Slot: payRelativeTo
Specifies whether the payments occur relative to each adjusted calculation period start date or end date, each reset date, valuation date or the last pricing date. Calculation period start date means relative to the start of the first calculation period contributing to a given payment. Similarly, calculation period end date means the end of the last calculation period contributing to a given payment. The valuation date is applicable for Brazilian-CDI and equity swaps.
URI: common_domain_model:payRelativeTo
Applicable Classes
| Name |
Description |
Modifies Slot |
| PaymentDates |
Specifies the parameters to generate the payment date schedule, either throug... |
no |
Properties
Type and Range
Cardinality and Requirements
Schema Source
Mappings
| Mapping Type |
Mapped Value |
| self |
common_domain_model:payRelativeTo |
| native |
common_domain_model:payRelativeTo |
LinkML Source
name: payRelativeTo
description: Specifies whether the payments occur relative to each adjusted calculation
period start date or end date, each reset date, valuation date or the last pricing
date. Calculation period start date means relative to the start of the first calculation
period contributing to a given payment. Similarly, calculation period end date means
the end of the last calculation period contributing to a given payment. The valuation
date is applicable for Brazilian-CDI and equity swaps.
from_schema: https://w3id.org/lmodel/common-domain-model
rank: 1000
domain_of:
- PaymentDates
range: PayRelativeToEnum