1var e={selectAction:"Select a Transaction",buyingEurobond:"Purchase",sellingEurobond:"Sales",continue:"Continue",purchasedQuantity:"Amount of the Transactions to be Bought",sellingQuantity:"Amount of the Transactions to be Sold",numberofSellableShares:"Number of Marketable Stocks",totalAmount:"Total Amount",orderNumber:"Transaction Number",orderPrice:"Transaction Price",selectedAccount:"Select an Account",eurobondInformation:"Eurobond Details",buyingEurobondType:"Eurobond to Buy",sellingEurobondType:"Eurobond to Sell",price:"Transaction Price",quantity:"Quantity",orderType:"Order Type",duration:"Period",dailyDifference:"Daily Difference",successfulOrder:"Your transaction completed successfully.",failOrder:"Your transaction failed.",congratulations:"Congratulations!",sorry:"We are sorry!",seeOrders:"See Asset Distribution",makeNewTransaction:"Perform New Transaction",orderDetails:"Order Details",cancel:"Cancel",approve:"Confirm",amount:"Amount",commission:"Commission",selectEurobondType:"Select Eurobond",pleaseSelectEurobondType:"Please seleact eurobond.",selectPrice:"Select a Price",pleaseSelectPrice:"Please select a price.",selectOrderType:"Select the Order Type",pleaseSelectOrderType:"Please select the order type",selectDuration:"Select a Period.",pleaseSelectDuration:"Please select a period.",pleaseTypeQuantity:"Please enter the quantity.",sellRequestAmount:"Amount of Transactions to be Sold/Nominal Value",buyRequestAmount:"Amount of Transactions to be Bought/Nominal Value",nominal:"Nominal",nominalAmount:"Nominal Value",orderAmount:"Transaction Amount",ratio:"Interest Rate",interestType:"Interest Type",paperType:"Paper Type",viewDetail:"Review the Details for Eurobond",buyingEurobondConfirmHeader:"Source Account Details",sellingEurobondConfirmHeader:"Account Details",fromDetail:"Paid By",bondName:"Security Identification",dueDate:"Maturity Period End",daysToDue:"Term to Maturity",sellingRatio:"Sales Rate",buyingRatio:"Buying Rate",transactionAmount:"Transaction Amount",stoppage:"Withholding Rate",viewCouponDetail:"See Coupon Details",viewReceipt:"View Receipt",buyingAccount:"Account Number",sellingAccount:"Account for Transaction",pleaseSelectQueryType:"Please select.",clearPrice:"Transaction Price",periodGrid:"Maturity of Coupon",interestGrid:"Coupon Rate",amountGrid:"Coupon Value",dayToMaturityGrid:"Number of Days",couponDetail:"Coupon Details",amountRequired:"Please enter an amount.",maxAmountValidation:"Please enter a valid amount.",transactionPrice:"Transaction Price",eurobondNameGrid:"Security Identification",dueDateGrid:"Maturity Period End",remainingDayGrid:"Remaining Days",rateGrid:"Interest Rate",clearPiceGrid:"Clean Price",dirtyPriceGrid:"Dirty Price",eurobondTypeGrid:"Security Type",rateTypeGrid:"Interest Type",couponRateGrid:"Coupon Rate",couponPeriodGrid:"Coupon Period",daysToFirstCouponGrid:"Days to Initial Coupon",availableQuantityGrid:"Current Quantity",WithCoupon:"Couponed",Fixed:"Fixed",selectBondAction:"Select the transaction you want to perform",header:"Eurobond Transactions",viewEurobondInfo:"Details for Eurobond",accounts:"Accounts",Discounted:"Discounted",sellNominal:"First Marketable Nominal",sellFIFOInfo:"If you have a purchase transaction for the same security at different prices, the first nominal you purchased is displayed in the First Marketable Nominal field.",warning:"Warning",OK:"OK",error:"Error",riskNotificationText:"<span>I declare that I have been informed by the bank hereunder about the fact that the product, with respect to which I want to perform a transaction, is not suitable for my risk profile. I also declare explicitly that I want to use this product, which is not suitable for my risk profile, on my own responsibility and obligation.</span>",riskNotificationRequired:"Please approve the declaration of conformity",selectedAccountHasNoSellableEurobond:"There is no Eurobond available for the transaction.",alias:"Account Name",agreementName:"Risk Level Consent Form",rpaApproveText:"<span>I have read, and acknowledge, the <span class='rpaApprove-text-link'>Risk Level Consent Form.</span></span>",couponPeriodRate:"Coupon Rate/Period",daysToNextCoupon:"Days to Initial Coupon",month:"Month",year:"Year",referenceNumber:"Reference Code",eurobondCouponInfo:"Coupon dates refer to the coupon payment dates announced on the issue dates of Fixed Income Securities. In the event of domestic and international holidays and days falling on weekends, the coupon interest on Fixed Income Securities shall be paid on the following business day.",NoAvailableAccountWarning:"You do not have an eligible account for Eurobond transactions.",TechnicalError:"We are unable to process your transaction due to technical reasons. Please try again later."};export{e as default};
Line numbers count LF bytes from the start of the resource, as the search results do. Vendor segments are library code the classifier recognised; they are stored but not indexed. Bytes are shown as Latin1 characters, one per byte.