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Slot: fxFixingSchedule

The date, when expressed as a schedule of date(s), on which the currency rate will be determined for the purpose of specifying the amount in deliverable currency. This attribute was formerly part of 'NonDeliverableSettlement', which is now being harmonised into a common 'CashSettlementTerms' that includes a 'ValuationDate'.

URI: common_domain_model:fxFixingSchedule

Applicable Classes

Name Description Modifies Slot
ValuationDate A single object that represents the different methods to specify a valuation ... no

Properties

Type and Range

Property Value
Range AdjustableDates
Domain Of ValuationDate

Cardinality and Requirements

Property Value

Identifier and Mapping Information

Schema Source

Mappings

Mapping Type Mapped Value
self common_domain_model:fxFixingSchedule
native common_domain_model:fxFixingSchedule

LinkML Source

name: fxFixingSchedule
description: The date, when expressed as a schedule of date(s), on which the currency
  rate will be determined for the purpose of specifying the amount in deliverable
  currency. This attribute was formerly part of 'NonDeliverableSettlement', which
  is now being harmonised into a common 'CashSettlementTerms' that includes a 'ValuationDate'.
from_schema: https://w3id.org/lmodel/common-domain-model
rank: 1000
domain_of:
- ValuationDate
range: AdjustableDates