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MT 518 Field Specifications

12. Field 98a: Date/Time

FORMAT

Option A :4!c//8!n (Qualifier)(Date)
Option B :4!c/[8c]/4!c (Qualifier)(Data Source Scheme)(Date Code)
Option C :4!c//8!n6!n (Qualifier)(Date)(Time)
Option E :4!c//8!n6!n[,3n][/[N]2!n[2!n]] (Qualifier)(Date)(Time)(Decimals)(UTC Indicator)

PRESENCE

Mandatory in mandatory sequence B

QUALIFIER

(Error code(s): T89)

Order M/O Qualifier R/N CR Options Qualifier Description
1 M TRAD N   A, B, C, or E Trade Date/Time
2 M SETT N   A, B, or C Settlement Date/Time
3 O NAVD N   A or C Net Asset Value Calculation Date/Time

DEFINITION

This qualified generic field specifies:

NAVD Net Asset Value Calculation Date/Time Date/time at which the net asset value is calculated (funds industry).
SETT Settlement Date/Time Date/time at which the financial instruments are to be delivered or received.
TRAD Trade Date/Time Date/time at which the trade was executed.

CODES

In option B, if Qualifier is TRAD and Data Source Scheme is not present, Date Code must contain the following code (Error code(s): K98):

VARI Various Partial trades have occurred over a period of two or more days.

CODES

In option B, if Qualifier is SETT and Data Source Scheme is not present, Date Code must contain one of the following codes (Error code(s): K98):

CASH Cash Settlement is to be completed Cash (TOD/T+0).
NEDA Next Day Settlement is to be completed on the next Day (TOM/T+1).
OTHR Other Other settlement date.
REGU Regular Regular is defined as the default settlement period for the particular security on the exchange of execution (for example, T+1 or T+2 depending on currency).
SEOP Seller's Option Settlement is to be completed at the seller's option.
TBAT To Be Announced Settlement is to be completed as a result of a 'to be announced' trade.
TPL2 T+2 Settlement is to be completed at T+2.
TPL3 T+3 Settlement is to be completed at T+3.
TPL4 T+4 Settlement is to be completed at T+4.
TPL5 T+5 Settlement is to be completed at T+5.
WDIS When Distributed Settlement is to be completed when the security is distributed.
WIDI When Issued or Distributed Settlement is to be completed when the security is issued or when distributed.
WISS When Issued Settlement is to be completed when the security is issued.

NETWORK VALIDATED RULES

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

Time must be a valid time expressed as HHMMSS (Error code(s): T38).

UTC Indicator must be a valid time expressed as HH[MM] (Error code(s): T39).

Sign ([N]) must not be used when UTC Indicator is equal to all zeroes (Error code(s): T14).

USAGE RULES

Trade Date/Time, when used with format 98C or 98E, must be the local time of the place of trade, for example, of the stock exchange, or of the selling broker for OTC.