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mtm_term = [
"Swap ID",
"Allocation ID",
"Description",
"Broker Id",
"DTCC CounterParty ID",
"Trade ID",
"Trade Date",
"Effective Date",
"Settle Date",
"Maturity Date",
"Account Abbreviation",
"1st Leg Notional",
"Currency Code",
"1st Leg Rate",
"Initial Payment",
"Initial Payment Currency",
"Payment Frequency Description",
"Original Issue Date",
"Interest Payment Method Description",
"First Payment Date",
"Product Type",
"Product Sub Type",
"Transaction Type",
"Protection",
"Transaction Code",
"Remaining Party",
"DTCC Remaining CounterParty ID",
]
mtm_swaption = [
"Swap ID",
"Broker Id",
"Trade ID",
"Trade Date",
"Settle Date",
"Supplement Date",
"Supplement 2 Date",
"Maturity Date",
"Account Abbreviation",
"1st Leg Notional",
"Currency Code",
"1st Leg Rate",
"Initial Payment Currency",
"Initial Payment",
"Product Type",
"Transaction Type",
"Transaction Code",
"Independent Amount (%)",
"RED",
"Issuer Name",
"Entity Matrix",
"Definitions Type",
"Swaption Expiration Date",
"Strike Price",
"Swaption Settlement Type",
"Master Document Date",
"OptionBuySellIndicator",
"Clearing House",
"Protection",
"Swaption Quotation Rate Type",
"Effective Date",
]
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