CLCI |
Client's Collateral Instruction Reference |
Reference assigned to the instruction by the client. |
CLTR |
Client's Triparty Collateral Transaction Reference |
Unique reference identifying the triparty collateral management transaction from the client's point of view. |
COMM |
Common Reference |
Unique reference agreed upon by the two trade counterparties to identify the trade. |
CORP |
Corporate Action Reference |
Reference assigned by the account servicer to unambiguously identify a related corporate action event. |
MITI |
Market Infrastructure Transaction Identification |
Identification of a transaction assigned by a market infrastructure other than a central securities depository, for example, Target2-Securities. |
NTSP |
Netting Service Provider Reference |
Identification assigned by the Netting Service Provider to identify the Nett transaction resulting from netting process. |
PCTI |
Processor Transaction Identification |
Identification of the transaction assigned by the processor of the instruction other than the account owner the account servicer and the market infrastructure. |
POOL |
Pool Reference |
Collective reference identifying a set of messages. |
PREV |
Previous Reference |
Reference of the linked message which was previously sent. |
RELA |
Related Reference |
Reference of the linked message which was previously received. |
TCTR |
Triparty Agent Collateral Transaction Reference |
Unique reference identifying the triparty collateral management transaction from the triparty agent's point of view. |
TRCI |
Triparty's Collateral Instruction Reference |
Reference assigned to the instruction by the triparty agent. |
TRRF |
Deal Reference |
Reference assigned to the trade by the Investment Manager OR the Broker/Dealer. This reference will be used throughout the trade life cycle to access/update the trade details. |