<LegDividendConditions> Component Block

The LegDividendConditions component is a subcomponent of LegPaymentStream used to specify the conditions' valuations and dates governing the payment of dividends.

Used in :

Tag Field Name FIXML Req'd Comments
42337 LegDividendReinvestmentIndicator @RnvstmntInd N

Indicates whether the dividend will be reinvested.

42338 LegDividendEntitlementEvent @EntlmntEvnt N

Defines the contract event which the receiver of the derivative is entitled to the dividend.

42339 LegDividendAmountType @AmtTyp N

Indicates how the gross cash dividend amount per share is determined.

42340 LegDividendUnderlierRefID @UndlrRefID N

References the dividend underlier through the instrument's UnderlyingSecurityID(309) which must be fully specified in an instance of the UnderlyingInstrument component.

<LegDividendPeriodGrp> N
42341 LegExtraordinaryDividendPartySide @ExtrordSide N

Reference to the party through its side in the trade who makes the determination whether dividends are extraordinary in relation to normal levels.

42342 LegExtraordinaryDividendAmountType @ExtrordAmtTyp N

Indicates how the extraordinary gross cash dividend per share is determined.

42343 LegExtraordinaryDividendCurrency @ExtrordCcy N

The currency in which the excess dividend is denominated. Uses ISO 4217 currency codes.

42344 LegExtraordinaryDividendDeterminationMethod @ExtrordDtrmnMeth N

Specifies the method in which the excess amount is determined.

See http://www.fpml.org/coding-scheme/determination-method for values.

<LegDividendFXTriggerDate> N
<LegDividendAccrualFloatingRate> N
42345 LegDividendAccrualFixedRate @AcrlFixedRt N

The dividend accrual fixed rate per annum expressed as a decimal.

A value of 5% would be represented as "0.05".

<LegDividendAccrualPaymentDate> N
42346 LegDividendCompoundingMethod @CmpndgMeth N

The compounding method to be used when more than one dividend period contributes to a single payment.

42347 LegDividendNumOfIndexUnits @NumNdxUnits N

The number of index units applicable to dividends.

42348 LegDividendCashPercentage @CshPctage N

Declared cash dividend percentage.

A value of 5% would be represented as "0.05".

42349 LegDividendCashEquivalentPercentage @CshEqvlntPctage N

Declared cash-equivalent dividend percentage.

A value of 5% would be represented as "0.05".

42350 LegNonCashDividendTreatment @NonCshTrtmt N

Defines the treatment of non-cash dividends.

42351 LegDividendComposition @Cmpstn N

Defines how the composition of dividends is to be determined.

42352 LegSpecialDividendsIndicator @SpeclDividendInd N

Indicates whether special dividends are applicable.

42353 LegMaterialDividendsIndicator @MtrlDividendInd N

Indicates whether material non-cash dividends are applicable.

42354 LegOptionsExchangeDividendsIndicator @ExchDividendInd N

Indicates whether option exchange dividends are applicable.

42355 LegAdditionalDividendsIndicator @AddtnlDividendInd N

Indicates whether additional dividends are applicable.

42356 LegAllDividendsIndicator @AllDividendInd N

Represents the European Master Confirmation value of 'All Dividends' which, when applicable, signifies that, for a given Ex-Date, the daily observed share price for that day is adjusted (reduced) by the cash dividend and/or the cash value of any non-cash dividend per share (including extraordinary dividends) declared by the issuer.