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MT 361 Format Specifications

The MT 361 consists of sixteen sequences:

Note:  Where stated as such, the field names are based upon the standard ISDA terms. For the exact definition of those fields, see the ISDA Definitions, the version of which is specified in field 14C of sequence A.
MT 361 Cross Currency Interest Rate Swap Confirmation
Status Tag Field Name Content/Options No.
Mandatory Sequence A General Information
M 15A New Sequence Empty field See specification 1
M 20 Sender's Reference 16x See specification 2
O 21 Related Reference 16x See specification 3
M 22A Type of Operation 4!c See specification 4
O 94A Scope of Operation 4!c See specification 5
M 22C Common Reference 4!a2!c4!n4!a2!c See specification 6
M 23A Identification of the Swap 10a/5a See specification 7
M 21N Contract Number Party A 16x See specification 8
O 21B Contract Number Party B 16x See specification 9
M 30T Trade Date 8!n See specification 10
M 30V Effective Date 8!n See specification 11
M 30P Termination Date 8!n See specification 12
O 14A Business Day Convention 9a See specification 13
O 32B Party B Currency and Notional Amount 3!a15d See specification 14
M 33B Party A Currency and Notional Amount 3!a15d See specification 15
M 82a Party A A or D See specification 16
M 87a Party B A or D See specification 17
O 83a Fund or Beneficiary Customer A, D, or J See specification 18
O 17A Collateral Agreement Indicator 1!a See specification 19
M 77H Type, Date, Version of the Agreement 6a[/8!n][//4!n] See specification 20
O 77D Additional Conditions 6*35x See specification 21
M 14C Year of Definitions 4!n See specification 22
O 72 Sender to Receiver Information 6*35x See specification 23
End of Sequence A General Information
Optional Sequence B Fixed Interest Payable by Party B
M 15B New Sequence Empty field See specification 24
O 37M Fixed Rate [N]12d See specification 25
O 37N Details of Interest Rate 6*35x See specification 26
Optional Subsequence B1 Interest Details
M 18A Number of Repetitions 5n See specification 27
----->
M 30F Payment Date 8!n See specification 28
O 32M Currency, Payment Amount 3!a15d See specification 29
-----|
O 17F Period End Date Adjustment Indicator 1!a See specification 30
O 14D Day Count Fraction 7x See specification 31
M 14A Business Day Convention 9a See specification 32
M 18A Number of Repetitions 5n See specification 33
----->
M 22B Financial Centre 4!c See specification 34
-----|
End of Subsequence B1 Interest Details
End of Sequence B Fixed Interest Payable by Party B
Optional Sequence C Floating Interest Payable by Party B
M 15C New Sequence Empty field See specification 35
M 14F Floating Rate Option 24x See specification 36
O 37V Cap Rate [N]12d See specification 37
O 37G Floor Rate [N]12d See specification 38
O 37N Details of Interest Rate 6*35x See specification 39
Optional Subsequence C1 Interest Details
M 14J Reset Date Specification 5a See specification 40
O 14G Averaging Frequency and Method 1!a/8!a See specification 41
M 38E Designated Maturity 2n1!a See specification 42
M 18A Number of Repetitions 5n See specification 43
----->
M 30F Payment Date 8!n See specification 44
-----|
M 17F Period End Date Adjustment Indicator 1!a See specification 45
M 14D Day Count Fraction 7x See specification 46
M 14A Business Day Convention 9a See specification 47
M 18A Number of Repetitions 5n See specification 48
----->
M 22B Financial Centre 4!c See specification 49
-----|
O 37R Spread [N]12d See specification 50
End of Subsequence C1 Interest Details
Optional Subsequence C2 Compounding Details
M 22D Compounding Type 4!c See specification 51
M 18A Number of Repetitions 5n See specification 52
----->
M 30X Compounding Date 8!n See specification 53
-----|
End of Subsequence C2 Compounding Details
Optional Subsequence C3 Interpolation for Stub Periods
O 38G First Stub Period, Interpolation Period 2n1!a/2n1!a See specification 54
O 38H Last Stub Period, Interpolation Period 2n1!a/2n1!a See specification 55
End of Subsequence C3 Interpolation for Stub Periods
End of Sequence C Floating Interest Payable by Party B
Mandatory Sequence D Payment Instructions for Interest Payable by Party B
M 15D New Sequence Empty field See specification 56
O 53a Delivery Agent A or D See specification 57
O 56a Intermediary A or D See specification 58
O 86a Second Intermediary A or D See specification 59
M 57a Receiving Agent A or D See specification 60
End of Sequence D Payment Instructions for Interest Payable by Party B
Optional Sequence E Fixed Interest Payable by Party A
M 15E New Sequence Empty field See specification 61
O 37M Fixed Rate [N]12d See specification 62
O 37N Details of Interest Rate 6*35x See specification 63
Optional Subsequence E1 Interest Details
M 18A Number of Repetitions 5n See specification 64
----->
M 30F Payment Date 8!n See specification 65
O 32M Currency, Payment Amount 3!a15d See specification 66
-----|
O 17F Period End Date Adjustment Indicator 1!a See specification 67
O 14D Day Count Fraction 7x See specification 68
M 14A Business Day Convention 9a See specification 69
M 18A Number of Repetitions 5n See specification 70
----->
M 22B Financial Centre 4!c See specification 71
-----|
End of Subsequence E1 Interest Details
End of Sequence E Fixed Interest Payable by Party A
Optional Sequence F Floating Interest Payable by Party A
M 15F New Sequence Empty field See specification 72
M 14F Floating Rate Option 24x See specification 73
O 37V Cap Rate [N]12d See specification 74
O 37G Floor Rate [N]12d See specification 75
O 37N Details of Interest Rate 6*35x See specification 76
Optional Subsequence F1 Interest Details
M 14J Reset Date Specification 5a See specification 77
O 14G Averaging Frequency and Method 1!a/8!a See specification 78
M 38E Designated Maturity 2n1!a See specification 79
M 18A Number of Repetitions 5n See specification 80
----->
M 30F Payment Date 8!n See specification 81
-----|
M 17F Period End Date Adjustment Indicator 1!a See specification 82
M 14D Day Count Fraction 7x See specification 83
M 14A Business Day Convention 9a See specification 84
M 18A Number of Repetitions 5n See specification 85
----->
M 22B Financial Centre 4!c See specification 86
-----|
O 37R Spread [N]12d See specification 87
End of Subsequence F1 Interest Details
Optional Subsequence F2 Compounding Details
M 22D Compounding Type 4!c See specification 88
M 18A Number of Repetitions 5n See specification 89
----->
M 30X Compounding Date 8!n See specification 90
-----|
End of Subsequence F2 Compounding Details
Optional Subsequence F3 Interpolation for Stub Periods
O 38G First Stub Period, Interpolation Period 2n1!a/2n1!a See specification 91
O 38H Last Stub Period, Interpolation Period 2n1!a/2n1!a See specification 92
End of Subsequence F3 Interpolation for Stub Periods
End of Sequence F Floating Interest Payable by Party A
Mandatory Sequence G Payment Instructions for Interest Payable by Party A
M 15G New Sequence Empty field See specification 93
O 53a Delivery Agent A or D See specification 94
O 56a Intermediary A or D See specification 95
O 86a Second Intermediary A or D See specification 96
M 57a Receiving Agent A or D See specification 97
End of Sequence G Payment Instructions for Interest Payable by Party A
Optional Sequence H Correlation, Volatility and Variance Swaps
M 15H New Sequence Empty field See specification 98
M 18D Number of Observation Dates 3n See specification 99
M 30Y Initial Observation Date 8!n See specification 100
M 30Z Final Observation Date 8!n See specification 101
M 84a Calculation Agent A, B, D, or J See specification 102
M 30M Valuation Date 8!n See specification 103
M 30S Settlement Date 8!n See specification 104
M 33H Vega Notional Amount 3!a15d See specification 105
M 32Q Currency Pair 3!a/3!a See specification 106
M 32E Settlement Currency 3!a See specification 107
----->
M 14S Settlement Rate Option/Rate Source 3!a2n[/4!n/4!c] See specification 108
-----|
End of Sequence H Correlation, Volatility and Variance Swaps
Optional Sequence I Amortising Schedule for Party B
M 15I New Sequence Empty field See specification 109
M 18A Number of Repetitions 5n See specification 110
----->
M 30G Variable Notional Start and End Date 8!n/8!n See specification 111
M 32U Outstanding Notional Currency and Amount 3!a15d See specification 112
-----|
M 14A Business Day Convention 9a See specification 113
M 18A Number of Repetitions 5n See specification 114
----->
M 22B Financial Centre 4!c See specification 115
-----|
End of Sequence I Amortising Schedule for Party B
Optional Sequence J Amortising Schedule for Party A
M 15J New Sequence Empty field See specification 116
M 18A Number of Repetitions 5n See specification 117
----->
M 30G Variable Notional Start and End Date 8!n/8!n See specification 118
M 32U Outstanding Notional Currency and Amount 3!a15d See specification 119
-----|
M 14A Business Day Convention 9a See specification 120
M 18A Number of Repetitions 5n See specification 121
----->
M 22B Financial Centre 4!c See specification 122
-----|
End of Sequence J Amortising Schedule for Party A
Optional Sequence K Exchanges of Principal Payable by Party B
M 15K New Sequence Empty field See specification 123
M 18A Number of Repetitions 5n See specification 124
----->
M 22X Type of Exchange 4!c See specification 125
M 30F Payment Date 8!n See specification 126
M 32M Currency, Payment Amount 3!a15d See specification 127
O 53a Delivery Agent A or D See specification 128
O 56a Intermediary A or D See specification 129
O 86a Second Intermediary A or D See specification 130
M 57a Receiving Agent A or D See specification 131
-----|
M 14A Business Day Convention 9a See specification 132
M 18A Number of Repetitions 5n See specification 133
----->
M 22B Financial Centre 4!c See specification 134
-----|
End of Sequence K Exchanges of Principal Payable by Party B
Optional Sequence L Exchanges of Principal Payable by Party A
M 15L New Sequence Empty field See specification 135
M 18A Number of Repetitions 5n See specification 136
----->
M 22X Type of Exchange 4!c See specification 137
M 30F Payment Date 8!n See specification 138
M 32M Currency, Payment Amount 3!a15d See specification 139
O 53a Delivery Agent A or D See specification 140
O 56a Intermediary A or D See specification 141
O 86a Second Intermediary A or D See specification 142
M 57a Receiving Agent A or D See specification 143
-----|
M 14A Business Day Convention 9a See specification 144
M 18A Number of Repetitions 5n See specification 145
----->
M 22B Financial Centre 4!c See specification 146
-----|
End of Sequence L Exchanges of Principal Payable by Party A
Optional Sequence M Additional Amounts Payable by Party B
M 15M New Sequence Empty field See specification 147
M 18A Number of Repetitions 5n See specification 148
----->
M 22E Type of Payment 4!c See specification 149
M 30F Payment Date 8!n See specification 150
M 32M Currency, Payment Amount 3!a15d See specification 151
-----|
M 14A Business Day Convention 9a See specification 152
M 18A Number of Repetitions 5n See specification 153
----->
M 22B Financial Centre 4!c See specification 154
-----|
O 53a Delivery Agent A or D See specification 155
O 56a Intermediary A or D See specification 156
O 86a Second Intermediary A or D See specification 157
O 57a Receiving Agent A or D See specification 158
End of Sequence M Additional Amounts Payable by Party B
Optional Sequence N Additional Amounts Payable by Party A
M 15N New Sequence Empty field See specification 159
M 18A Number of Repetitions 5n See specification 160
----->
M 22E Type of Payment 4!c See specification 161
M 30F Payment Date 8!n See specification 162
M 32M Currency, Payment Amount 3!a15d See specification 163
-----|
M 14A Business Day Convention 9a See specification 164
M 18A Number of Repetitions 5n See specification 165
----->
M 22B Financial Centre 4!c See specification 166
-----|
O 53a Delivery Agent A or D See specification 167
O 56a Intermediary A or D See specification 168
O 86a Second Intermediary A or D See specification 169
O 57a Receiving Agent A or D See specification 170
End of Sequence N Additional Amounts Payable by Party A
Optional Sequence O Optional General Information
M 15O New Sequence Empty field See specification 171
O 29A Contact Information 4*35x See specification 172
O 24D Dealing Method 4!c[/35x] See specification 173
O 88a Broker Identification A or D See specification 174
O 71F Broker's Commission 3!a15d See specification 175
O 21G Broker's Reference 16x See specification 176
End of Sequence O Optional General Information
Optional Sequence P Reporting Information
M 15P New Sequence Empty field See specification 177
-----> Optional Repetitive Subsequence P1 Reporting Parties
M 22L Reporting Jurisdiction 35x See specification 178
O 91a Reporting Party A, D, or J See specification 179
-----> Optional Repetitive Subsequence P1a Unique Transaction Identifier
M 22M UTI Namespace/Issuer Code 30x See specification 180
M 22N Transaction Identifier 32x See specification 181
-----> Optional Repetitive Subsequence P1a1 Prior Unique Transaction Identifier
M 22P PUTI Namespace/Issuer Code 30x See specification 182
M 22R Prior Transaction Identifier 32x See specification 183
-----| End of Subsequence P1a1 Prior Unique Transaction Identifier
-----| End of Subsequence P1a Unique Transaction Identifier
-----| End of Subsequence P1 Reporting Parties
O 96a Clearing Exception Party A, D, or J See specification 184
----->
O 22S Clearing Broker Identification 1!a/35x See specification 185
-----|
O 22T Cleared Product Identification 35x See specification 186
O 17E Clearing Threshold Indicator 1!a See specification 187
O 22U Underlying Product Identifier 6a See specification 188
O 35B Identification of Financial Instrument [ISIN1!e12!c]
[4*35x]
See specification 189
O 17H Allocation Indicator 1!a See specification 190 189
O 17P Collateralisation Indicator 1!a See specification 191 190
O 22V Execution Venue 35x See specification 192 191
O 98D Execution Timestamp 8!n6!n[,3n][/[N]2!n[2!n]] See specification 193 192
O 17W Non Standard Flag 1!a See specification 194 193
O 17Y Financial Nature of the Counterparty Indicator 1!a See specification 195 194
O 17Z Collateral Portfolio Indicator 1!a See specification 196 195
O 22Q Collateral Portfolio Code 10x See specification 197 196
O 17L Portfolio Compression Indicator 1!a See specification 198 197
O 17M Corporate Sector Indicator 1!a See specification 199 198
O 17Q Trade with Non-EEA Counterparty Indicator 1!a See specification 200 199
O 17S Intragroup Trade Indicator 1!a See specification 201 200
O 17X Commercial or Treasury Financing Indicator 1!a See specification 202 201
O 77A Additional Reporting Information 20*35x See specification 203 202
End of Sequence P Reporting Information
M = Mandatory, O = Optional - Network Validated Rules may apply