ShareClass

/FundsXML4/Funds/Fund/Subfunds/Subfund/SubfundDynamicData/Portfolios/Portfolio/PositionsDecomposed/Positions/Position/ShareClass

Diagram

ShareClass Shares xs:decimal [1] Price FundAmountType [0..1] OtherPrices OtherPricesType [0..1] BookRate FundAmountType [0..1] PurchaseValue FundAmountType [0..1] DividendsDue FundAmountType [0..1] LendedFlag xs:boolean [0..1] LendedUnits xs:decimal [0..1] IndicatorRaffled xs:boolean [0..1]

Documentation

Details for subfund positions

Properties

Type
(anonymous)
Cardinality
1
Namespace
xs = "http://www.w3.org/2001/XMLSchema"
vc = "http://www.w3.org/2007/XMLSchema-versioning"
xml = "http://www.w3.org/XML/1998/namespace"
altova = "http://www.altova.com/xml-schema-extensions"
ds = "http://www.w3.org/2000/09/xmldsig#"
Level
13

Child Elements & Attributes

Child elements and attributes of this element
Name (XPath) Type Documentation Sample Data
xs:decimal

Number of shares

Anzahl der Anteilscheine

Número de shares

Numero di azioni

Počet shares

Number of shares

436.28
FundAmountType

Clean price (in different currencies)

Bewertungskurs (in verschiedenen Währungen)

Clean price (en diferentes divisas)

Prezzo pulito (in diverse valute)

Clean price (in different currencies)

Clean price (in different currencies)

Montant dans différentes devises avec indicateurs de devise fonds/compartiment/classe d'actions

Bedrag in verschillende valuta's met fonds/subfonds/aandelenklasse valuta-indicatoren

OtherPricesType

Additional prices (e.g. hold to maturity)

Container for alternative price types (different from official NAV)

Container für alternative Preistypen (abweichend vom offiziellen NAV)

Conteneur pour des types de prix alternatifs (différents du NAV officiel)

Container voor alternatieve prijstypes (anders dan de officiële NIW)

Contenedor para tipos de precio alternativos (diferentes del NAV oficial)

Contenitore per tipologie di prezzo alternative (diverse dal NAV ufficiale)

Kontejner pro alternativní typy cen (odlišné od oficiálního NAV)

Tároló alternatív ártípusokhoz (az hivatalos NAV-tól eltérő)

FundAmountType

Book rate

Buchkurs

Precio contable

Tariffa del libro

Book rate

Book rate

Montant dans différentes devises avec indicateurs de devise fonds/compartiment/classe d'actions

Bedrag in verschillende valuta's met fonds/subfonds/aandelenklasse valuta-indicatoren

FundAmountType

Purchase Value

Einstandswert

Valor de compra

Valore d'acquisto

Purchase Value

Purchase Value

Montant dans différentes devises avec indicateurs de devise fonds/compartiment/classe d'actions

Bedrag in verschillende valuta's met fonds/subfonds/aandelenklasse valuta-indicatoren

FundAmountType

Dividends due of position

Dividendenforderungen fuer Aktienbestaende

Dividends due de la posición

Dividendi dovuti di posizione

Dividends due of position

Dividends due of position

Montant dans différentes devises avec indicateurs de devise fonds/compartiment/classe d'actions

Bedrag in verschillende valuta's met fonds/subfonds/aandelenklasse valuta-indicatoren

xs:boolean

Indicates whether (part of) position is lended

Gibt an, ob Bestand (teilweise) verliehen ist

Indica si (parte de) la posición está prestada

Indica se (parte della) posizione è prestata

Označuje, zda (part of) position is lended

Indicates whether (part of) position is lended

true
xs:decimal

Number of lended units

Verliehende Stücke

Número de lended units

Numero di unità prestate

Počet lended units

Number of lended units

586.75
xs:boolean

Indicates whether bond has been raffled

Gibt an, ob das Wertpapier verlost wurde

Indica si el bono ha sido sorteado

Indica se il bond è stato sorteggiato

Označuje, zda bond has been raffled

Indicates whether bond has been raffled

true

Element Definition

<xs:element xmlns:altova="http://www.altova.com/xml-schema-extensions"
            xmlns:ds="http://www.w3.org/2000/09/xmldsig#"
            xmlns:vc="http://www.w3.org/2007/XMLSchema-versioning"
            xmlns:xs="http://www.w3.org/2001/XMLSchema"
            name="ShareClass">
   <xs:annotation>
      <xs:documentation>Details for subfund positions</xs:documentation>
   </xs:annotation>
   <xs:complexType>
      <xs:sequence>
         <xs:element name="Shares" type="xs:decimal">
            <xs:annotation>
               <xs:documentation xml:lang="en">Number of shares</xs:documentation>
               <xs:documentation xml:lang="de">Anzahl der Anteilscheine</xs:documentation>
               <xs:documentation xml:lang="es">Número de shares</xs:documentation>
               <xs:documentation xml:lang="it">Numero di azioni</xs:documentation>
               <xs:documentation xml:lang="cs">Počet shares</xs:documentation>
               <xs:documentation xml:lang="hu">Number of shares</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:documentation xml:lang="es">Clean price (en diferentes divisas)</xs:documentation>
               <xs:documentation xml:lang="it">Prezzo pulito (in diverse valute)</xs:documentation>
               <xs:documentation xml:lang="cs">Clean price (in different currencies)</xs:documentation>
               <xs:documentation xml:lang="hu">Clean price (in different currencies)</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="BookRate" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Book rate</xs:documentation>
               <xs:documentation xml:lang="de">Buchkurs</xs:documentation>
               <xs:documentation xml:lang="es">Precio contable</xs:documentation>
               <xs:documentation xml:lang="it">Tariffa del libro</xs:documentation>
               <xs:documentation xml:lang="cs">Book rate</xs:documentation>
               <xs:documentation xml:lang="hu">Book rate</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:documentation xml:lang="es">Valor de compra</xs:documentation>
               <xs:documentation xml:lang="it">Valore d'acquisto</xs:documentation>
               <xs:documentation xml:lang="cs">Purchase Value</xs:documentation>
               <xs:documentation xml:lang="hu">Purchase Value</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element minOccurs="0" name="DividendsDue" type="FundAmountType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Dividends due of position</xs:documentation>
               <xs:documentation xml:lang="de">Dividendenforderungen fuer Aktienbestaende</xs:documentation>
               <xs:documentation xml:lang="es">Dividends due de la posición</xs:documentation>
               <xs:documentation xml:lang="it">Dividendi dovuti di posizione</xs:documentation>
               <xs:documentation xml:lang="cs">Dividends due of position</xs:documentation>
               <xs:documentation xml:lang="hu">Dividends due of position</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:documentation xml:lang="es">Indica si (parte de) la posición está prestada</xs:documentation>
               <xs:documentation xml:lang="it">Indica se (parte della) posizione è prestata</xs:documentation>
               <xs:documentation xml:lang="cs">Označuje, zda (part of) position is lended</xs:documentation>
               <xs:documentation xml:lang="hu">Indicates whether (part of) position is lended</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:documentation xml:lang="es">Número de lended units</xs:documentation>
               <xs:documentation xml:lang="it">Numero di unità prestate</xs:documentation>
               <xs:documentation xml:lang="cs">Počet lended units</xs:documentation>
               <xs:documentation xml:lang="hu">Number of lended units</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:documentation xml:lang="es">Indica si el bono ha sido sorteado</xs:documentation>
               <xs:documentation xml:lang="it">Indica se il bond è stato sorteggiato</xs:documentation>
               <xs:documentation xml:lang="cs">Označuje, zda bond has been raffled</xs:documentation>
               <xs:documentation xml:lang="hu">Indicates whether bond has been raffled</xs:documentation>
            </xs:annotation>
         </xs:element>
      </xs:sequence>
   </xs:complexType>
</xs:element>