SctiesBalCtdyRpt
Mandatory
Pgntn
Mandatory
StmtGnlDtls
Mandatory
AcctOwnr
Optional
AcctSvcr
Optional
SfkpgAcct
Optional
BlckChainAdrOrWllt
Optional
IntrmyInf
Repetition (0..10)
BalForAcct
Repetition (0..n)
SubAcctDtls
Repetition (0..n)
AcctOwnr
Optional
SfkpgAcct
Optional
BlckChainAdrOrWllt
Optional
ActvtyInd
Mandatory
BalForSubAcct
Repetition (0..n)
FinInstrmId
Mandatory
FinInstrmAttrbts
Optional
InvstmtFndsFinInstrmAttrbts
Optional
ClssTp
Optional
SctiesForm
Optional
DstrbtnPlcy
Optional
PdctGrp
Optional
UmbrllNm
Optional
BaseCcy
Optional
DnmtnCcy
Optional
Requested NAV Currency
ReqdNAVCcy
Optional
Definition: Currency to be used for pricing the fund. This currency must be among the set of currencies in which the price may be expressed, as stated in the prospectus.
Type: ActiveOrHistoricCurrencyCode (String)
Restrictions:
- Pattern: [A-Z]{3,3}
DualFndInd
Optional
CtryOfDmcl
Optional
RegdDstrbtnCtry
Repetition (0..n)
ValtnHrcutDtls
Optional
AggtBal
Mandatory
AvlblBal
Optional
NotAvlblBal
Optional
SfkpgPlc
Optional
CorpActnOptnTp
Optional
PricDtls
Repetition (0..n)
FXDtls
Repetition (0..n)
DaysAcrd
Optional
AcctBaseCcyAmts
Optional
InstrmCcyAmts
Optional
QtyBrkdwn
Repetition (0..n)
BalBrkdwn
Repetition (0..n)
AddtlBalBrkdwn
Repetition (0..n)
BalAtSfkpgPlc
Repetition (0..n)
HldgAddtlDtls
Optional
SplmtryData
Repetition (0..n)
AcctBaseCcyTtlAmts
Optional