Update the TRS with WSO ID of {id}.
https://services.wsoweb.com/
AssetClassId
AssetClassId
integer
Collateral
Collateral
string
CollateralRequirement
CollateralRequirement
decimal number
CounterPartyId
CounterPartyId
integer
CountryId
CountryId
integer
CurrencyType
CurrencyType
string
DefaultDate
DefaultDate
date
DefaultType
DefaultType
string
FaceValue
FaceValue
decimal number
FirstPaymentDate
FirstPaymentDate
date
GuarantorId
GuarantorId
integer
InsurerId
InsurerId
integer
InterestAccrualDate
InterestAccrualDate
date
IsAmortizeToZero
IsAmortizeToZero
boolean
IsConvertible
IsConvertible
boolean
IsDefaulted
IsDefaulted
boolean
IsEmergingMarket
IsEmergingMarket
boolean
IsFinancePAI
IsFinancePAI
boolean
IsFXRisk
IsFXRisk
boolean
IsMatchedFunding
IsMatchedFunding
boolean
IsPayPartialFinancing
IsPayPartialFinancing
boolean
IsPIK
IsPIK
boolean
IsPrivate
IsPrivate
boolean
IsRestructured
IsRestructured
boolean
IsSfo
IsSfo
boolean
IssueDate
IssueDate
date
IssuePrice
IssuePrice
decimal number
IsSynthetic
IsSynthetic
boolean
IsTradedAccrued
IsTradedAccrued
boolean
LeadUnderwriterId
LeadUnderwriterId
integer
MaturityDate
MaturityDate
date
MaturityDateExpected
MaturityDateExpected
date
MaximumNotional
IssueSize in Core
decimal number
Notes
Notes
string
PayOffsetDays
PayOffsetDays
integer
PrimaryRate
PrimaryRate
decimal number
RateOptionId
RateOptionId
integer
RegistrationType
RegistrationType
string
SecurityId
SecurityId
string
SeniorityId
SeniorityId
integer
SpreadChangeEffectiveDate
EffectiveDate
date
TransferAgentId
TransferAgentId
integer
TRSDescription
TRSDescription
string
There are no limitations specified.
id
WSO ID of TRS
integer
Required
{ "isAmortizeToZero": true, "maturityDateExpected": "2024-11-23T01:27:49.0589243-06:00", "guarantorId": 1, "registrationType": "sample string 5", "isSfo": true, "defaultType": "sample string 7", "financeTradeFees": "None", "valueAssetBy": "ValueByPar", "defaultDate": "2024-11-23T01:27:49.0589243-06:00", "notes": "sample string 8", "collateral": "sample string 9", "isConvertible": true, "isPrivate": true, "isTradedAccrued": true, "isPIK": true, "isDefaulted": true, "isFXRisk": true, "isEmergingMarket": true, "isSynthetic": true, "issuePrice": 1.1, "counterPartyId": 1, "seniorityId": 1, "leadUnderwriterId": 1, "isFinancePAI": true, "isPayPartialFinancing": true, "isMatchedFunding": true, "securityId": "sample string 21", "assetClassId": 1, "maturityDate": "2024-11-23T01:27:49.0589243-06:00", "issueDate": "2024-11-23T01:27:49.0589243-06:00", "faceValue": 23.0, "collateralRequirement": 24.1, "rateType": "Fixed", "primaryRate": 1.1, "rateOptionId": 1, "maximumNotional": 1.1, "countryId": 1, "frequency": "Annual", "trsDescription": "sample string 25", "currencyType": "sample string 26", "dayCount": "ACT_ACT", "firstPaymentDate": "2024-11-23T01:27:49.0589243-06:00", "insurerId": 28, "interestAccrualDate": "2024-11-23T01:27:49.0589243-06:00", "isRestructured": true, "payNonBusinessDirection": "On", "payOffsetDays": 31, "payOffsetDirection": "After", "payOffsetType": "BusinessDays", "transferAgentId": 1, "spreadChangeBehavior": "NotSet", "spreadChangeEffectiveDate": "2024-11-23T01:27:49.0589243-06:00" }
<TrsUpdate xmlns:i="http://www.w3.org/2001/XMLSchema-instance"> <AssetClassId>1</AssetClassId> <Collateral>sample string 9</Collateral> <CollateralRequirement>24.1</CollateralRequirement> <CounterPartyId>1</CounterPartyId> <CountryId>1</CountryId> <CurrencyType>sample string 26</CurrencyType> <DayCount>ACT_ACT</DayCount> <DefaultDate>2024-11-23T01:27:49.0589243-06:00</DefaultDate> <DefaultType>sample string 7</DefaultType> <FaceValue>23</FaceValue> <FinanceTradeFees>None</FinanceTradeFees> <FirstPaymentDate>2024-11-23T01:27:49.0589243-06:00</FirstPaymentDate> <Frequency>Annual</Frequency> <GuarantorId>1</GuarantorId> <InsurerId>28</InsurerId> <InterestAccrualDate>2024-11-23T01:27:49.0589243-06:00</InterestAccrualDate> <IsAmortizeToZero>true</IsAmortizeToZero> <IsConvertible>true</IsConvertible> <IsDefaulted>true</IsDefaulted> <IsEmergingMarket>true</IsEmergingMarket> <IsFXRisk>true</IsFXRisk> <IsFinancePAI>true</IsFinancePAI> <IsMatchedFunding>true</IsMatchedFunding> <IsPIK>true</IsPIK> <IsPayPartialFinancing>true</IsPayPartialFinancing> <IsPrivate>true</IsPrivate> <IsRestructured>true</IsRestructured> <IsSfo>true</IsSfo> <IsSynthetic>true</IsSynthetic> <IsTradedAccrued>true</IsTradedAccrued> <IssueDate>2024-11-23T01:27:49.0589243-06:00</IssueDate> <IssuePrice>1.1</IssuePrice> <LeadUnderwriterId>1</LeadUnderwriterId> <MaturityDate>2024-11-23T01:27:49.0589243-06:00</MaturityDate> <MaturityDateExpected>2024-11-23T01:27:49.0589243-06:00</MaturityDateExpected> <MaximumNotional>1.1</MaximumNotional> <Notes>sample string 8</Notes> <PayNonBusinessDirection>On</PayNonBusinessDirection> <PayOffsetDays>31</PayOffsetDays> <PayOffsetDirection>After</PayOffsetDirection> <PayOffsetType>BusinessDays</PayOffsetType> <PrimaryRate>1.1</PrimaryRate> <RateOptionId>1</RateOptionId> <RateType>Fixed</RateType> <RegistrationType>sample string 5</RegistrationType> <SecurityId>sample string 21</SecurityId> <SeniorityId>1</SeniorityId> <SpreadChangeBehavior>NotSet</SpreadChangeBehavior> <SpreadChangeEffectiveDate>2024-11-23T01:27:49.0589243-06:00</SpreadChangeEffectiveDate> <TRSDescription>sample string 25</TRSDescription> <TransferAgentId>1</TransferAgentId> <ValueAssetBy>ValueByPar</ValueAssetBy> </TrsUpdate>
Sample not available.
AddDate
Gets or sets the date that the TRS was created.
date
AddId
Gets or sets the name of the user who added the TRS.
string
AddNode
Gets or sets the name of the machine that added the TRS.
string
AssetClassId
integer
Collateral
string
CollateralRequirement
decimal number
CounterPartyId
integer
CountryId
integer
CurrencyType
string
DefaultDate
date
DefaultType
string
FaceValue
decimal number
FirstPaymentDate
date
GuarantorId
integer
Id
Pointer to the primary key of the base Asset table
integer
InsurerId
integer
InterestAccrualDate
date
IsAmortizeToZero
boolean
IsConvertible
boolean
IsDefaulted
boolean
IsDeleted
boolean
IsEmergingMarket
boolean
IsFinancePAI
boolean
IsFXRisk
boolean
IsMatchedFunding
boolean
IsPayPartialFinancing
boolean
IsPIK
boolean
IsPrivate
boolean
IsRestructured
boolean
IsSfo
boolean
IssueDate
date
IssuePrice
decimal number
IssuerId
integer
IsSynthetic
boolean
IsTradedAccrued
boolean
LastChangeDate
Gets or sets the date of the last change to the TRS.
date
LastChangeId
Gets or sets the name of the user that last made changes to the TRS.
string
LastChangeNode
Gets or sets the name of the machine that last made changes to the TRS.
string
LeadUnderwriterId
integer
MaturityDate
date
MaturityDateExpected
date
MaximumNotional
decimal number
Notes
string
PayOffsetDays
integer
PrimaryRate
decimal number
RateOptionId
integer
RegistrationType
string
SecurityId
string
SeniorityId
integer
TotalReturnSwapId
The unique ID for this object.
integer
TransferAgentId
integer
TrsDescription
string
{ "id": 1, "totalReturnSwapId": 2, "issuerId": 4, "collateralRequirement": 5.1, "rateType": "Fixed", "primaryRate": 1.1, "rateOptionId": 1, "maximumNotional": 1.1, "faceValue": 6.0, "frequency": "Annual", "currencyType": "sample string 7", "issueDate": "2024-11-23T01:27:49.0907465-06:00", "maturityDate": "2024-11-23T01:27:49.0907465-06:00", "interestAccrualDate": "2024-11-23T01:27:49.0907465-06:00", "firstPaymentDate": "2024-11-23T01:27:49.0907465-06:00", "dayCount": "ACT_ACT", "valueAssetBy": "ValueByPar", "financeTradeFees": "None", "trsDescription": "sample string 10", "assetClassId": 1, "securityId": "sample string 11", "payOffsetType": "BusinessDays", "payOffsetDirection": "After", "payOffsetDays": 12, "payNonBusinessDirection": "On", "isMatchedFunding": true, "isPayPartialFinancing": true, "isFinancePAI": true, "leadUnderwriterId": 1, "seniorityId": 1, "counterPartyId": 1, "issuePrice": 1.1, "isConvertible": true, "isPrivate": true, "isTradedAccrued": true, "isPIK": true, "isDefaulted": true, "isFXRisk": true, "isDeleted": true, "isEmergingMarket": true, "isSynthetic": true, "collateral": "sample string 25", "notes": "sample string 26", "defaultDate": "2024-11-23T01:27:49.0907465-06:00", "defaultType": "sample string 27", "countryId": 1, "transferAgentId": 28, "insurerId": 29, "isRestructured": true, "isSfo": true, "registrationType": "sample string 32", "guarantorId": 1, "maturityDateExpected": "2024-11-23T01:27:49.0907465-06:00", "isAmortizeToZero": true, "addId": "sample string 35", "addNode": "sample string 36", "addDate": "2024-11-23T01:27:49.0907465-06:00", "lastChangeId": "sample string 38", "lastChangeNode": "sample string 39", "lastChangeDate": "2024-11-23T01:27:49.0907465-06:00", "issuer": { "verb": "sample string 1", "rel": "sample string 2", "uri": "http://webapihelppage3.com" }, "links": [ { "verb": "sample string 1", "rel": "sample string 2", "uri": "http://webapihelppage3.com" }, { "verb": "sample string 1", "rel": "sample string 2", "uri": "http://webapihelppage3.com" } ] }
<Trs xmlns:i="http://www.w3.org/2001/XMLSchema-instance"> <AddDate>2024-11-23T01:27:49.0907465-06:00</AddDate> <AddId>sample string 35</AddId> <AddNode>sample string 36</AddNode> <AssetClassId>1</AssetClassId> <Collateral>sample string 25</Collateral> <CollateralRequirement>5.1</CollateralRequirement> <CounterPartyId>1</CounterPartyId> <CountryId>1</CountryId> <CurrencyType>sample string 7</CurrencyType> <DayCount>ACT_ACT</DayCount> <DefaultDate>2024-11-23T01:27:49.0907465-06:00</DefaultDate> <DefaultType>sample string 27</DefaultType> <FaceValue>6</FaceValue> <FinanceTradeFees>None</FinanceTradeFees> <FirstPaymentDate>2024-11-23T01:27:49.0907465-06:00</FirstPaymentDate> <Frequency>Annual</Frequency> <GuarantorId>1</GuarantorId> <Id>1</Id> <InsurerId>29</InsurerId> <InterestAccrualDate>2024-11-23T01:27:49.0907465-06:00</InterestAccrualDate> <IsAmortizeToZero>true</IsAmortizeToZero> <IsConvertible>true</IsConvertible> <IsDefaulted>true</IsDefaulted> <IsDeleted>true</IsDeleted> <IsEmergingMarket>true</IsEmergingMarket> <IsFXRisk>true</IsFXRisk> <IsFinancePAI>true</IsFinancePAI> <IsMatchedFunding>true</IsMatchedFunding> <IsPIK>true</IsPIK> <IsPayPartialFinancing>true</IsPayPartialFinancing> <IsPrivate>true</IsPrivate> <IsRestructured>true</IsRestructured> <IsSfo>true</IsSfo> <IsSynthetic>true</IsSynthetic> <IsTradedAccrued>true</IsTradedAccrued> <IssueDate>2024-11-23T01:27:49.0907465-06:00</IssueDate> <IssuePrice>1.1</IssuePrice> <Issuer> <Rel>sample string 2</Rel> <Uri>http://webapihelppage3.com/</Uri> <Verb>sample string 1</Verb> </Issuer> <IssuerId>4</IssuerId> <LastChangeDate>2024-11-23T01:27:49.0907465-06:00</LastChangeDate> <LastChangeId>sample string 38</LastChangeId> <LastChangeNode>sample string 39</LastChangeNode> <LeadUnderwriterId>1</LeadUnderwriterId> <Links> <Link> <Rel>sample string 2</Rel> <Uri>http://webapihelppage3.com/</Uri> <Verb>sample string 1</Verb> </Link> <Link> <Rel>sample string 2</Rel> <Uri>http://webapihelppage3.com/</Uri> <Verb>sample string 1</Verb> </Link> </Links> <MaturityDate>2024-11-23T01:27:49.0907465-06:00</MaturityDate> <MaturityDateExpected>2024-11-23T01:27:49.0907465-06:00</MaturityDateExpected> <MaximumNotional>1.1</MaximumNotional> <Notes>sample string 26</Notes> <PayNonBusinessDirection>On</PayNonBusinessDirection> <PayOffsetDays>12</PayOffsetDays> <PayOffsetDirection>After</PayOffsetDirection> <PayOffsetType>BusinessDays</PayOffsetType> <PrimaryRate>1.1</PrimaryRate> <RateOptionId>1</RateOptionId> <RateType>Fixed</RateType> <RegistrationType>sample string 32</RegistrationType> <SecurityId>sample string 11</SecurityId> <SeniorityId>1</SeniorityId> <TotalReturnSwapId>2</TotalReturnSwapId> <TransferAgentId>28</TransferAgentId> <TrsDescription>sample string 10</TrsDescription> <ValueAssetBy>ValueByPar</ValueAssetBy> </Trs>