SecuritiesBalanceTransparencyReportV02semt.041.001.02

Mandatory
Mandatory
Mandatory
Optional
Pgntn
Mandatory
Mandatory
Repetition (0..n)
Mandatory
AcctOwnr
Mandatory
AcctSvcr
Mandatory
BnfclOwnr
Repetition (0..n)
BalDtls
Repetition (0..n)
AcctSubLvl1
Repetition (0..n)
Mandatory
AcctOwnr
Mandatory
AcctSvcr
Mandatory
BnfclOwnr
Repetition (0..n)
BalDtls
Repetition (0..n)
AcctSubLvl2
Repetition (0..n)
Repetition (0..n)
Mandatory
Repetition (1..n)
ItmDt
Mandatory
Hldgs
Mandatory
Choice
HldgBal
Choice
SttldBal
Optional
TraddBal
Optional
BalBrkdwn
Repetition (0..n)
SubBalTp
Mandatory

Code

Cd
Choice

Definition: Reason a financial instrument is not available or additional information about the financial instrument for which the balance is given, for example, unregistered, registered in nominee name.

Type: SecuritiesBalanceType14Code (String)

Allowed Values:

  • AWAS (Available With No Additional Status): Balance of financial instruments that are freely available with no specific additional status.
  • BTRA (Being Transferred): Financial instrument is unavailable as a result of a transfer order, pending movement in the shareholders' register.
  • BLOK (Blocked): Balance of financial instruments that are blocked.
  • BLOV (Blocked Authenticity): Balance of financial instruments that are blocked for verification of authenticity.
  • BLCA (Blocked Corporate Action): Balance of financial instrument blocked following a corporate action, including proxy activities.
  • BLOT (Blocked Trading): Balance of financial instruments that are blocked for trading.
  • BORR (Borrowed): Balance of financial instruments that have been borrowed from another party.
  • OPNT (Overdue Net Pending): Net balance of financial instrument that is traded pending settlement and settlement is overdue.
  • PNET (Net Pending): Net balance of financial instrument that is traded pending settlement.
  • COLI (Collateral In): Balance of securities that belong to a third party and that are held for the purpose of collateralisation.
  • COLO (Collateral Out): Balance of securities that belong to the safekeeping account indicated within this
  • MARG (Derivatives Margin): Account is used when financing is by the broker/dealer.
  • DRAW (Drawn): Settlement transactions relates to drawn securities.
  • TRAN (In Transshipment): Transaction has been generated due to transformation following a corporate action.
  • LOAN (On Loan): Loan for consumption.
  • REGO (Out For Registration): Balance of financial instruments currently being processed by the institution responsible for registering the new beneficial owner (or nominee).
  • BODE (Pending Borrowed Delivery): Balance of financial instruments that are pending delivery in relation to a borrow transaction.
  • BORE (Pending Borrowed Receipt): Balance of financial instruments that are pending receipt in relation to a borrow transaction.
  • PEDA (Pending Corporate Action Delivery): Balance of financial instrument pending delivery following a corporate action.
  • PECA (Pending Corporate Action Receipt): Balance of financial instrument pending receipt following a corporate action.
  • PEND (Pending Delivery): Processing has not been completed.
  • LODE (Pending On Loan Delivery): Balance of financial instruments that are pending delivery in relation to a lending transaction.
  • LORE (Pending On Loan Receipt): Balance of financial instruments that are pending receipt in relation to a lending transaction.
  • PENR (Pending Receipt): The instruction is pending receipt of securities, for example, from a purchase, loan etc.
  • PLED (Pledged): Balance of securities that belong to and is kept in the safekeeping account indicated within this message, and that are pledged.
  • RSTR (Restricted): Balance of financial instruments that may only be sold under certain conditions or require legal documents.
  • OTHR (Unclassified): Other. See Narrative.
  • WDOC (Waiting Documentation): Financial instrument is unavailable due to missing or incomplete documentation pertaining to the account, or due to a missing or incomplete order. GRP1 PurchasedInvestmentFundTaxGroupUnit1 Purchased investment fund units that were purchased prior to the last ex-div date.
  • GRP1
  • GRP2

Prtry
Choice
Qty
Mandatory
Pric
Repetition (0..n)
SplmtryData
Repetition (0..n)
SplmtryData
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Repetition (0..n)
SplmtryData
Repetition (0..n)
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