MT 538 Field Specifications

41. Field 93A: Balance: Balance To

FORMAT

Option A :4!c/[8c]/4!c (Qualifier) (Data Source Scheme) (Sub-balance Type Code)

PRESENCE

Mandatory

QUALIFIER

(Error code(s): T89)

Order M/O Qualifier R/N CR Options Qualifier Description
1 M TOBA N C2 A Balance To

DEFINITION

This qualified generic field specifies:

TOBA Balance To Balance to which the securities have been moved.

CODES

If Data Source Scheme is not present, Sub-balance Type Code must contain one of the following codes (Error code(s): K93):

AVAI Available Sub-balance Financial instruments Securities are available for any purpose.
BLCA Blocked Corporate Action Balance of financial instrument blocked following a corporate action, including proxy activities.
BLOK Blocked Sub-balance Sub-balance of securities that are blocked.
BORR Borrowed Sub-balance Sub-balance of securities that have been borrowed from another party.
CLEN Tax Exempt Sub-balance Sub-balance of tax-exempt securities.
COLI Collateral In Sub-balance Balance of securities that belong to a third party and that are held for the purpose of collateralisation.
COLO Collateral Out Sub-balance Balance of securities that belong to the safekeeping account indicated within this message, and are deposited with a third party for the purpose of collateralisation.
DIRT Non Tax Exempt Sub-balance Sub-balance of taxable securities.
DRAW Drawn Sub-balance of securities that are drawn for redemption.
LOAN Loan out Sub-balance Sub-balance of securities that have been loaned-out to a third party.
MARG Derivatives margin Sub-balance Balance of securities that belong to and is kept in the safekeeping account indicated within this message, and that are used as collateral for derivatives.
MARG Derivatives margin Sub-balance Sub-balance of securities that are used as collateral for derivatives.
OTHR Unclassified Sub-balance Balance of securities that is unclassified, i.e. is not identified with one of the existing sub-balance types.
NOMI Registered Sub-balance Balance of financial instruments securities that are registered (in the name of a nominee name or in the name of the beneficial owner).
PECA Pending Corporate Action Receipt Balance of financial instrument pending receipt following a corporate action.
PEDA Pending Corporate Action Delivery Balance of financial instrument pending delivery following a corporate action.
PECA Pending Corporate Action Sub-balance Balance of securities, that are involved in a CA. Securities blocked due to a CA (proxy, in escrow...) are to be identified in the BLOK sub-balance.
PLED Pledged Sub-balance Sub-balance of securities that are pledged.
REGO Registration Sub-balance Balance of securities currently being processed by the institution responsible for registering the new beneficial owner (or nominee) of securities after a transaction has settled.
RSTR Restricted Sub-balance Balance of securities that may only be sold under certain conditions or require legal documents.
SPOS In Street Name Sub-balance Balance of securities that remain registered in the name of the prior beneficial owner of securities.
TRAN Transshipment Sub-balance Balance of physical securities that are in transshipment, eg, in the process of being transferred from one depository or agent to another.
UNRG Unregistered Sub-balance Balance of securities that could not be registered due to foreign ownership limitation.