This image shows the Credit Default Swaps Tab screen. The screen has fields such as product code and product description. The other category field is main, credit default inbox, credit default swaps, deal type with optional field buy and sell, contract type with optional fields trade, hedge and brokerage allowed. The other category field is default parameters, default type, default number, recovery factor, settlement includes premium, delivery details, security product, security portfolio, delivery type with optional field cash, physical and external. The other category field is premium details, premium type with optional fields advance and arrears. The other category field premium amortization details with optional field is amortization of premium required, premium accrual details with optional field is accrual of premium required, component, start reference, frequency, frequency unit, start day, start weekday, start month, adhere to month end, premium accrual details, with optional field accrual of premium required, frequency, frequency unit, start day, start weekday, start month, numerator method, denominator method and denominator basis are available in middle of the screen. the other category field is revaluation details revaluation source, revaluation level with optional field contact and product, revaluation frequency, revaluation start day, revaluation start weekday, revaluation start month, premium accrual liquidation details, start reference, frequency, frequency unit, start day, start weekday and start month with optional field adhere to month end. The other category filed is rekey fields with optional fields rekey required, contract currency, premium currency, value date and maturity date.