MT 586 Field Specifications
40. Field 22a: Indicator
FORMAT
Option F |
:4!c/[8c]/4!c |
(Qualifier) (Data Source Scheme) (Indicator) |
Option H |
:4!c//4!c |
(Qualifier) (Indicator) |
PRESENCE
Mandatory in an optional sequence
QUALIFIER
(Error code(s): T89)
Order |
M/O |
Qualifier |
R/N |
CR |
Options |
Qualifier Description |
1 |
O |
RPOR |
N |
|
F |
Reporting Indicator |
2 |
M |
PAYM |
N |
|
H |
Payment Indicator |
3 |
M |
REDE |
N |
|
H |
Receive/Deliver Indicator |
4 |
O |
PROC |
N |
|
F |
Processing Indicator |
5 |
O |
PRIR |
N |
|
F |
Priority Indicator |
6 |
O |
TTCO |
R |
|
F |
Trade Transaction Condition Indicator |
DEFINITION
This qualified generic field specifies:
PAYM |
Payment Indicator |
Whether settlement is free or against payment. |
REDE |
Receive/Deliver Indicator |
Whether counterparty's instruction is a delivery or a receipt.
a delivery or receipt of securities.
|
RPOR |
Reporting Indicator |
Whether trade is to be reported to other parties. |
PROC |
Processing Indicator |
Additional information relative to the processing of the trade. |
PRIR |
Priority Indicator |
Execution priority of the instruction. |
TTCO |
Trade Transaction Condition Indicator |
The conditions under which the order/trade was executed. |
CODES
If Qualifier is RPOR and Data Source Scheme is not present, Indicator must contain one of the following codes (Error code(s): K22):
EXCH |
Stock Exchange |
The trade details are to be reported to a stock exchange. This stock exchange is identified in the Other Parties sequence. |
TRRE |
Trade Details Reported |
The trade details are to be reported to a regulatory organisation. This regulatory organisation is identified in the Other Parties sequence. |
CODES
If Qualifier is REDE, Indicator must contain one of the following codes (Error code(s): K22):
DELI |
The counterparty's instruction is a delivery. |
RECE |
The counterparty's instruction is a receipt. |
DELI |
Deliver. |
RECE |
Receive. |
CODES
If Qualifier is PAYM, Indicator must contain one of the following codes (Error code(s): K22):
APMT |
Against Payment. |
FREE |
Free of Payment. |
CODES
If Qualifier is PROC and Data Source Scheme is not present, Indicator must contain one of the following codes (Error code(s): K22):
CLOP |
Close Position |
The trade is to close a position. |
OPEP |
Open Position |
The trade is to open a position. |
CODES
If Qualifier is PRIR and Data Source Scheme is not present, Indicator must contain a numerical value in the range 0001 - 9999 where 0001 refers to the highest priority.(Error code(s): K22)
CODES
If Data Source Scheme is not present and Qualifier is TTCO, Indicator must contain one of the following codes (Error code(s): K22):
BCRO |
Result of option when set (UK specific). |
BCRP |
Result of repo when set (UK specific). |
BCPD |
Place of delivery; in country of incorporation when unset (UK specific). |
BCFD |
Form of delivery; not for foreign registration when unset (UK specific). |
BCBL |
Board lots; not set for odd lots (UK specific). |
BCBN |
Bad names, not set for good names (UK specific). |
CBNS |
Trade was executed cum bonus. |
CCPN |
Trade was executed cum coupon. |
CDIV |
Trade was executed cum dividend. |
CRTS |
Trade was executed cum rights. |
CWAR |
Trade executed cum warrants. |
GTDL
|
Guaranteed Delivery: Delivery of the financial instrument on settlement date guaranteed.
|
SPCU
|
Trade Executed Special Cum Dividend: Trade executed with a special cum dividend, i.e., buying after the ex date and getting the dividend.
|
SPEX
|
Trade Executed Special Ex Dividend: Trade executed with a special ex dividend, i.e., selling before the ex date without the coupon.
|
GTDL
|
Trade executed with guaranteed delivery.
|
SPCU
|
Special cum dividend - bought after the ex date and getting a dividend.
|
SPEX
|
Special ex dividend - sold before the ex date without the coupon.
|
XBNS |
Trade was executed ex bonus. |
XCPN |
Trade was executed ex coupon. |
XDIV |
Trade was executed ex dividend. |
XRTS |
Trade was executed ex rights. |
XWAR |
Trade executed ex warrants. |