs:complexType>
            <xs:sequence>
               <xs:element maxOccurs="unbounded" name="Position" type="SIIPositionType_V7">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">Detail of each Position.</xs:documentation>
                     <xs:documentation xml:lang="de">Details zu jeder Position.</xs:documentation>
                     <xs:documentation xml:lang="fr">Detail de chaque Position.</xs:documentation>
                     <xs:documentation xml:lang="nl">Detail van elke Positie.</xs:documentation>
                  </xs:annotation>
               </xs:element>
            </xs:sequence>
         </xs:complexType>
      </xs:element>
   </xs:sequence>
</xs:complexType>