<PaymentStream> Component Block

The PaymentStream component is a subcomponent of the Stream used to detail the attributes of a payment stream in a swap.

Used in :

Tag Field Name FIXML Req'd Comments
40738 PaymentStreamType @Typ N

Identifies the type of payment stream associated with the swap.

40739 PaymentStreamMarketRate @MktRt N

Used only for credit index trade. This contains the credit spread ("fair value") at which the trade was executed. The market rate varies over the life of the index depending on market conditions. This is the price of the index as quoted by trading desks.

40740 PaymentStreamDelayIndicator @DelayInd N

Applicable to credit default swaps on mortgage backed securities to specify whether payment delays are applicable to the fixed amount.

Residential mortgage backed securities typically have a payment delay of 5 days between the coupon date of the reference obligation and the payment date of the synthetic swap.

Commercial mortgage backed securities do not typically have a payment delay, with both payment dates (the coupon date of the reference obligation and the payment date of the synthetic swap) being on the 25th of each month.

42600 PaymentStreamCashSettlIndicator @CshSettlInd N

Indicates whether cash settlement is applicable.

40741 PaymentStreamSettlCurrency @SettlCcy N

Specifies the currency that the stream settles in (to support swaps that settle in a currency different from the notional currency). Uses ISO 4217 currency codes.

40742 PaymentStreamDayCount @DayCnt N

The day count convention used in the payment stream calculations.

43106 PaymentStreamOtherDayCount @OtherDayCnt N

May be used to specify a count method not listed in PaymentStreamDayCount(40742).

40743 PaymentStreamAccrualDays @AcrlDays N

The number of days from the adjusted calculation period start date to the adjusted value date, calculated in accordance with the applicable day count fraction.

40744 PaymentStreamDiscountType @DiscTyp N

The method of calculating discounted payment amounts

40745 PaymentStreamDiscountRate @Disc N

Discount rate. The rate is expressed in decimal, e.g. 5% is expressed as 0.05.

40746 PaymentStreamDiscountRateDayCount @DiscDayCnt N

The day count convention applied to the PaymentStreamDiscountRate(40745).

40747 PaymentStreamCompoundingMethod @CmpndgMeth N

Compounding method.

42601 PaymentStreamCompoundingXIDRef @CmpndgXIDRef N

Mutually exclusive with PaymentStreamCompoundingFixedRate(42605) or the PaymentStreamCompoundingFloatingRate component.

42602 PaymentStreamCompoundingSpread @CmpndgSpread N

The spread to be used for compounding. Used in scenarios where the interest payment is based on a compounding formula that uses a compounding spread in addition to the regular spread.

42603 PaymentStreamInterpolationMethod @IntrpltnMeth N

The method used when calculating the index rate from multiple points on the curve. The most common is linear method.

42604 PaymentStreamInterpolationPeriod @IntrpltnPeriod N

Defines applicable periods for interpolation.

40748 PaymentStreamInitialPrincipalExchangeIndicator @InitPrncplExchInd N

Indicates whether there is an initial exchange of principal on the effective date.

40749 PaymentStreamInterimPrincipalExchangeIndicator @IntrmPrncplExchInd N

Indicates whether there are intermediate or interim exchanges of principal during the term of the swap.

40750 PaymentStreamFinalPrincipalExchangeIndicator @FnlPrncplExchInd N

Indicates whether there is a final exchange of principal on the termination date.

41180 PaymentStreamFlatRateIndicator @FlatRtInd N

When this element is specified and set to 'Y', the Flat Rate is the New Worldwide Tanker Nominal Freight Scale for the Freight Index Route taken at the Trade Date of the transaction “Fixed”. If 'N' it is taken on each Pricing Date “Floating”.

41181 PaymentStreamFlatRateAmount @FlatRtAmt N

Specifies the actual monetary value of the flat rate when PaymentStreamFlatRateIndicator(41180) = 'Y'.

41182 PaymentStreamFlatRateCurrency @FlatRtCcy N

Specifies the currency of the actual flat rate. Uses ISO 4217 currency codes.

41183 PaymentStreamMaximumPaymentAmount @MaxPmtAmt N

Specifies the limit on the total payment amount.

41184 PaymentStreamMaximumPaymentCurrency @MaxPmtCcy N

Specifies the currency of total payment amount limit. Uses ISO 4217 currency codes.

41185 PaymentStreamMaximumTransactionAmount @MaxTxnAmt N

Specifies the limit on the payment amount that goes out in any particular calculation period.

41186 PaymentStreamMaximumTransactionCurrency @MaxTxnCcy N

Specifies the currency of the period payment amount limit. Uses ISO 4217 currency codes.

<PaymentStreamPaymentDates> N
<PaymentStreamResetDates> N
<PaymentStreamFixedRate> N
<PaymentStreamFloatingRate> N
42605 PaymentStreamCompoundingFixedRate @CmpndgFixedRt N

Mutually exclusive with PaymentStreamCompoundingXIDRef(42601) or the PaymentStreamCompoundingFloatingRate component.

<PaymentStreamCompoundingFloatingRate> N
<PaymentStreamCompoundingDates> N
<PaymentStreamNonDeliverableSettlTerms> N