ACCA |
Accrued Capitalisation |
Amount of unpaid interest (on interest bearing instruments which have defaulted and have subsequently restructured), which is capitalised and added to the original principal amount. |
ACRU |
Accrued Interest Amount |
Amount of interest that has been accrued in between coupon payment periods. |
AKTI |
Aktiengewinn |
Aktiengewinn. |
ANTO |
Net Gain/Loss Amount |
Total net trade amount of all the trade transactions. |
BAKL |
Backload Fees Amount |
Amount of sales charge paid by the investor when redeeming an investment such as an investment fund. |
CBCH |
Correspondent Bank Charges |
Amount of charges of correspondent bank for transferring money (Funds industry). |
CHAR |
Charges/Fees |
Amount of money paid for the provision of financial services that cannot be categorised by another qualifier. |
COAX |
Consumption Tax |
Amount of consumption tax. |
COUN |
Country, National, Federal Tax |
Amount of country, national or federal tax charged by the jurisdiction in which the account servicer is located. |
CREB |
Rebate/Bonification |
Discount on the subscription fee that would normally be paid to Fund Administrator to enter the Fund. (Funds Industry). |
DEAL |
Trade Amount |
Principal amount of a trade (price multiplied by quantity). |
DSCA |
Discount Amount |
Amount of pre-arranged deduction to the trade amount based on the published net asset value (Funds industry). |
ENTF |
Entrance Fees Amount |
Amount of sales charge paid immediately by the investor when subscribing to an investment such as an investment fund. |
EQUL |
Equalisation/Depreciation Deposit |
Part of an investor's subscription amount that is held by the Fund in order to pay incentive/performance fees at the fiscal year end. It may crystallise into shares depending on the High Water Mark of the Fund and the subscription NAV (Funds industry). |
ERFE |
Early Redemption Fee Amount |
A fund/fund provider may charge redemption fees according to prospectus (that is, an early redemption fee may apply if a fund is redeemed within a short period of time). |
EUTR |
EU Tax Retention Amount |
Total amount of tax withheld at source in conformance with the EU Savings Directive. |
EXEC |
Executing Broker's Commission |
Amount of money paid to an executing broker as a commission. |
ISDI |
Issue Discount/Allowance |
Amount of money defined as a discount on a new issue or on a tranche of an existing issue. |
LADT |
Local Tax (Country specific 1) |
Local tax as defined by the country in its market practice document. |
LEVY |
Payment Levy Tax |
Amount of payment levy tax. |
LIDT |
Local Tax (Country specific 2) |
Local tax as defined by the country in its market practice document. |
LOCL |
Local Tax |
Amount of tax charged by the jurisdiction in which the financial instrument settles. |
LOCO |
Local Broker's Commission |
Amount of commission paid to a local broker. |
LOTE |
Local Tax (Country specific 3) |
Local tax as defined by the country in its market practice document. |
LYDT |
Local Tax (Country specific 4) |
Local tax as defined by the country in its market practice document. |
MACO |
Matching/Confirmation Fee |
Amount of money charged for matching and/or confirmation. |
MARG |
Margin Amount |
Amount of money deposited by the trading party in a margin account. |
OCMT |
Original Currency Amount |
Posting/settlement amount in its original currency when conversion from/into another currency has occurred. |
OTHR |
Other Amount |
Amount of money that cannot be categorised. |
PRDF |
Difference in Price |
Difference between the deal price and another reference price. |
PRMA |
Premium Amount |
Pre-arranged addition to the trade amount based on the published net asset value (Funds industry). |
PRWI |
Partial Redemption Withholding Amount |
When units of hedge funds are redeemed, the fund often pays out just a portion of the proceeds (normally between 60 and 90 percent of the investment). The remainder is retained with the fund and paid out later at a time as decided by the Fund Company. |
REFD |
Expected Refund |
Anticipated return of overpaid subscription money (Funds Industry). |
REGF |
Regulatory Fees |
Amount of money charged by a regulatory authority, for example, Securities and Exchange fees. |
REMU |
Remuneration Amount |
Amount of money received or to be received by a broker in connection with the transaction that cannot be categorised using another amount type. |
RESU |
Resulting Amount |
Countervalue of a foreign exchange conversion. |
SETT |
Settlement Amount |
Total amount of money to be paid or received in exchange for the financial instrument. |
SHIP |
Shipping Amount |
All costs related to the physical delivery of documents such as stamps, postage, carrier fees, insurances or messenger services. |
SPCN |
Special Concessions |
Amount of drawdown or other reduction from or in addition to the deal price. |
STAM |
Stamp Duty |
Amount of stamp duty. |
STEX |
Stock Exchange Tax |
Amount of stock exchange tax. |
SUBS |
Subscription Interest |
Amount of interest received when a subscription amount is paid in advance and then invested by the Fund Administrator for additional shares to that of the initial subscription amount (Funds Industry). |
TRAN |
Transfer Tax |
Amount of tax levied on a transfer of ownership of financial instrument. |
TRAX |
Transaction Tax |
Amount of transaction tax. |
VATA |
Value-Added Tax |
Amount of value added tax. |
WITH |
Withholding Tax |
Amount of money that will be withheld by a tax authority. |
ZWIS |
Zwischengewinn |
Zwischengewinn. |