Terms |
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PART A - CONTRACTUAL TERMS/PROVISIONS RELATING TO INTEREST (IF ANY) PAYABLE/Floating Rate Note Provisions/Business Centre(s) |
PART A - CONTRACTUAL TERMS/GENERAL PROVISIONS APPLICABLE TO THE NOTES/Provisions applicable to payment date(s)/Financial Centre(s)/ |
Documentation
Tags
- Issuer
- Broker Dealer
- Investor
- Bonds
- Structured Products
- CAST specific components
- CAST based on BDT
- CAST based on CDM
2.3.1.8
Business Days
Last update, October 28
Standards
Framework | Path | Description |
---|---|---|
cdm
|
[CDM.data type]cdm.base.datetime/BusinessCenters/
|
A class for specifying the business day calendar location used in determining whether a day is a business day or not, either by specifying this business center by reference to an enumerated list that is maintained by the FpML standard, or by reference to such specification when it exists elsewhere as part of the instance document. This class corresponds to the FpML BusinessCentersOrReference.model. |
bdt
|
Business Days
[BDT.attribute]Product/Product/BusinessDayCenter/Business Days
|
[BDT.enum]Business Days/TARGET2 |