TagField NameAbbr NameData TypeUnion DatatypeDescriptionPedigree
42662PaymentStreamFixingDateTypeTypint

Specifies the type of fixing date (e.g. adjusted for holidays).


NonDeliverableFixingDateTypeCodeSet
0=

Unadjusted

Added EP161 [Unadjusted]
1=

Adjusted

Added EP161 [Adjusted]
Added EP208

Used in components:
[PaymentStreamFixingDateGrp]