The <FundSavingsTax> Element

Description

Contains fund savings and tax information on the issue.

Note Available from version 3.5.

<FundSavingsTax
    publication-prospectus = date
    publication-annual-report = date
    publication-semi-annual-report = date
    publication-asset-test = date
    date-prospectus = date
    date-annual-report = date
    date-semi-annual-report = date
    start-date-asset-test = date
    end-date-asset-test = date
    debt-annual-report = decimal
    debt-semi-annual-report = decimal
    debt-asset-test = decimal
    last-nav-before-eusd = decimal
    tis-periodical-adjusted = string
    tis-present = boolean
    tis-value = decimal
    tis-date = date
    tib-value = decimal
    tib-date = date
    tid-value = decimal
    tid-date = date >
</FundSavingsTax>

Attributes

Attribute nameData typeDescription
publication-prospectusdate The prospectus publication date.
publication-annual-reportdate The annual report publication date.
publication-semi-annual-reportdate The semi-annual report publication date.
publication-asset-testdate The asset test publication date.
date-prospectusdate The prospectus date.
date-annual-reportdate The annual report date.
date-semi-annual-reportdate The semi-annual report date.
start-date-asset-testdate The asset test start date.
end-date-asset-testdate The asset test end date.
debt-annual-reportdecimal The direct and indirect debt value for the annual report.
debt-semi-annual-reportdecimal The direct and indirect debt value for the semi-annual report.
debt-asset-testdecimal The asset test value.
last-nav-before-eusddecimal Last net asset value (NAV) before the introduction of the European Savings Directive (EUSD), i.e., 2005/07/01.
tis-periodical-adjustedstring When available, "Periodical" when accrued interest is adjusted over a certain period, or "Infinite" when there is no interest adjustment and the accrued interest is taken for the entire lifetime.
tis-presentboolean Indicates whether the fund manager was willing to disclose full TIS information. If "true", missing values indicate that the information was not yet available, but should be at a later time. Otherwise, missing values are caused by the fund manager not wanting to disclose said values.
tis-valuedecimal The TIS value.
tis-datedate The TIS value date.
tib-valuedecimal The TIB value.
tib-datedate The TIB value date.
tid-valuedecimal The TID value.
tid-datedate The TID value date.

Number of occurences

Once

Occurs within

<Issue> | <Share> | <Trust>

Can contain

<DividendType> (FundSavingsTax) | <RedemptionType> (FundSavingsTax) | <ApplicationThreshold> (FundSavingsTax)