Redemption
/FundsXML4/RegulatoryReportings/IndirectReporting/TripartiteTemplateSolvencyII_V7/Portfolio/Positions/Position/InterestRateInstrumentCharacteristics/Redemption
Diagram
Documentation
A39 40 41 - Redemption details
A39 40 41 - Rücknahmedetails
A39 40 41 - Rachat details
A39 40 41 - Inkoop details
Properties
- Type
- RedemptionType_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
- 8
Child Elements & Attributes
| Name (XPath) | Type | Documentation | Sample Data |
|---|---|---|---|
| xs:date |
Final contractual maturity date for fixed income instrument or derivatives. Final contractual maturity Datum für fixed income instrument oder derivatives. Final contractual maturity date pour fixed income instrument ou derivatives. Final contractual maturity datum voor fixed income instrument van derivatives. |
2021-08-12 | |
| xs:date |
Expected redemption date after considering an expected prepayment / extension of the contractual terms based on the options in the instrument Expected Rücknahme Datum after considering ein expected prepayment / Erweiterung von contractual terms based on options in instrument Expected rachat date after considering un expected prepayment / extension de contractual terms based on options dans instrument Expected inkoop datum after considering een expected prepayment / uitbreiding van contractual terms based on options in instrument |
2023-09-03 | |
| xs:string |
Type of Redemption schedule: Typ von Rücknahme schedule: Type de Rachat schedule: Type van Inkoop schedule: |
Bullet | |
| xs:decimal |
If known, redemption rate in percentage If known, redemption rate in percentage If known, rachat taux dans pourcentage If known, inkoop tarief in percentage |
215.75 | |
| xs:int |
A146 - 0 - No PIK A146 - 0 - No PIK A146 - 0 - No PIK A146 - 0 - No PIK |
1 |
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"
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>
Referenced Type Definition
(RedemptionType_V7)
Referenced Type Definition (RedemptionType_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="RedemptionType_V7">
<xs:annotation>
<xs:documentation xml:lang="en">Redemption information of a bond or other interest rate instrument</xs:documentation>
<xs:documentation xml:lang="de">Rücknahme Information von ein Anleihe oder Sonstig Zins Satz instrument</xs:documentation>
<xs:documentation xml:lang="fr">Rachat information de un obligation ou autre intérêt taux instrument</xs:documentation>
<xs:documentation xml:lang="nl">Inkoop informatie van een obligatie van overig rente tarief instrument</xs:documentation>
</xs:annotation>
<xs:sequence>
<xs:element minOccurs="0" name="MaturityDate" type="xs:date">
<xs:annotation>
<xs:documentation xml:lang="en">Final contractual maturity date for fixed income instrument or derivatives.
Potential exercise of prepayment / extension options should not be considered.
9999-12-31 for perpetual bonds.
Contractual expiry date for options</xs:documentation>
<xs:documentation xml:lang="de">Final contractual maturity Datum für fixed income instrument oder derivatives.
Potential exercise von prepayment / Erweiterung options should nicht be considered.
9999-12-31 für perpetual bonds.
Contractual expiry Datum für options</xs:documentation>
<xs:documentation xml:lang="fr">Final contractual maturity date pour fixed income instrument ou derivatives.
Potential exercise de prepayment / extension options should pas be considered.
9999-12-31 pour perpetual bonds.
Contractual expiry date pour options</xs:documentation>
<xs:documentation xml:lang="nl">Final contractual maturity datum voor fixed income instrument van derivatives.
Potential exercise van prepayment / uitbreiding options should niet be considered.
9999-12-31 voor perpetual bonds.
Contractual expiry datum voor options</xs:documentation>
</xs:annotation>
</xs:element>
<xs:element minOccurs="0" name="MaturityDateExpected" type="xs:date">
<xs:annotation>
<xs:documentation xml:lang="en">Expected redemption date after considering an expected prepayment / extension of the contractual terms based on the options in the instrument
</xs:documentation>
<xs:documentation xml:lang="de">Expected Rücknahme Datum after considering ein expected prepayment / Erweiterung von contractual terms based on options in instrument</xs:documentation>
<xs:documentation xml:lang="fr">Expected rachat date after considering un expected prepayment / extension de contractual terms based on options dans instrument</xs:documentation>
<xs:documentation xml:lang="nl">Expected inkoop datum after considering een expected prepayment / uitbreiding van contractual terms based on options in instrument</xs:documentation>
</xs:annotation>
</xs:element>
<xs:element minOccurs="0" name="Type">
<xs:annotation>
<xs:documentation xml:lang="en">Type of Redemption schedule:
"Bullet", "Sinkable", "defaulted" empty if non applicable,
Omitted if not applicable.</xs:documentation>
<xs:documentation xml:lang="de">Typ von Rücknahme schedule:
"Bullet", "Sinkable", "defaulted" empty wenn non applicable,
Omitted wenn nicht applicable.</xs:documentation>
<xs:documentation xml:lang="fr">Type de Rachat schedule:
"Bullet", "Sinkable", "defaulted" empty si non applicable,
Omitted si pas applicable.</xs:documentation>
<xs:documentation xml:lang="nl">Type van Inkoop schedule:
"Bullet", "Sinkable", "defaulted" empty als non applicable,
Omitted als niet applicable.</xs:documentation>
<xs:appinfo>
<altova:exampleValues>
<altova:example value="Bullet"/>
<altova:example value="Sinkable"/>
</altova:exampleValues>
</xs:appinfo>
</xs:annotation>
<xs:simpleType>
<xs:restriction base="xs:string">
<xs:enumeration value="Bullet"/>
<xs:enumeration value="Sinkable"/>
<xs:enumeration value="defaulted"/>
</xs:restriction>
</xs:simpleType>
</xs:element>
<xs:element minOccurs="0" name="Rate" type="xs:decimal">
<xs:annotation>
<xs:documentation xml:lang="en">If known, redemption rate in percentage
of nominal amount (A19) 100%=1.0</xs:documentation>
<xs:documentation xml:lang="de">If known, redemption rate in percentage
of Nennwert (A19) 100%=1.0</xs:documentation>
<xs:documentation xml:lang="fr">If known, rachat taux dans pourcentage
de nominal montant (A19) 100%=1.0</xs:documentation>
<xs:documentation xml:lang="nl">If known, inkoop tarief in percentage
van nominal bedrag (A19) 100%=1.0</xs:documentation>
</xs:annotation>
</xs:element>
<xs:element minOccurs="0" name="PIK">
<xs:annotation>
<xs:documentation xml:lang="en">A146 - 0 - No PIK
1 - No cash coupon. Existing PIK is included in the redemption rate (41) and described in the coupon data points (32-38). The period indicated for "38_Coupon_payment_frequency" is the period for PIK accrual.
2 - Existing PIK is included in the redemption rate (41) but not described in the coupon fields (32-38).
3 - Existing PIK is a regular payment and is included in coupon fields (32-38). No impact on the redemption rate (41).
4 - Existing PIK is not described in the TPT</xs:documentation>
<xs:documentation xml:lang="de">A146 - 0 - No PIK
1 - No cash coupon. Existing PIK ist included in Rücknahme Satz (41) und described in coupon Daten points (32-38). The period indicated für "38_Coupon_payment_frequency" ist period für PIK accrual.
2 - Existing PIK ist included in Rücknahme Satz (41) but nicht described in coupon fields (32-38).
3 - Existing PIK ist ein regular payment und ist included in coupon fields (32-38). No impact on Rücknahme Satz (41).
4 - Existing PIK ist nicht described in TPT</xs:documentation>
<xs:documentation xml:lang="fr">A146 - 0 - No PIK
1 - No cash coupon. Existing PIK est included dans rachat taux (41) et described dans coupon données points (32-38). The period indicated pour "38_Coupon_payment_frequency" est period pour PIK accrual.
2 - Existing PIK est included dans rachat taux (41) but pas described dans coupon fields (32-38).
3 - Existing PIK est un regular payment et est included dans coupon fields (32-38). No impact on rachat taux (41).
4 - Existing PIK est pas described dans TPT</xs:documentation>
<xs:documentation xml:lang="nl">A146 - 0 - No PIK
1 - No cash coupon. Existing PIK is included in inkoop tarief (41) en described in coupon gegevens points (32-38). The period indicated voor "38_Coupon_payment_frequency" is period voor PIK accrual.
2 - Existing PIK is included in inkoop tarief (41) but niet described in coupon fields (32-38).
3 - Existing PIK is een regular payment en is included in coupon fields (32-38). No impact on inkoop tarief (41).
4 - Existing PIK is niet described in TPT</xs:documentation>
</xs:annotation>
<xs:simpleType>
<xs:restriction base="xs:int">
<xs:minInclusive value="1"/>
<xs:maxInclusive value="2"/>
<xs:enumeration value="0"/>
<xs:enumeration value="1"/>
<xs:enumeration value="2"/>
<xs:enumeration value="3"/>
<xs:enumeration value="4"/>
</xs:restriction>
</xs:simpleType>
</xs:element>
</xs:sequence>
</xs:complexType>