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
Cardinality and Requirements
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