CASH |
Cash |
Settlement is to be completed Cash (TOD/T+0). |
NEDA |
Next Day |
Settlement is to be completed on the next Day (TOM/T+1). |
OTHR |
Other |
Other settlement date. |
REGU |
Regular |
Regular is defined as the default settlement period for the particular security on the exchange of execution (for example, T+1 or T+2 depending on currency). |
SEOP |
Seller's Option |
Settlement is to be completed at the seller's option. |
TBAT |
To Be Announced |
Settlement is to be completed as a result of a 'to be announced' trade. |
TPL2 |
T+2 |
Settlement is to be completed at T+2. |
TPL3 |
T+3 |
Settlement is to be completed at T+3. |
TPL4 |
T+4 |
Settlement is to be completed at T+4. |
TPL5 |
T+5 |
Settlement is to be completed at T+5. |
WDIS |
When Distributed |
Settlement is to be completed when the security is distributed. |
WIDI |
When Issued or Distributed |
Settlement is to be completed when the security is issued or when distributed. |
WISS |
When Issued |
Settlement is to be completed when the security is issued. |