MT 515 Field Specifications
55. Field 22F: Indicator
FORMAT
Option F |
:4!c/[8c]/4!c |
(Qualifier) (Data Source Scheme) (Indicator) |
PRESENCE
Mandatory in an optional sequence
QUALIFIER
(Error code(s): T89)
Order |
M/O |
Qualifier |
R/N |
CR |
Options |
Qualifier Description |
1 |
M |
SETR |
N |
|
F |
Type of Settlement Transaction |
2 |
O |
STCO |
R |
|
F |
Settlement Transaction Condition |
3 |
O |
STAM |
N |
|
F |
Stamp Duty Indicator |
4 |
O |
RTGS |
N |
|
F |
Securities Real-Time Gross Settlement Indicator |
5 |
O |
REGT |
N |
|
F |
Registration Indicator |
6 |
O |
BENE |
N |
|
F |
Beneficial Ownership Indicator |
7 |
O |
CASY |
N |
|
F |
Cash Settlement System Indicator |
8 |
O |
DBNM |
N |
|
F |
Settlement Standing Instruction Database Indicator |
9 |
O |
REST |
N |
|
F |
Restrictions |
10 |
O |
LEOG |
N |
|
F |
Letter of Guarantee Indicator |
11 |
O |
SETS |
N |
|
F |
Settlement System/Method Indicator |
DEFINITION
This qualified generic field specifies:
SETR |
Type of settlement transaction contained in the Settlement Details block of the message. |
STCO |
Conditions under which the order/trade is to be settled. |
STAM |
Indicates the stamp duty type or exemption reason applicable to the settlement transaction. |
RTGS |
Indicates whether the settlement transaction is to be settled through an RTGS or a non RTGS system. |
REGT |
Indicates whether registration is to be done on receipt or not. |
BENE |
Indicates whether there is change of beneficial ownership or not. |
CASY |
Indicates what cash settlement system is instructed to be used. |
DBNM |
Indicates what settlement standing instruction database is to be used to derive the settlement parties involved in the transaction. Presence of this indicator means that any information contained in the settlement parties sequences of the message (with the exception of the buyer/seller and place of settlement information) will be disregarded. |
REST
|
Specifies the regulatory restrictions applicable to a financial instrument.
|
REST
|
Restrictions governing the transfer of ownership of the security.
|
LEOG |
Indicates whether physical settlement may be executed using a letter of guarantee or if the physical certificates should be used. |
SETS |
Indicates whether the settlement transaction is to be settled through an alternate settlement system/method or the default settlement system/method. |
CODES
When Qualifier is SETR and Data Source Scheme is not present, Indicator must contain one of the following codes (Error code(s): K22):
BSBC |
The transaction relates to a buy sell back closing leg. |
BSBO |
The transaction relates to a buy sell back opening leg. |
COLL |
The transaction relates to collateral in the form of securities. |
CONV |
The settlement transaction is part of a DR conversion operation. |
FCTA |
The transaction relates to a factor update. |
INSP
|
Move of Stock. Settlement instruction relates to a movement of shares in or out of a pooled account.
|
ISSU
|
Settlement instruction relates to the issue of a depositary receipt.
|
INSP
|
The instruction relates to a move of stock into or out of a pooled account. The stock is generally used, instead of cash, to purchase or redeem unit holdings. It is generally charged differently than another account transfer (PORT, OWNE, OWNI), hence the need to identify this type of transfer as such.
|
ISSU
|
The settlement transaction is part of a DR issue operation.
|
OWNE |
Account transfer involving more than one instructing party (messages sender) and/or account servicer (messages receiver). |
OWNI |
Account transfer involving one instructing party (messages sender) at one account servicer (messages receiver). |
MKDW |
Relates to the decrease of positions held by an ICSD at the common depository due to custody operations (repurchase, pre-release, proceed of corp. event realigned). |
MKUP |
Relates to the increase of positions held by an ICSD at the common depository due to custody operations (repurchase, pre-release, proceed of corporate event realigned). |
NETT |
The transaction relates to the netting of settlement instructions. |
NSYN |
Issue of medium and short term paper (CP, CD, MTN, notes...) under a program and without syndication arrangement. |
PAIR |
The transaction is part of a pairoff. |
PLAC |
The transaction is part of a placement. |
PORT |
The transaction 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 (OWNE, OWNI, INSP), hence the need to identify this type of transfer as such. |
REAL |
Realignment of positions. |
REDI |
The transaction involves the withdrawal of specified amounts from specified sub-accounts. |
REDM |
Redemption of Funds (Funds Industry ONLY). |
RELE |
The settlement transaction is part of a DR release / cancellation operation. |
REPU |
The transaction relates to a repo or reverse repo. |
RODE |
Return of delivery without matching. Refers to the return of securities resulting from a decayed/rejected delivery without matching operation. |
RPTO |
The transaction is for reporting purposes only. |
SECB |
The transaction is part of a securities borrowing operation. |
SECL |
The transaction is part of a securities lending operation. |
SUBS |
Subscription to funds (Funds Industry ONLY). |
SYND |
Syndicate
Issue
of underwriters. Financial instruments are issued
securities (bonds, warrants, equities...)
through a syndicate of underwriters and a Lead Manager. |
TBAC |
The transaction relates to a TBA closing trade. |
TRAD |
The transaction relates to the settlement of a trade. |
TRPO |
Relates to a triparty repo. |
TURN |
The transaction is part of a turnaround. |
CODES
When Qualifier is STCO and Data Source Scheme is not present, Indicator must contain one of the following codes (Error code(s): K22):
CLEN |
Clean.
Tax-exempt financial instruments
securities
are to be settled. |
DIRT
|
Dirty. Taxable financial instruments are to be settled.
|
DIRT
|
Non tax-exempt, ie taxable securities are to be settled.
|
DLWM |
Delivery Without Matching. The delivery instruction does not require a matching receipt instruction on the concerned market (only for the concerned ICSD and CSD). |
DRAW |
Settlement on drawn securities. |
EXER
|
Exercised. Settlement transaction relates to options, futures or derivatives that are exercised.
|
EXER
|
For derivatives, an option or future which is exercised.
|
FRCL |
Free clean settlement (this indicates that delivery will be made free of payment but that a clean payment order will be sent). |
KNOC |
For derivatives an option or future which is knocked out (expired worthless). |
NPAR |
Partial settlement is not allowed. |
PART |
Partial settlement is allowed. |
PHYS |
Securities are to be physically settled. |
SPCS |
Split currency settlement - settlement is in two different currencies. |
SPDL |
Trade to be settled with special delivery. |
SPST |
Split settlement - when cash and securities settle in different locations. |
UNEX |
Unexposed - delivery cannot be effected until cash is received. |
CODES
When Qualifier is STAM, the Data Source Scheme should be used to indicate the stamp duty type or exemption reason, eg, in the United Kingdom and Ireland (CRST), in South Africa (STRA), etc.
CODES
When Qualifier is RTGS and Data Source Scheme is not present, Indicator must contain one of the following codes (Error code(s): K22):
NRTG |
Settle through the non-RTGS system. If there is a standing instruction in place for settlement through the RTGS instruction, then this standing instruction is to be ignored. |
YRTG |
Settle through the RTGS system. If there is a standing instruction in place for settlement through the non-RTGS system, then this standing instruction is to be ignored. |
CODES
When Qualifier is REGT and Data Source Scheme is not present, Indicator must contain one of the following codes (Error code(s): K22):
NREG |
Hold the securities in street name. If there is a standing instruction in place to register on receipt, then this standing instruction is to be ignored. |
YREG |
Register on receipt. If there is a standing instruction in place to hold the securities in street name, then this standing instruction is to be ignored. |
CODES
When Qualifier is BENE and Data Source Scheme is not present, Indicator must contain one of the following codes (Error code(s): K22):
NBEN |
No Change of Beneficial Ownership (NCBO). If a standing instruction is in place for change of beneficial ownership (CBO), then this standing instruction is to be ignored. |
YBEN |
Change of Beneficial Ownership (CBO). If a standing instruction is in place for no change of beneficial ownership (NCBO), then this standing instruction is to be ignored. |
CODES
When Qualifier is CASY and Data Source Scheme is not present, Indicator must contain one of the following codes (Error code(s): K22):
BOJS
|
Bank of Japan System (JP)
|
BOKW |
Bank of Korea Wire |
CHEC |
Cheque |
FEYC
|
Foreign Exchange Yen Clearing System (JP)
|
GBSC |
UK domestic |
GROS |
Gross settlement system |
NETS |
Net settlement system |
USCH |
CHIPS (US) |
USFW |
Fedwire (US) |
ZENG
|
Zengin (domestic remittance) (JP)
|
CODES
When Qualifier is DBNM and Data Source Scheme is not present, Indicator must contain one of the following codes (Error code(s): K22):
INTE |
The settlement standing instruction database to be used is the receiver's internal database. |
BRKR |
The settlement standing instruction database to be used is the broker's database. |
VEND |
The settlement standing instruction database to be used is the database of the vendor identified in the other parties sequence E, party field 95a, with qualifier VEND. |
CODES
If Data Source Scheme is not present and Qualifier is REST, Indicator must contain one of the following codes (Error code(s): K22):
144A
|
Pursuant to Rule 144A.Ownership or transfer of an unregistered security issued, pursuant to US legal restrictions 144A.
|
144A
|
Unregistered security issued pursuant to US legal restrictions 144A.
|
NRST |
Ownership or transfer is not subject to restrictions. |
RSTR |
Ownership or transfer is subject to restrictions (not pursuant to 144A). |
CODES
When Qualifier is LEOG and Data Source Scheme is not present, Indicator must contain one of the following codes (Error code(s): K22):
YLEG |
Letter of guarantee is accepted. If there is a standing instruction in place not to accept a letter of guarantee, then this standing instruction is to be ignored. |
NLEG |
Letter of guarantee is not accepted. If there is a standing instruction in place to accept a letter of guarantee, then this standing instruction is to be ignored. |
CODES
When Qualifier is SETS and Data Source Scheme is not present, Indicator must contain one of the following codes (Error code(s): K22):
NSET |
Settle through the default settlement system/method. If there is a standing instruction in place for settlement through the alternate settlement system/method, then this standing instruction is to be ignored. |
YSET |
Settle through the alternate settlement system/method. If there is a standing instruction in place for settlement through the default settlement system/method, then this standing instruction is to be ignored. |
USAGE RULES
The conditions of the use of the codes for the qualifiers BENE, CASY, DBNM, LEOG, REGT, RTGS, SETS and STCO must be pre-agreed between account owner and account servicer.
When the code YREG in the registration indicator is present, additional registration details must be specified in the registration details narrative in the Settlement Parties sequence.
The cash settlement system codes are to be used only by agents directly involved in the settlement process, such as local settlement agents, CSD's and central banks.
The use of settlement transaction type codes CONV, ISSU, REAL, RELE, NETT, NSYN, MKUP, MKDW, SYND is governed by the existence of a bilateral agreement.