1
|
Unique Trade Identifier (UTI)
|
Up to 52 alphanumeric character code including four special characters:
Only upper-case alphabetic characters A-Z and the digits 0-9, inclusive in both cases, are allowed.
|
2
|
Report tracking number
|
Up to 52 alphanumeric character code including four special characters:
Only upper-case alphabetic characters A-Z and the digits 0-9, inclusive in both cases, are allowed.
|
3
|
Event date
|
ISO 8601 date in the format YYYY-MM-DD
|
4
|
Type of SFT
|
"SLEB" - securities or commodities lending or securities or commodities borrowing
"SBSC" - buy-sell back transaction or sell-buy back transaction
"REPO" - repurchase transaction
"MGLD" - margin lending transaction
|
5
|
Cleared
|
"true"
"false"
|
6
|
Clearing timestamp
|
ISO 8601 date in the format and Coordinated Universal Time (UTC) time format, i.e. YYYY-MM-DDThh:mm:ssZ
|
7
|
CCP
|
ISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
|
8
|
Trading venue
|
ISO 10383 Market Identifier Code (MIC), 4 alphanumeric characters.
Where segmental MICs exist for a trading venue, the segmental MIC shall be used.
|
9
|
Master agreement type
|
"MRAA" - MRA
"GMRA" - GMRA
"MSLA" - MSLA
"GMSL" - GMSLA
"ISDA" - ISDA
"DERP" - Deutscher Rahmenvertrag für Wertpapierpensionsgeschäfte
"CNBR" - China Bond Repurchase Master Agreement,
"KRRA" - Korea Financial Investment Association (KOFIA) Standard Repurchase Agreement
"CARA" - Investment Industry Regulatory Organization of Canada (IIROC) Repurchase/Reverse Repurchase Transaction Agreement
"FRFB" - Convention-Cadre Relative aux Operations de Pensions Livrees,
"CHRA" -Swiss Master Repurchase Agreement
"DEMA" - German Master Agreement
"JPBR" - Japanese Master Agreement on the Transaction with Repurchase Agreement of the Bonds
"ESRA" - Contrato Marco de compraventa y Reporto de valores
"OSLA" - Overseas Securities Lending Agreement (OSLA)
"MEFI" - Master Equity and Fixed Interest Stock Lending Agreement (MEFISLA)
"GESL" - Gilt Edged Stock Lending Agreement (GESLA)
"KRSL" - Korean Securities Lending Agreement (KOSLA)
"DERD" - Deutscher Rahmenvertrag für Wertpapierdarlehen
"AUSL" - Australian Masters Securities Lending Agreement (AMSLA)
"JPBL" - Japanese Master Agreement on Lending Transaction of Bonds
"JPSL" - Japanese Master Agreement on the Borrowing and Lending Transactions of Share Certificates
"BIAG" - bilateral agreement
"CSDA" - CSD bilateral agreement
Or "OTHR" if the master agreement type is not included in the above list
|
10
|
Other master agreement type
|
Up to 50 alphanumeric characters.
|
11
|
Master agreement version
|
ISO 8601 date in the format YYYY
|
12
|
Execution timestamp
|
ISO 8601 date in the format and Coordinated Universal Time (UTC) time format, i.e. YYYY-MM-DDThh:mm:ssZ
|
13
|
Value date (Start date)
|
ISO 8601 date in the format YYYY-MM-DD
|
14
|
Maturity date (End date)
|
ISO 8601 date in the format YYYY-MM-DD
|
15
|
Termination date
|
ISO 8601 date in the format YYYY-MM-DD
|
16
|
Minimum notice period
|
Integer field up to 3 digits.
|
17
|
Earliest call-back date
|
ISO 8601 date in the format YYYY-MM-DD
|
18
|
General collateral Indicator
|
"SPEC" - specific collateral
"GENE" - general collateral
|
19
|
Delivery By Value ("DBV") indicator
|
"true"
"false"
|
20
|
Method used to provide collateral
|
"TTCA"- title transfer collateral arrangement
"SICA"- securities financial collateral arrangement
"SIUR"- securities financial collateral arrangement with the right of use
|
21
|
Open term
|
"true"
"false"
|
22
|
Termination optionality
|
"EGRN" - evergreen
"ETSB" - extendable
"NOAP" - non applicable
|
In the case of margin lending, the attributes listed in fields 23-34 shall be repeated and completed for each currency used in the margin loan.
|
23
|
Fixed rate
|
Up to 11 numeric characters including up to 10 decimals expressed as percentage where 100 % is represented as "100".
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
24
|
Day count convention
|
The code representing day count convention:
"A001" - IC30360ISDAor30360AmericanBasicRule
"A002" - IC30365
"A003" - IC30Actual
"A004" - Actual360
"A005" - Actual365Fixed
"A006" - ActualActualICMA
"A007" - IC30E360orEuroBondBasismodel1
"A008" - ActualActualISDA
"A009" - Actual365LorActuActubasisRule
"A010" - ActualActualAFB
"A011" - IC30360ICMAor30360basicrule
"A012" - IC30E2360orEurobondbasismodel2
"A013" - IC30E3360orEurobondbasismodel3
"A014" - Actual365NL
Or up to 35 alphanumeric characters if the day count convention is not included in the above list.
|
25
|
Floating rate
|
The code representing the floating rate index
"EONA" - EONIA
"EONS" - EONIA SWAP
"EURI" - EURIBOR
"EUUS" - EURODOLLAR
"EUCH" - EuroSwiss
"GCFR" - GCF REPO
"ISDA" - ISDAFIX
"LIBI" - LIBID
"LIBO" - LIBOR
"MAAA" - Muni AAA
"PFAN" - Pfandbriefe
"TIBO" - TIBOR
"STBO" - STIBOR
"BBSW" - BBSW
"JIBA" - JIBAR
"BUBO" - BUBOR
"CDOR" - CDOR
"CIBO" - CIBOR
"MOSP" - MOSPRIM
"NIBO" - NIBOR
"PRBO" - PRIBOR
"TLBO" - TELBOR
"WIBO" - WIBOR
"TREA" - Treasury
"SWAP" - SWAP
"FUSW" - Future SWAP
Or up to 25 alphanumeric characters if the reference rate is not included in the above list.
|
26
|
Floating rate reference period - time period
|
Time period describing reference period, whereby the following abbreviations apply:
"YEAR" - Year
"MNTH" - Month
"WEEK" - Week
"DAYS" - Day
|
27
|
Floating rate reference period - multiplier
|
Integer multiplier of the time period describing reference period of the floating rate.
Up to 3 numeric characters.
|
28
|
Floating rate payment frequency - time period
|
Time period describing how often the counterparties exchange payments, whereby the following abbreviations apply:
"YEAR" - Year
"MNTH" - Month
"WEEK" - Week
"DAYS" - Day
|
29
|
Floating rate payment frequency - multiplier
|
Integer multiplier of the time period describing how often the counterparties exchange payments.
Up to 3 numeric characters.
|
30
|
Floating rate reset frequency - time period
|
Time period describing how often the counterparties reset the floating repo rate, whereby the following abbreviations apply:
"YEAR" - Year
"MNTH" - Month
"WEEK" - Week
"DAYS" - Day
|
31
|
Floating rate reset frequency - multiplier
|
Integer multiplier of the time period describing how often the counterparties reset the floating repo rate.
Up to 3 numeric characters.
|
32
|
Spread
|
Up to 5 numeric characters.
|
33
|
Margin lending currency amount
|
Up to 18 numeric characters including up to 5 decimals.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
34
|
Margin lending currency
|
ISO 4217 Currency Code, 3 alphabetic characters.
|
Fields 35-36 shall be repeated and completed for each floating rate adjustment.
|
35
|
Adjusted rate
|
Up to 11 numeric characters including up to 10 decimals expressed as percentage where 100 % is represented as "100".
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
36
|
Rate date
|
ISO 8601 date in the format YYYY-MM-DD
|
37
|
Principal amount on the value date
|
Up to 18 numeric characters including up to 5 decimals.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
38
|
Principal amount on the maturity date
|
Up to 18 numeric characters including up to 5 decimals.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
39
|
Principal amount currency
|
ISO 4217 Currency Code, 3 alphabetic characters.
|
40
|
Type of asset
|
"SECU" - Securities
"COMM" - Commodities
|
41
|
Security identifier
|
ISO 6166 ISIN 12 character alphanumeric code.
|
42
|
Classification of a security
|
ISO 10692 CFI, 6 characters alphabetical code.
|
Where a commodity was lent or borrowed, the classification of that commodity shall be specified in fields 43, 44 and 45.
|
43
|
Base product
|
Only values in the "Base product" column of the classification of commodities derivatives table are allowed.
|
44
|
Sub - product
|
Only values in the "Sub - product" column of the classification of commodities derivatives table are allowed.
|
45
|
Further sub - product
|
Only values in the "Further sub - product" of the classification of commodities derivatives table are allowed.
|
46
|
Quantity or nominal amount
|
Up to 18 numeric characters including up to 5 decimals.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
47
|
Unit of measure
|
"KILO" - Kilogram, "PIEC" - Piece, "TONS" - Ton, "METR" - Metre, "INCH" - Inch, "YARD" - Yard, "GBGA" - GBGallon, "GRAM" - Gram, "CMET" - Centimetre, "SMET" - SquareMetre, "FOOT" - Foot, "MILE" - Mile, "SQIN" - SquareInch, "SQFO" - SquareFoot, "SQMI" - SquareMile, "GBOU" - GBOunce, "USOU" - USOunce, "GBPI" - GBPint, "USPI" - USPint, "GBQA" - GBQuart, "USQA" - USQuart, "USGA" - USGallon, "MMET" - Millimetre, "KMET" - Kilometre, "SQYA" - SquareYard, "ACRE" - Acre, "ARES" - Are, "SMIL" - SquareMillimetre, "SCMT" - SquareCentimetre, "HECT" - Hectare, "SQKI" - SquareKilometre, "MILI" - MilliLitre, "CELI" - Centilitre, "LITR" - Litre, "PUND" - Pound, "ALOW" - Allowances, "ACCY" - AmountOfCurrency, "BARL" - Barrels, "BCUF" - BillionCubicFeet, "BDFT" - BoardFeet, "BUSL" - Bushels, "CEER" - CertifiedEmissionsReduction, "CLRT" - ClimateReserveTonnes, "CBME" - CubicMeters, "DAYS" - Days, "DMET" - DryMetricTons, "ENVC" - EnvironmentalCredit, "ENVO" - EnvironmentalOffset, "HUWG" - Hundredweight, "KWDC" - KilowattDayCapacity, "KWHO" - KilowattHours, "KWHC" - KilowattHoursCapacity, "KMOC" - KilowattMinuteCapacity, "KWMC" - KilowattMonthCapacity, "KWYC" - KilowattYearCapacity, "MWDC" - MegawattDayCapacity, "MWHO" - MegawattHours, "MWHC" - MegawattHoursCapacity, "MWMC" - MegawattMinuteCapacity, "MMOC" - MegawattMonthCapacity, "MWYC" - MegawattYearCapacity, "TONE" - MetricTons, "MIBA" - MillionBarrels, "MBTU" - OneMillionBTU, "OZTR" - TroyOunces, "UCWT" - USHundredweight, "IPNT" - IndexPoint, "PWRD" - PrincipalWithRelationToDebtInstrument, "DGEU" - DieselGallonEquivalent, "GGEU" - GasolineGallonEquivalent, "TOCD" - TonsOfCarbonDioxide.
|
48
|
Currency of nominal amount
|
ISO 4217 Currency Code, 3 alphabetic characters.
|
49
|
Security or commodity price
|
Up to 18 numeric characters including up to 5 decimals in case the price is expressed units.
Up to 11 numeric characters including up to 10 decimals in case the price is expressed as percentage or yield.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
50
|
Price currency
|
ISO 4217 Currency Code, 3 alphabetic characters.
|
51
|
Security quality
|
"INVG" - Investment grade
"NIVG" - Non-investment grade
"NOTR" - Non-rated
"NOAP" - Not applicable
|
52
|
Maturity of the security
|
ISO 8601 date in the format YYYY-MM-DD
|
53
|
Jurisdiction of the issuer
|
ISO 3166-1 alpha-2 country code, 2 alphabetic characters.
|
54
|
LEI of the issuer
|
ISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
|
55
|
Security type
|
"GOVS" - Government securities
"SUNS" - Supra-nationals and agencies securities
"FIDE" - Debt securities (including covered bonds) issued by banks and other financial institutions
"NFID" - Corporate debt securities (including covered bonds) issued by non-financial institutions
"SEPR" - Securitized products (including CDO, CMBS, ABCP)
"MEQU" - Main index equities (including convertible bonds)
"OEQU" - Other equities (including convertible bonds)
"OTHR"- Other assets (including shares in mutual funds)
|
56
|
Loan value
|
Up to 18 numeric characters including up to 5 decimals.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
57
|
Market value
|
Up to 18 numeric characters including up to 5 decimals.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
58
|
Fixed rebate rate
|
Up to 11 numeric characters including up to 10 decimals expressed as percentage where 100 % is represented as "100".
The negative symbol, if populated, shall not be counted as a numerical character.
|
59
|
Floating rebate rate
|
The code representing the floating rate index
"EONA" - EONIA
"EONS" - EONIA SWAP
"EURI" - EURIBOR
"EUUS" - EURODOLLAR
"EUCH" - EuroSwiss
"GCFR" - GCF REPO
"ISDA" - ISDAFIX
"LIBI" - LIBID
"LIBO" - LIBOR
"MAAA" - Muni AAA
"PFAN" - Pfandbriefe
"TIBO" - TIBOR
"STBO" - STIBOR
"BBSW" - BBSW
"JIBA" - JIBAR
"BUBO" - BUBOR
"CDOR" - CDOR
"CIBO" - CIBOR
"MOSP" - MOSPRIM
"NIBO" - NIBOR
"PRBO" - PRIBOR
"TLBO" - TELBOR
"WIBO" - WIBOR
"TREA" - Treasury
"SWAP" - SWAP
"FUSW" - Future SWAP
Or up to 25 alphanumeric characters if the reference rate is not included in the above list
|
60
|
Floating rebate rate reference period - time period
|
Time period describing reference period, whereby the following abbreviations apply:
"YEAR" - Year
"MNTH" - Month
"WEEK" - Week
"DAYS" - Day
|
61
|
Floating rebate rate reference period - multiplier
|
Integer multiplier of the time period describing reference period of the floating rebate rate.
Up to 3 numeric characters.
|
62
|
Floating rebate rate payment frequency - time period
|
Time period describing how often the counterparties exchange payments, whereby the following abbreviations apply:
"YEAR" - Year
"MNTH" - Month
"WEEK" - Week
"DAYS" - Day
|
63
|
Floating rebate rate payment frequency - multiplier
|
Integer multiplier of the time period describing how often the counterparties exchange payments.
Up to 3 numeric characters.
|
64
|
Floating rebate rate reset frequency - time period
|
Time period describing how often the counterparties reset the floating rebate rate, whereby the following abbreviations apply:
"YEAR" - Year
"MNTH" - Month
"WEEK" - Week
"DAYS" - Day
|
65
|
Floating rebate rate reset frequency - multiplier
|
Integer multiplier of the time period describing how often the counterparties reset the floating rebate rate.
Up to 3 numeric characters.
|
66
|
Spread of the rebate rate
|
Up to 5 numeric characters.
|
67
|
Lending fee
|
Up to 11 numeric characters including up to 10 decimals expressed as percentage where 100 % is represented as "100".
|
68
|
Exclusive arrangements
|
"true"
"false"
|
69
|
Outstanding margin loan
|
Up to 18 numeric characters including up to 5 decimals.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
70
|
Base currency of outstanding margin loan
|
ISO 4217 Currency Code, 3 alphabetic characters.
|
71
|
Short market value
|
Up to 18 numeric characters including up to 5 decimals.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
Collateral data
|
72
|
Uncollateralised Securities Lending ("SL") flag
|
"true"
"false"
|
73
|
Collateralisation of net exposure
|
"true"
"false"
|
74
|
Value date of the collateral
|
ISO 8601 date in the format YYYY-MM-DD
|
Where specific collateral was used, fields 75 to 94 shall be repeated and completed for each component of collateral, where applicable.
|
75
|
Type of collateral component
|
"SECU" - Securities
"COMM" - Commodities (only for repos, securities and commodities lending and borrowing and buy-sell backs)
"CASH" - Cash
|
Where cash was used as collateral, this shall be specified in fields 76 and 77.
|
76
|
Cash collateral amount
|
Up to 18 numeric characters including up to 5 decimals.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
77
|
Cash collateral currency
|
ISO 4217 Currency Code, 3 alphabetic characters.
|
78
|
Identification of a security used as collateral
|
ISO 6166 ISIN 12 character alphanumeric code.
|
79
|
Classification of a security used as collateral
|
ISO 10692 CFI, 6 characters alphabetical code.
|
Where a commodity was used as collateral, the classification of that commodity shall be specified in fields 80, 81 and 82.
|
80
|
Base product
|
Only values in the "Base product" column of the classification of commodities derivatives table are allowed.
|
81
|
Sub - product
|
Only values in the "Sub - product" column of the classification of commodities derivatives table are allowed.
|
82
|
Further sub - product
|
Only values in the "Further sub - product" of the classification of commodities derivatives table are allowed.
|
83
|
Collateral quantity or nominal amount
|
Up to 18 numeric characters including up to 5 decimals.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
84
|
Collateral unit of measure
|
"KILO" - Kilogram, "PIEC" - Piece, "TONS" - Ton, "METR" - Metre, "INCH" - Inch, "YARD" - Yard, "GBGA" - GBGallon, "GRAM" - Gram, "CMET" - Centimetre, "SMET" - SquareMetre, "FOOT" - Foot, "MILE" - Mile, "SQIN" - SquareInch, "SQFO" - SquareFoot, "SQMI" - SquareMile, "GBOU" - GBOunce, "USOU" - USOunce, "GBPI" - GBPint, "USPI" - USPint, "GBQA" - GBQuart, "USQA" - USQuart, "USGA" - USGallon, "MMET" - Millimetre, "KMET" - Kilometre, "SQYA" - SquareYard, "ACRE" - Acre, "ARES" - Are, "SMIL" - SquareMillimetre, "SCMT" - SquareCentimetre, "HECT" - Hectare, "SQKI" - SquareKilometre, "MILI" - MilliLitre, "CELI" - Centilitre, "LITR" - Litre, "PUND" - Pound, "ALOW" - Allowances, "ACCY" - AmountOfCurrency, "BARL" - Barrels, "BCUF" - BillionCubicFeet, "BDFT" - BoardFeet, "BUSL" - Bushels, "CEER" - CertifiedEmissionsReduction, "CLRT" - ClimateReserveTonnes, "CBME" - CubicMeters, "DAYS" - Days, "DMET" - DryMetricTons, "ENVC" - EnvironmentalCredit, "ENVO" - EnvironmentalOffset, "HUWG" - Hundredweight, "KWDC" - KilowattDayCapacity, "KWHO" - KilowattHours, "KWHC" - KilowattHoursCapacity, "KMOC" - KilowattMinuteCapacity, "KWMC" - KilowattMonthCapacity, "KWYC" - KilowattYearCapacity, "MWDC" - MegawattDayCapacity, "MWHO" - MegawattHours, "MWHC" - MegawattHoursCapacity, "MWMC" - MegawattMinuteCapacity, "MMOC" - MegawattMonthCapacity, "MWYC" - MegawattYearCapacity, "TONE" - MetricTons, "MIBA" - MillionBarrels, "MBTU" - OneMillionBTU, "OZTR" - TroyOunces, "UCWT" - USHundredweight, "IPNT" - IndexPoint, "PWRD" - PrincipalWithRelationToDebtInstrument, "DGEU" - DieselGallonEquivalent, "GGEU" - GasolineGallonEquivalent, "TOCD" - TonsOfCarbonDioxide.
|
85
|
Currency of collateral nominal amount
|
ISO 4217 Currency Code, 3 alphabetic characters.
|
86
|
Price currency
|
ISO 4217 Currency Code, 3 alphabetic characters.
|
87
|
Price per unit
|
Up to 18 numeric characters including up to 5 decimals in case the price is expressed in units.
Up to 11 numeric characters including up to 10 decimals in case the price is expressed as percentage or yield.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
88
|
Collateral market value
|
Up to 18 numeric characters including up to 5 decimals.
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
89
|
Haircut or margin
|
Up to 11 numeric characters including up to 10 decimals expressed as percentage where 100 % is represented as "100".
The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.
|
90
|
Collateral quality
|
"INVG" - Investment grade
"NIVG" - Non-investment grade
"NOTR" - Non-rated
"NOAP" - Not applicable
|
91
|
Maturity date of the security
|
ISO 8601 date in the format YYYY-MM-DD
|
92
|
Jurisdiction of the issuer
|
ISO 3166-1 alpha-2 country code, 2 alphabetic characters.
|
93
|
LEI of the issuer
|
ISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
|
94
|
Collateral type
|
"GOVS" - Government securities
"SUNS" - Supra-nationals and agencies securities
"FIDE" - Debt securities (including covered bonds) issued by banks and other financial institutions
"NFID" - Corporate debt securities (including covered bonds) issued by non-financial institutions
"SEPR" - Securitized products (including CDO, CMBS, ABCP)
"MEQU" - Main index equities (including convertible bonds)
"OEQU" - Other equities (including convertible bonds)
"OTHR"- Other assets (including shares in mutual funds)
|
95
|
Availability for collateral reuse
|
"true"
"false"
|
Field 96 shall be specified in the case where a collateral basket was used. The detailed allocation of collateral for SFTs transacted against a collateral pool shall be specified in fields 75 to 94 when available.
|
96
|
Collateral basket identifier
|
ISO 6166 ISIN 12 character alphanumeric code, or
"NTAV"
|
97
|
Portfolio code
|
52 alphanumeric character code including four special characters:
.- _.
Special characters are not allowed at the beginning and at the end of the code. No space allowed.
|
98
|
Action type
|
"NEWT" - New
"MODI" - Modification
"VALU" - Valuation
"COLU" - Collateral update
"EROR" - Error
"CORR" - Correction
"ETRM" - Termination/Early Termination
"POSC" - Position component
|
99
|
Level
|
"TCTN" - Transaction
"PSTN" - Position
|