Bond
/FundsXML4/Funds/Fund/CHOICE_2819/Subfunds/Subfund/Segments/Segment/Segments/Segment/ShareClasses/ShareClass/Portfolios/Portfolio/Positions/Position/CHOICE_27935/Bond
Diagram
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
- 17
- Sample Data
Child Elements & Attributes
| Name (XPath) | Type | Documentation | Sample Data |
|---|---|---|---|
| /Funds/.../Nominal | xs:decimal | Nominal value (units) of bond Nominale/Stückzahl der Rentenposition |
983.65 |
| /Funds/.../OriginalFace | xs:decimal | Par value of a bond when it has been bought |
504.53 |
| /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 |
408 |
| /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) |
486.29 |
| /Funds/.../Indexfactor | xs:decimal | Index factor of bond Indexfaktor der Anleihe |
712.20 |
| /Funds/.../Poolfactor | xs:decimal | Pool factor of bond Poolfaktor der Anleihe |
519.15 |
| /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 |
2022-10-23 |
| /Funds/.../LendedFlag | xs:boolean | Indicates whether (part of) position is lended Gibt an, ob Bestand (teilweise) verliehen ist |
true |
| /Funds/.../LendedUnits | xs:decimal | Number of lended units Verliehende Stücke |
112.01 |
| /Funds/.../IndicatorRaffled | xs:boolean | Indicates whether bond has been raffled Gibt an, ob das Wertpapier verlost wurde |
false |
| /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>