BuyInNtfctn
Mandatory
Optional
ClrMmb
Mandatory
NtfctnDtls
Optional
OrgnlSttlmOblgtn
Mandatory
CSDTxId
Optional
CntrlCtrPtyTxId
Optional
PrvsBuyInId
Optional
DlvryAcct
Optional
SfkpgPlc
Optional
SfkpgAcct
Optional
ClrSgmt
Optional
NonClrMmb
Optional
Mandatory
AltrnId
Optional
AddtlInf
Optional
ClrAcct
Optional
Mandatory
Type
Tp
Mandatory
Definition: Specifies if the account is a House, a Client or a Liquidity Provider (Market Maker) account.
Type: ClearingAccountType1Code (String)
Allowed Values:
- HOUS (House): Specifies that the account is used to register trades executed for either the clearing member or its subsidiaries.
- CLIE (Client): Specifies that the account is used to register trades executed for the clearing member's customers.
- LIPR (Liquidity Provider): Specifies that the account is used to register trades executed for liquidity providers (also known as market maker) activities.
Nm
Optional
IntnddSttlmDt
Optional
FinInstrmId
Mandatory
TradDt
Optional
DealPric
Optional
Qty
Mandatory
Dpstry
Optional
RmngQtyToBeSttld
Optional
SttlmAmt
Mandatory
RmngAmtToBeSttld
Optional
SplmtryData
Repetition (0..n)