MT 588 Field Specifications

23. Field 98A: Date/Time

FORMAT

Option A :4!c//8!n (Qualifier) (Date)

PRESENCE

Optional

QUALIFIER

(Error code(s): T89)

Order M/O Qualifier R/N CR Options Qualifier Description
1 O COUP N   A Coupon Date
2 O EXPI N   A Expiry Date
3 O FRNR N   A Floating Rate Note Reset Date
4 O MATU N   A Maturity Date
5 O ISSU N   A Issue Date
6 O OPTI N   A Option Date

DEFINITION

This qualified generic field specifies:

COUP Coupon Date Next payment date of an interest bearing financial instrument.
EXPI Expiry Date Date/time on which an order expires or on which a privilege or offer terminates.
COUP Coupon Date Date of next coupon payment of an interest-bearing security.
EXPI Expiry Date Termination date of a privilege which may be exercised, according to the terms of a securities issue.
FRNR Floating Rate Note Reset Date According to the terms of the issue, date interest rate of a floating rate note will be calculated and reset.
ISSU Issue Date Date security was issued.
MATU Maturity Date Date/time at which a financial instrument becomes due and assets are to be repaid.
MATU Maturity Date Date interest bearing security becomes due and principal is paid.
OPTI Option Date Option date of the related financial instrument.

NETWORK VALIDATED RULES

Date must be a valid date expressed as YYYYMMDD (Error code(s): T50).