MT 513 Field Specifications

26. Field 22F: Indicator: Type of Price

FORMAT

Option F :4!c/[8c]/4!c (Qualifier) (Data Source Scheme) (Indicator)

PRESENCE

Optional

QUALIFIER

(Error code(s): T89)

Order M/O Qualifier R/N CR Options Qualifier Description
1 O PRIC N   F Type of Price

DEFINITION

This qualified generic field specifies:

PRIC Type of price identified in the deal price.

CODES

If Data Source Scheme is not present, Indicator must contain one of the following codes : (Error code(s): K22):

AVER The price is an average execution price relating to partial fills.
AVOV In partial fills, the deal price is an override of the average price.
COMB Combined Expenses. It is used in the UK market.
FAVG Weighted average price of the benchmark prices at the time of each partial fill.
GREX Gross execution price. The price is an all inclusive price, ie, including all charges, fees and taxes.
MAVG Weighted average price of all market executions during the completion of the order.
NDIS Net to client disclosed. It is used in the UK market.
NET1 The price is a net price ie, net of all charges, fees, taxes.
NET2 The price is a net price net only of local broker's commission, local fees, local taxes, etc.
NOGR Notional Gross. It is used in the UK market.
NUND Net to client undisclosed. It is used in the UK market.
PARV The price is a par value or equal to the nominal or face value of the instrument.
RDAV The price is a rounded average price.
TRAD The price is a benchmark price relating to the current partial fills (eg, last trade tick from market).