PriceReportCancellationV04reda.002.001.04

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PoolRef
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XpctdPricCrrctnDt
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Repetition (0..n)
PricValtnDtls
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NAVDtTm
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TtlNAV
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TtlUnitsNb
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ValtnTp
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ValtnFrqcy
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PricDtls
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Type

Tp
Mandatory

Definition: Type and information about a price.

Type: TypeOfPrice9Code (String)

Allowed Values:

  • BIDE (Bid): Price is the calculated bid price of a dual-priced fund (offer-bid prices), that is, the selling price of the units for the investor.
  • OFFR (Offer): Price is the calculated offer price of a dual-priced investment fund (offer-bid prices), that is, the buying price of the units for an investor.
  • NAVL (Net Asset Value): Price is the net asset value per unit that is used either as a transacting price for a
  • CREA (Creation): Price is the calculated creation price of a dual-priced investment fund (creation- cancellation prices) and the highest possible buying price of the units before the initial charge. The actual buying or offer price, which includes charges, will be higher.
  • CANC (Cancellation): Price is the calculated cancellation price of a dual-priced investment fund (creation-cancellation price), and the lowest possible valuation of the units on any one-day. The actual selling or bid price is usually higher.
  • INTE (Interim): Price is the non-official interim price given to an investor before the executed price.
  • SWNG (Swing): Price is the calculated net asset value price of a single-priced investment fund. The price is adjusted to take into account the dealing costs due to individual large deals, or due to a significant imbalance in volumes of subscriptions vs redemptions, as an alternative to dilution levy.
  • MIDD (Mid): Price is the average price between the bid and offer prices.
  • RINV (Reinvestment): Price is the price used when reinvesting units after distribution.
  • SWIC (Switch): Price is the price used when transferring units between products.
  • DDVR (Daily Dividend Rate): Price is the net income of a financial instrument, calculated on each dealing day, and divided by all the units outstanding on that day.
  • ACTU (Actual): True offer price.
  • NAUP (Non Adjusted Unpublished): The original NAV before the price of the investment fund was swung.
  • GUAR (Guaranteed): Price is a guaranteed price.
  • ENAV (Estimated NAV): Price is an estimated net asset value per unit.

XtndedTp
Mandatory
PricMtd
Optional
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ClctnBsis
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NbOfDaysAcrd
Optional
TaxblIncmPerShr
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TaxblIncmPerDvdd
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EUDvddSts
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XtndedEUDvddSts
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ChrgDtls
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TaxLbltyDtls
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TaxRfndDtls
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ValtnSttstcs
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PrfrmncDtls
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Xtnsn
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