Bond

/FundsXML4/Funds/Fund/CHOICE_2819/SingleFund/Segments/Segment/ShareClasses/ShareClass/Portfolios/Portfolio/PositionsDecomposed/Positions/Position/CHOICE_9638/Bond

Diagram

Bond Details for bond positions Nominal xs:decimal OriginalFace xs:decimal 0..1 Price FundAmountType 0..1 OtherPrices OtherPricesType 0..1 DirtyPrice FundAmountType 0..1 MarketValue FundAmountType 0..1 InterestClaimNet FundAmountType 0..1 InterestClaimGross FundAmountType 0..1 AccruedInterestDays xs:integer 0..1 ZeroBondInterestClaimNet FundAmountType 0..1 ZeroBondInterestClaimGross FundAmountType 0..1 ZeroBondCapitalYieldsTaxClaim FundAmountType 0..1 ZeroBondYield xs:decimal 0..1 Indexfactor xs:decimal 0..1 Poolfactor xs:decimal 0..1 BookRate FundAmountType 0..1 PurchaseValue FundAmountType 0..1 AcrualIndexedBond xs:boolean 0..1 DateLastCouponPayment xs:date 0..1 LendedFlag xs:boolean 0..1 LendedUnits xs:decimal 0..1 IndicatorRaffled xs:boolean 0..1 CollateralValue FundAmountType 0..1

Documentation

Details for bond positions

Properties

Type
(anonymous)
Cardinality
1
Namespace
xs = "http://www.w3.org/2001/XMLSchema"
altova = "http://www.altova.com/xml-schema-extensions"
ds = "http://www.w3.org/2000/09/xmldsig#"
Level
15
Sample Data

Child Elements & Attributes

Name (XPath) Type Documentation Sample Data
/Funds/.../Nominal xs:decimal

Nominal value (units) of bond

Nominale/Stückzahl der Rentenposition

501.85
/Funds/.../OriginalFace xs:decimal

Par value of a bond when it has been bought

174.97
/Funds/.../Price FundAmountType

Clean price (in different currencies)

Bewertungskurs (in verschiedenen Währungen)

Amount in different currencies

Betrag in verschiedenen Waehrungen

/Funds/.../OtherPrices OtherPricesType

Additional prices (e.g. hold to maturity)

/Funds/.../DirtyPrice FundAmountType

Dirty Price (including interests)

Amount in different currencies

Betrag in verschiedenen Waehrungen

/Funds/.../MarketValue FundAmountType

Market value of security position without interests

Amount in different currencies

Betrag in verschiedenen Waehrungen

/Funds/.../InterestClaimNet FundAmountType

Interest claim net value

Netto-Zinsanspruch der Rentenposition

Amount in different currencies

Betrag in verschiedenen Waehrungen

/Funds/.../InterestClaimGross FundAmountType

Interest claim gross value

Brutto-Zinsanspruch der Rentenposition

Amount in different currencies

Betrag in verschiedenen Waehrungen

/Funds/.../AccruedInterestDays xs:integer

Number of accrued interest days

Anzahl der Stueckzins Tage an

460
/Funds/.../ZeroBondInterestClaimNet FundAmountType

Interest claim net value of zero bond position

Netto-Zinsanspruch der Null-Coupon-Anleihenposition

Amount in different currencies

Betrag in verschiedenen Waehrungen

/Funds/.../ZeroBondInterestClaimGross FundAmountType

Interest claim gross value of zero bond position

Brutto Zinsanspruch des Zerobond an

Amount in different currencies

Betrag in verschiedenen Waehrungen

/Funds/.../ZeroBondCapitalYieldsTaxClaim FundAmountType

Capital yields tax claim of zero bond position

KEST-Anspruch der Null-Coupon-Anleihenposition

Amount in different currencies

Betrag in verschiedenen Waehrungen

/Funds/.../ZeroBondYield xs:decimal

Yield of zero bond (percentage)

Null-Coupon-Anleihenrendite (in Prozent)

869.52
/Funds/.../Indexfactor xs:decimal

Index factor of bond

Indexfaktor der Anleihe

873.29
/Funds/.../Poolfactor xs:decimal

Pool factor of bond

Poolfaktor der Anleihe

170.83
/Funds/.../BookRate FundAmountType

Book rate

Buchkurs

Amount in different currencies

Betrag in verschiedenen Waehrungen

/Funds/.../PurchaseValue FundAmountType

Purchase Value

Einstandswert

Amount in different currencies

Betrag in verschiedenen Waehrungen

/Funds/.../AcrualIndexedBond xs:boolean

Indicates whether it is an acrual indexed bond

Gibt an ob die Abgrenzung der Indexanleihe erfolgt

false
/Funds/.../DateLastCouponPayment xs:date

Date when last coupon will be payed

Datum an dem der letzte Kupon gezahlt wird

2022-09-10
/Funds/.../LendedFlag xs:boolean

Indicates whether (part of) position is lended

Gibt an, ob Bestand (teilweise) verliehen ist

false
/Funds/.../LendedUnits xs:decimal

Number of lended units

Verliehende Stücke

36.04
/Funds/.../IndicatorRaffled xs:boolean

Indicates whether bond has been raffled

Gibt an, ob das Wertpapier verlost wurde

true
/Funds/.../CollateralValue FundAmountType

Current value of collateral usage (positive value if received, negative value if delivered from/to counterparty)

Amount in different currencies

Betrag in verschiedenen Waehrungen

XML Snippet

<xs:element xmlns:altova="http://www.altova.com/xml-schema-extensions"
            xmlns:ds="http://www.w3.org/2000/09/xmldsig#"
            xmlns:xs="http://www.w3.org/2001/XMLSchema"
            name="Bond">
   <xs:annotation>
      <xs:documentation>Details for bond positions</xs:documentation>
   </xs:annotation>
   <xs:complexType>
      <xs:sequence>
         <xs:element name="Nominal" type="xs:decimal">
            <xs:annotation>
               <xs:documentation xml:lang="en">Nominal value (units) of bond</xs:documentation>
               <xs:documentation xml:lang="de">Nominale/Stückzahl der Rentenposition</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="OriginalFace" type="xs:decimal">
            <xs:annotation>
               <xs:documentation>Par value of a bond when it has been bought</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="Price" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Clean price (in different currencies)</xs:documentation>
               <xs:documentation xml:lang="de">Bewertungskurs (in verschiedenen Währungen)</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="OtherPrices" type="OtherPricesType">
            <xs:annotation>
               <xs:documentation>Additional prices (e.g. hold to maturity)</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="DirtyPrice" type="FundAmountType">
            <xs:annotation>
               <xs:documentation>Dirty Price (including interests)</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="MarketValue" type="FundAmountType">
            <xs:annotation>
               <xs:documentation>Market value of security position without interests</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="InterestClaimNet" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Interest claim net value</xs:documentation>
               <xs:documentation xml:lang="de">Netto-Zinsanspruch der Rentenposition</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="InterestClaimGross" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Interest claim gross value</xs:documentation>
               <xs:documentation xml:lang="de">Brutto-Zinsanspruch der Rentenposition</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="AccruedInterestDays" type="xs:integer">
            <xs:annotation>
               <xs:documentation xml:lang="en">Number of accrued interest days</xs:documentation>
               <xs:documentation xml:lang="de">Anzahl der Stueckzins Tage an</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="ZeroBondInterestClaimNet" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Interest claim net value of zero bond position</xs:documentation>
               <xs:documentation xml:lang="de">Netto-Zinsanspruch der Null-Coupon-Anleihenposition</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0"
                     name="ZeroBondInterestClaimGross"
                     type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Interest claim gross value of zero bond position</xs:documentation>
               <xs:documentation xml:lang="de">Brutto Zinsanspruch des Zerobond an</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0"
                     name="ZeroBondCapitalYieldsTaxClaim"
                     type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Capital yields tax claim of zero bond position</xs:documentation>
               <xs:documentation xml:lang="de">KEST-Anspruch der Null-Coupon-Anleihenposition</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="ZeroBondYield" type="xs:decimal">
            <xs:annotation>
               <xs:documentation xml:lang="en">Yield of zero bond (percentage)</xs:documentation>
               <xs:documentation xml:lang="de">Null-Coupon-Anleihenrendite (in Prozent)</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="Indexfactor" type="xs:decimal">
            <xs:annotation>
               <xs:documentation xml:lang="en">Index factor of bond</xs:documentation>
               <xs:documentation xml:lang="de">Indexfaktor der Anleihe</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="Poolfactor" type="xs:decimal">
            <xs:annotation>
               <xs:documentation xml:lang="en">Pool factor of bond</xs:documentation>
               <xs:documentation xml:lang="de">Poolfaktor der Anleihe</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="BookRate" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Book rate</xs:documentation>
               <xs:documentation xml:lang="de">Buchkurs</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="PurchaseValue" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Purchase Value</xs:documentation>
               <xs:documentation xml:lang="de">Einstandswert</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="AcrualIndexedBond" type="xs:boolean">
            <xs:annotation>
               <xs:documentation xml:lang="en">Indicates whether it is an acrual indexed bond</xs:documentation>
               <xs:documentation xml:lang="de">Gibt an ob die Abgrenzung der Indexanleihe erfolgt</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="DateLastCouponPayment" type="xs:date">
            <xs:annotation>
               <xs:documentation xml:lang="en">Date when last coupon will be payed</xs:documentation>
               <xs:documentation xml:lang="de">Datum an dem der letzte Kupon gezahlt wird</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="LendedFlag" type="xs:boolean">
            <xs:annotation>
               <xs:documentation xml:lang="en">Indicates whether (part of) position is lended</xs:documentation>
               <xs:documentation xml:lang="de">Gibt an, ob Bestand (teilweise) verliehen ist</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="LendedUnits" type="xs:decimal">
            <xs:annotation>
               <xs:documentation xml:lang="en">Number of lended units</xs:documentation>
               <xs:documentation xml:lang="de">Verliehende Stücke</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="IndicatorRaffled" type="xs:boolean">
            <xs:annotation>
               <xs:documentation xml:lang="en">Indicates whether bond has been raffled</xs:documentation>
               <xs:documentation xml:lang="de">Gibt an, ob das Wertpapier verlost wurde</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="CollateralValue" type="FundAmountType">
            <xs:annotation>
               <xs:documentation>Current value of collateral usage (positive value if received, negative value if delivered from/to counterparty)</xs:documentation>
            </xs:annotation>
         </xs:element>
      </xs:sequence>
   </xs:complexType>
</xs:element>