Name | BondContent.model |
---|---|
Used by (from the same schema document) | Complex Type Bond , Complex Type Mortgage |
Documentation | A group that specifies Bond Content elements |
'Specifies the issuer name of a fixed income security or convertible bond. This name can either be explicitly stated, or specified as an href into another element of the document, such as the obligor'
'Specifies if the bond has a variable coupon, step-up/down coupon or a zero-coupon.'
'Specifies the coupon rate (expressed in percentage) of a fixed income security or convertible bond.'
'The date when the principal amount of a security becomes due and payable.'