1. 1. INTRODUCTION
    ❱
    1. 1.1. Introduction
    2. 1.2. General
    3. 1.3. FAQs
    4. 1.4. Contributing
    5. 1.5. Guiding principles
    6. 1.6. Examples
  2. 2. SCHEMAS
    ❱
    1. 2.1. account
    2. 2.2. adjustment
    3. 2.3. agreement
    4. 2.4. collateral
    5. 2.5. curve
    6. 2.6. customer
    7. 2.7. derivative
    8. 2.8. derivative_cash_flow
    9. 2.9. exchange_rate
    10. 2.10. guarantor
    11. 2.11. issuer
    12. 2.12. loan
    13. 2.13. loan_transaction
    14. 2.14. security
  3. 3. PROPERTIES
    ❱
    1. 3.1. acc_fv_change_before_taxes
    2. 3.2. acc_fv_change_credit_risk
    3. 3.3. accounting_treatment
    4. 3.4. accrued_interest
    5. 3.5. address_city
    6. 3.6. administration
    7. 3.7. amount
    8. 3.8. annual_debit_turnover
    9. 3.9. arrears_arrangement
    10. 3.10. arrears_balance
    11. 3.11. asset_class
    12. 3.12. asset_liability
    13. 3.13. attachment_point
    14. 3.14. balance
    15. 3.15. base_currency_code
    16. 3.16. base_rate
    17. 3.17. boe_industry_code
    18. 3.18. boe_sector_code
    19. 3.19. break_dates
    20. 3.20. call_dates
    21. 3.21. capital_tier
    22. 3.22. charge
    23. 3.23. clearing_threshold
    24. 3.24. cost_center_code
    25. 3.25. count
    26. 3.26. country_code
    27. 3.27. cqs_irb
    28. 3.28. cqs_standardised
    29. 3.29. credit_impaired
    30. 3.30. credit_support_type
    31. 3.31. csa_id
    32. 3.32. cum_recoveries
    33. 3.33. currency_code
    34. 3.34. customer_id
    35. 3.35. date
    36. 3.36. deal_id
    37. 3.37. detachment_point
    38. 3.38. df_ccp
    39. 3.39. df_cm
    40. 3.40. encumbrance_amount
    41. 3.41. encumbrance_type
    42. 3.42. end_date
    43. 3.43. first_payment_date
    44. 3.44. fitch_lt
    45. 3.45. fitch_st
    46. 3.46. fvh_level
    47. 3.47. guarantee_amount
    48. 3.48. guarantee_scheme
    49. 3.49. guarantee_start_date
    50. 3.50. hqla_class
    51. 3.51. id
    52. 3.52. impairment_amount
    53. 3.53. impairment_status
    54. 3.54. impairment_type
    55. 3.55. implied_vol
    56. 3.56. income_assessment
    57. 3.57. incurred_cva
    58. 3.58. index_composition
    59. 3.59. initial_margin
    60. 3.60. interest_repayment_frequency
    61. 3.61. isin_code
    62. 3.62. issue_date
    63. 3.63. issue_size
    64. 3.64. k_ccp
    65. 3.65. last_exercise_date
    66. 3.66. last_payment_date
    67. 3.67. leg
    68. 3.68. leg_type
    69. 3.69. lei_code
    70. 3.70. limit_amount
    71. 3.71. lnrf_amount
    72. 3.72. margin_frequency
    73. 3.73. margin_period_of_risk
    74. 3.74. maturity_date
    75. 3.75. mic_code
    76. 3.76. minimum_balance_eur
    77. 3.77. minimum_transfer_amount
    78. 3.78. mna_id
    79. 3.79. moodys_lt
    80. 3.80. moodys_st
    81. 3.81. movement
    82. 3.82. mtd_deposits
    83. 3.83. mtd_interest_paid
    84. 3.84. mtd_withdrawals
    85. 3.85. mtm_clean
    86. 3.86. mtm_dirty
    87. 3.87. nace_code
    88. 3.88. name
    89. 3.89. netting_restriction
    90. 3.90. next_payment_date
    91. 3.91. next_withdrawal_date
    92. 3.92. notional_amount
    93. 3.93. number_of_disputes
    94. 3.94. on_balance_sheet
    95. 3.95. originator_id
    96. 3.96. originator_type
    97. 3.97. parent_id
    98. 3.98. position
    99. 3.99. prev_payment_date
    100. 3.100. product_count
    101. 3.101. product_name
    102. 3.102. provision_amount
    103. 3.103. provision_type
    104. 3.104. purpose
    105. 3.105. quote
    106. 3.106. quote_currency_code
    107. 3.107. rate
    108. 3.108. rate_type
    109. 3.109. ref_income_amount
    110. 3.110. regulated
    111. 3.111. regulatory_book
    112. 3.112. rehypothecation
    113. 3.113. relationship
    114. 3.114. repayment_frequency
    115. 3.115. repayment_type
    116. 3.116. reporting_entity_name
    117. 3.117. reporting_id
    118. 3.118. reporting_relationship
    119. 3.119. reversion_date
    120. 3.120. reversion_rate
    121. 3.121. risk_country_code
    122. 3.122. risk_group_id
    123. 3.123. risk_group_id_2
    124. 3.124. risk_profile
    125. 3.125. secured
    126. 3.126. securitisation_type
    127. 3.127. seniority
    128. 3.128. settlement_type
    129. 3.129. sft_type
    130. 3.130. sic_code
    131. 3.131. snp_lt
    132. 3.132. snp_st
    133. 3.133. source
    134. 3.134. ssic_code
    135. 3.135. start_date
    136. 3.136. status
    137. 3.137. stay_protocol
    138. 3.138. stress_change
    139. 3.139. strike
    140. 3.140. threshold
    141. 3.141. trade_date
    142. 3.142. transferable
    143. 3.143. type
    144. 3.144. uk_funding_type
    145. 3.145. underlying_currency_code
    146. 3.146. underlying_index
    147. 3.147. underlying_index_tenor
    148. 3.148. underlying_quantity
    149. 3.149. value
    150. 3.150. value_date
    151. 3.151. version_id
    152. 3.152. withdrawal_penalty

SUADE Documentation

layouttitleschemas
propertyfitch_ltentity,security

fitch_lt


The fitch_lt represents Fitch’s long term credit ratings.

aaa

aa_plus

aa

aa_minus

a_plus

a

a_minus

bbb_plus

bbb

bbb_minus

bb_plus

bb

bb_minus

b_plus

b

b_minus

ccc_plus

ccc

ccc_minus

cc

c

rd

d