<PaymentStreamPaymentDates> Component Block

PaymentStreamPaymentDates is a subcomponent of the PaymentStream component used to specify the payment dates of the stream.

For equity return swaps this component is used to specify the interim price payment dates and the PaymentStreamFinalPricePaymentDate component is used to specify the final price payment date.

Used in :

Tag Field Name FIXML Req'd Comments
40751 PaymentStreamPaymentDateBusinessDayConvention @BizDayCnvtn N

When specified, this overrides the business day convention defined in the DateAdjustment component in Instrument. The specified value would be specific to this instance of the payment stream's payment dates.

<PaymentStreamPaymentDateBusinessCenterGrp> N
<PaymentStreamPaymentDateGrp> N
40753 PaymentStreamPaymentFrequencyPeriod @FreqPeriod N

Conditionally required when PaymentStreamPaymentFrequencyUnit(40754) is specified.

40754 PaymentStreamPaymentFrequencyUnit @FreqUnit N

Conditionally required when PaymentStreamPaymentFrequencyPeriod(40753) is specified.

40755 PaymentStreamPaymentRollConvention @Roll N

When specified, this overrides the date roll convention defined in the DateAdjustment component in Instrument. The specified values would be specific to this instance of the stream payment dates

40756 PaymentStreamFirstPaymentDateUnadjusted @FirstDtUnadj N

The unadjusted first payment date.

40757 PaymentStreamLastRegularPaymentDateUnadjusted @LastReglrDtUnadj N

The unadjusted last regular payment date.

40758 PaymentStreamPaymentDateRelativeTo @Reltv N

Specifies the anchor date when payment dates are relative to an anchor date.

See http://www.fixtradingcommunity.org/codelists#Relative_To_Date for values.

40759 PaymentStreamPaymentDateOffsetPeriod @OfstPeriod N

Conditionally required when PaymentStreamPaymentDateOffsetUnit(40760) is specified.

40760 PaymentStreamPaymentDateOffsetUnit @OfstUnit N

Conditionally required when PaymentStreamPaymentDateOffsetPeriod(40759) is specified.

40920 PaymentStreamPaymentDateOffsetDayType @OfstDayTyp N

Specifies the day type of the relative payment date offset.

41223 PaymentStreamMasterAgreementPaymentDatesIndicator @MADts N

When set to 'Y', it indicates that payment dates are specified in the relevant master agreement.

<PaymentStreamFinalPricePaymentDate> N