Model Details

EquityUpdate

Data contract that represents an Equity Update.


Name

Description

Type

Additional Information

CurrencyCode

The ISO currency code

string

Existing payments will need to be reviewed since the currency will be different than the cash currently existing on the bond.

AssetClassId

The class of the asset by ID value

integer

CountryId

The legal country of this asset by ID value

integer

DataFeedId

The data feed source listed by ID value

integer

Description

The description/name of the asset

string

EquityType

The equity type

string

Exchange

The name of the exchange where the asset is traded

string

GuarantorId

The guarantor for the asset by ID value

integer

HasAttachedWarrants

The flag indicating if the equity asset has attached warrants.

boolean

HasFXRisk

The flag indicating if the asset has foreign exchange risk

boolean

HolidayCalendarId

The holiday calendar for the asset by ID value

integer

InsurerId

The insurer of the asset by ID value

integer

IsConvertible

The flag indicating if the asset is convertible

boolean

IsDRIP

The flag indicating if the asset has a dividend reinvestment plan (DRIP)

boolean

IsEmergingMarket

The flag indicating if the asset is from an emerging market

boolean

IsPrivate

The flag indicating if it is a private security

boolean

IsRestructured

The flag indicating if the security has been restructured since it was initially issued

boolean

IsStructuredFinanceObligation

The flag indicating if the equity asset belongs to a structured finance obligation

boolean

IssueDate

The date that the asset was issued

date

IssuePrice

The original price at which the asset was issued

decimal number

IsSynthetic

The flag indicating if this a synthetic security

boolean

Notes

The notes regarding the asset

string

OptionExpirationDate

The expiration date of the option period

date

OptionStrikePrice

The strike price of the option

decimal number

OptionType

The option type

string

RegistrationType

The registration type

string

SeniorityId

The seniority level of the asset by ID value

integer

SharesOffered

The number of shares offered at issuance

integer

TransferAgentId

The transfer agent listed by ID value

integer

UnderwriterId

The lead underwriter listed by ID value

integer