Slot: paymentDates
Defines the payment date schedule, as defined by the parameters that are needed to specify it, either in a parametric way or by reference to another schedule of dates (e.g. the valuation dates).
URI: common_domain_model:paymentDates
Applicable Classes
| Name |
Description |
Modifies Slot |
| CommodityPayout |
Payout based on the averaged price of a referenced underlier |
no |
| InterestRatePayout |
A class to specify all of the terms necessary to define and calculate a cash... |
yes |
| PerformancePayout |
Contains the necessary specifications for all performance payouts, encompassi... |
no |
| FixedPricePayout |
Represents a fixed price payout |
yes |
Properties
Type and Range
Cardinality and Requirements
| Property |
Value |
| Required |
Yes |
Schema Source
Mappings
| Mapping Type |
Mapped Value |
| self |
common_domain_model:paymentDates |
| native |
common_domain_model:paymentDates |
| close |
fpml_5_10:CommodityPayout.paymentDates |
LinkML Source
name: paymentDates
description: Defines the payment date schedule, as defined by the parameters that
are needed to specify it, either in a parametric way or by reference to another
schedule of dates (e.g. the valuation dates).
from_schema: https://w3id.org/lmodel/common-domain-model
close_mappings:
- fpml_5_10:CommodityPayout.paymentDates
rank: 1000
domain_of:
- CommodityPayout
- InterestRatePayout
- PerformancePayout
- FixedPricePayout
range: PaymentDates
required: true