SctiesSttlmTxAllgmtRpt
Mandatory
Pgntn
Mandatory
StmtGnlDtls
Mandatory
AcctOwnr
Optional
SfkpgAcct
Optional
BlckChainAdrOrWllt
Optional
AllgmtDtls
Repetition (0..n)
AcctOwnrTxId
Optional
AcctSvcrTxId
Optional
MktInfrstrctrTxId
Optional
CtrPtyMktInfrstrctrTxId
Optional
PrcrTxId
Optional
TradId
Repetition (0..n)
CmonId
Optional
PoolId
Optional
Repetition (0..n)
SctiesMvmntTp
Mandatory
Pmt
Mandatory
Sts
Optional
PlcOfTrad
Optional
PlcOfClr
Optional
TradDt
Optional
SttlmDt
Mandatory
DealPric
Optional
NbOfDaysAcrd
Optional
FinInstrmId
Mandatory
FinInstrmAttrbts
Optional
TradTxCond
Repetition (0..n)
TpOfPric
Optional
QtyAndAcctDtls
Mandatory
SctiesFincgDtls
Optional
SttlmParams
Mandatory
HldInd
Optional
SctiesTxTp
Mandatory
Code
Cd
Choice
Definition: Securities transaction type expressed as an ISO 20022 code.
Type: SecuritiesTransactionType24Code (String)
Allowed Values:
- AUTO (Auto Collateralisation): Relates to an auto-collateralisation movement.
- BYIY (Buy In): Relates to a buy-in by the market following a delivery transaction failure.
- BSBK (Buy Sell Back): Relates to a buy sell back transaction.
- CNCB (Central Bank Collateral Operation): Relates to a collateral delivery/receipt to a national central bank for central bank credit operations.
- COLI (Collateral In): Relates to a collateral transaction, from the point of view of the collateral taker or its agent.
- COLO (Collateral Out): Relates to a collateral transaction, from the point of view of the collateral giver or its agent.
- CORP (Corporate Action): Relates to a corporate action.
- CONV (Depository Receipt Conversion): Relates to a depository receipt conversion.
- RELE (Depository Receipt Release Cancellation): Relates to a release (into/from local) of depository receipt operation.
- ETFT (Exchange Traded Funds): Relates to an ETF creation or redemption.
- OWNE (External Account Transfer): Relates to an account transfer involving more than one instructing party (message sender) and/or account servicer (messages receiver).
- OWNI (Internal Account Transfer): Relates to an account transfer involving one instructing party (message sender) at one account servicer (messages receiver).
- ISSU (Issuance): Relates to the issuance of a security such as an equity or a depositary receipt.
- MKDW (Mark Down): Relates to the decrease of positions held by an International Central Securities Depository (ICSD) at the common depository due to custody operations (repurchase, pre-release, proceeds of corporate event realigned).
- CLAI (Market Claim): Relates to a market claim.
- MKUP (Mark Up): Relates to the increase of positions held by an International Central Securities Depository (ICSD) at the common depository due to custody operations (repurchase, pre-release, proceeds of corporate event realigned).
- NETT (Netting): Relates to the netting of settlement instructions.
- NSYN (Non Syndicated): Relates to the issue of medium and short term paper (CP, CD, MTN, notes) under a program and without syndication arrangement.
- PAIR (Pair Off): Relates to a pair-off: the transaction is paired off and netted against one or more previous transactions.
- PLAC (Placement): Relates to the placement/new issue of a financial instrument.
- PORT (Portfolio Move): Relates to a portfolio move from one investment manager to another and/or from an account servicer to another. It is generally charged differently than another account transfer, hence the need to identify this type of transfer as such.
- REAL (Realignment): Relates to a realignment of positions.
- REDM (Redemption): Relates to a redemption of funds (funds industry only).
- REPU (Repo): Relates to a repurchase agreement transaction.
- RVPO (Reverse Repurchase Agreement): Relates to a reverse repurchase agreement transaction.
- SECB (Securities Borrowing): Relates to a securities borrowing operation.
- SECL (Securities Lending): Relates to a securities lending operation.
- SBBK (Sell Buy Back): Relates to a sell buy back transaction.
- SUBS (Subscription): Relates to a subscription to funds (funds industry only).
- SWIF (Switch From): Transaction is a change of an investment from one sub-fund to another sub-fund (redemption-leg).
- SWIT (Switch To): Transaction is a change of an investment from one sub-fund to another sub-fund (subscription-leg).
- SYND (Syndicate Underwriters): Relates to the issue of financial instruments through a syndicate of underwriters and a lead manager.
- TRAD (Trade): Relates to the settlement of a trade.
- TRPO (Triparty Repo): Relates to a triparty repurchase agreement.
- TRVO (Triparty Reverse Repo): Relates to a triparty reverse repurchase agreement.
- TURN (Turnaround): Relates to a turnaround: the same security is bought and sold to settle the same day, to or from different brokers.
- REDI (Withdrawal): Relates to the withdrawal of specified amounts from specified subaccounts.
Prtry
Choice
SttlmTxCond
Repetition (0..n)
PrtlSttlmInd
Optional
BnfclOwnrsh
Optional
CshClrSys
Optional
MktClntSd
Optional
Regn
Optional
RpTp
Optional
SctiesRTGS
Optional
StmpDtyTaxBsis
Optional
DlvrgSttlmPties
Optional
RcvgSttlmPties
Optional
SttlmAmt
Optional
OthrAmts
Optional
OthrBizPties
Optional
SplmtryData
Repetition (0..n)