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MT 535 Field Specifications

43. Field 93a: Balance

FORMAT

Option B :4!c/[8c]/4!c/[N]15d (Qualifier)(Data Source Scheme)(Quantity Type Code)(Sign)(Balance)
Option C :4!c//4!c/4!c/[N]15d (Qualifier)(Quantity Type Code)(Balance Type Code)(Sign)(Balance)

PRESENCE

Mandatory in optional subsequence B1b

QUALIFIER

(Error code(s): T89)

Order M/O Qualifier R/N CR Options Qualifier Description
1 M AGGR N C7 B Aggregate
  or AWAS N   B Available With No Additional Status
  or BLCA N   B or C Blocked Corporate Action
  or BLOK N   B or C Blocked
  or BLOT N   B or C Blocked Trading
  or BLOV N   B or C Blocked Authenticity
  or BODE N   B or C Pending Borrowed Delivery
  or BORE N   B or C Pending Borrowed Receipt
  or BORR N   B or C Borrowed
  or CLEN N   B or C Tax Exempt
  or COLA N   B Eligible for Collateral Purposes
  or COLI N   B or C Collateral In
  or COLO N   B or C Collateral Out
  or DIRT N   B or C Non Tax Exempt
  or DRAW N   B or C Drawn
  or ISSU N   B or C Issued
  or LOAN N   B or C On Loan
  or LODE N   B or C Pending On Loan Delivery
  or LORE N   B or C Pending On Loan Receipt
  or MARG N   B or C Derivatives Margin Sub-balance
  or NOMI N   B or C Registered
  or OTHR N   B or C Unclassified
  or PECA N   B or C Pending Corporate Action Receipt
  or PEDA N   B or C Pending Corporate Action Delivery
  or PEND N   B or C Pending Delivery
  or PENR N   B or C Pending Receipt
  or PLED N   B or C Pledged
  or QUAS N   B or C Quasi-Issued
  or REGO N   B or C Out for Registration
  or RSTR N   B or C Restricted
  or SPOS N   B or C Street Position
  or TRAN N   B or C In Transshipment
  or UNRG N   B or C Unregistered
2 O AVAI N C9 B Available Balance
3 O NAVL N C9 B Not Available Balance

DEFINITION

This qualified generic field specifies:

AGGR Aggregate Aggregate balance per place of safekeeping (for multiple place of safekeeping reporting ONLY).
AVAI Available Balance Total quantity of financial instruments of the aggregate balance that is available.
AWAS Available With No Additional Status Balance of financial instruments that are freely available with no specific additional status.
BLCA Blocked Corporate Action Balance of financial instrument blocked following a corporate action, including proxy activities.
BLOK Blocked Balance of financial instruments that are blocked.
BLOT Blocked Trading Balance of financial instruments that are blocked for trading.
BLOV Blocked Authenticity Balance of financial instruments that are blocked for verification of authenticity.
BODE Pending Borrowed Delivery Balance of financial instruments that are pending delivery in relation to a borrow transaction.
BORE Pending Borrowed Receipt Balance of financial instruments that are pending receipt in relation to a borrow transaction.
BORR Borrowed Balance of financial instruments that have been borrowed from another party.
CLEN Tax Exempt Balance of tax-exempt financial instruments.
COLA Eligible for Collateral Purposes Balance of financial instruments that are eligible for use for collateral purposes.
COLI Collateral In Balance of securities that belong to a third party and that are held for the purpose of collateralisation.
COLO Collateral Out 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 Balance of taxable financial instruments.
DRAW Drawn Balance of securities that are drawn for redemption.
ISSU Issued Balance for issued financial instrument where legal documentation has been received.
LOAN On Loan Balance of financial instruments, that have been loaned to a third party.
LODE Pending On Loan Delivery Balance of financial instruments that are pending delivery in relation to a lending transaction.
LORE Pending On Loan Receipt Balance of financial instruments that are pending receipt in relation to a lending transaction.
MARG Derivatives Margin Sub-balance Balance of securities that belong to the safekeeping account indicated within this message, and that are used as collateral for derivatives.
NAVL Not Available Balance Total quantity of financial instruments of the aggregate balance that is NOT available.
NOMI Registered Balance of securities that are registered (in the name of a nominee or of the beneficial owner).
OTHR Unclassified Balance of financial instrument that cannot be categorised, that is, is not identified with one of the existing sub-balance types.
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.
PEND Pending Delivery Balance of financial instruments that are pending delivery.
PENR Pending Receipt Balance of financial instruments that are pending receipt.
PLED Pledged Balance of securities that belong to the safekeeping account indicated within this message, and that are pledged, for example, to cover a short call .
QUAS Quasi-Issued Balance for issued financial instrument where legal documentation has not yet been received.
REGO Out for Registration Balance of financial instruments currently being processed by the institution responsible for registering the new beneficial owner (or nominee).
RSTR Restricted Balance of financial instruments that may only be sold under certain conditions or require legal documents.
SPOS Street Position Balance of financial instruments that remain registered in the name of the prior beneficial owner.
TRAN In Transshipment Balance of physical securities that are in the process of being transferred from one depository/agent to another.
UNRG Unregistered Balance of financial instruments that could not be registered due to foreign ownership limitation.

CODES

In option B or C, if Data Source Scheme is not present, Quantity Type Code must contain one of the following codes (Error code(s): K93):

AMOR Amortised Value Quantity expressed as an amount representing the current amortised face amount of a bond, for example, a periodic reduction/increase of a bond's principal amount.
FAMT Face Amount Quantity expressed as an amount representing the face amount, that is, the principal, of a debt instrument.
UNIT Unit Number Quantity expressed as a number, for example, a number of shares.

CODES

In option C, Balance Type Code must contain one of the following codes (Error code(s): K93):

AVAI Available Sub-balance reported quantity is available.
NAVL Not Available Sub-balance reported quantity is not available.

NETWORK VALIDATED RULES

The integer part of Balance must contain at least one digit. A decimal comma ',' is mandatory and is included in the maximum length (Error code(s): T40,T43).

When Sign is present, Balance must not be zero (Error code(s): T14).

USAGE RULES

Sign must be present only when Balance is negative.

If the Available Balance and Not Available Balance are both provided, the total of the Available Balance and the Not Available Balance must equal the Aggregate Balance provided in the same sequence.

Eligible for Collateral Purposes subbalance (:93B::COLA) is only to be used in (I)CSD-participant communication or if bilaterally agreed between the Sender and Receiver.

EXAMPLE

The below is an example of the optional use of sub-balance qualifier AWAS (Available With No Additional Status).

In the below scenario of a custody (22F::STTY//CUST) settled dated (:22F::STBA//SETT) statement, the account owner holds 12300 units of equity B: