MT514: (20) Field 22a: Indicator
FORMAT
Option F | :4!c/[8c]/4!c | (Qualifier)(Data Source Scheme)(Indicator) |
Option H | :4!c//4!c | (Qualifier)(Indicator) |
PRESENCE
Mandatory in mandatory sequence B
QUALIFIER
(Error code(s): T89)
Order |
M/O |
Qualifier |
R/N |
CR |
Options |
Qualifier Description |
---|---|---|---|---|---|---|
1 |
M |
BUSE |
N |
|
H |
Buy/Sell Indicator |
2 |
O |
PRIC |
N |
C2 |
F |
Type of Price Indicator |
3 |
O |
PROC |
N |
|
F |
Processing Indicator |
4 |
O |
RPOR |
R |
|
F |
Reporting Indicator |
5 |
O |
PRIR |
N |
|
F |
Priority Indicator |
6 |
O |
SETG |
N |
|
F |
Settlement Instruction Generation Indicator |
7 |
O |
TTCO |
R |
|
F |
Trade Transaction Condition Indicator |
8 |
O |
COST |
N |
|
F |
Commission Type Indicator |
9 |
M |
PAYM |
N |
|
H |
Payment Indicator |
10 |
O |
CATB |
N |
|
F |
Charges/Tax Basis Indicator |
11 |
O |
TRCN |
R |
|
F |
Trade Regulatory Conditions Indicator |
DEFINITION
This qualified generic field specifies:
BUSE |
Buy/Sell Indicator |
Specifies whether the transaction relates to the sale or purchase of financial instruments. |
CATB |
Charges/Tax Basis Indicator |
Specifies the method used to calculate a charge/tax. |
COST |
Commission Type Indicator |
Specifies the commission sharing type under which the order is to be executed. |
PAYM |
Payment Indicator |
Specifies whether the instruction is free or against payment. |
PRIC |
Type of Price Indicator |
Specifies the type of transaction price. |
PRIR |
Priority Indicator |
Specifies the execution priority of the trade. |
PROC |
Processing Indicator |
Specifies additional information relative to the processing of the trade. |
RPOR |
Reporting Indicator |
Specifies whether the trade details must be reported to a regulatory organisation. |
SETG |
Settlement Instruction Generation Indicator |
Specifies whether a settlement instruction must be generated by an Electronic Trade Confirmation (ETC) service provider. |
TRCN |
Trade Regulatory Conditions Indicator |
Specifies the trade regulatory conditions, for example, in the US under SEC regulation 10.b.10. |
TTCO |
Trade Transaction Condition Indicator |
Specifies the conditions under which the order/trade was executed. |
CODES
In option H, if Qualifier is BUSE, Indicator must contain one of the following codes:
BUYI |
Buy |
Transaction is a purchase of financial instrument by the instructing party. |
CROF |
Cross From |
Transaction is a cross from (Funds Industry). |
CROT |
Cross To |
Transaction is a cross to (Funds Industry). |
DIVR |
Reinvestment of Dividend Order |
Transaction is a reinvestment of dividend order (Funds Industry. Not to be used for corporate actions). |
IPOO |
IPO Order |
Transaction is an IPO order. |
REDM |
Redemption |
Transaction is a redemption of funds. |
SELL |
Sell |
Transaction is a sale of financial instrument by the instructing party. |
SUBS |
Subscription |
Transaction is a subscription to funds. |
SWIF |
Switch From |
Transaction is a change of an investment from one sub-fund to another sub-fund (redemption-leg). |
SWIT |
Switch To |
Transaction is a change of an investment from one sub-fund to another sub-fund (subscription-leg). |
CODES
In option F, if Qualifier is PRIC and Data Source Scheme is not present, Indicator must contain one of the following codes:
AVER |
Average Execution Price |
Price is an average execution price. |
AVOV |
Override of the Average Price |
Price is an override of the average price. |
COMB |
Combined Expenses |
Price is a combined expenses price (used in the UK market). |
GREX |
Gross Execution Price |
Price is an all inclusive price, that is, including all charges, fees and taxes. |
NDIS |
Net to Client Disclosed |
Price is net to the client disclosed (used in the UK market). |
NET1 |
Net Price 1 |
Price is a net price, that is, net of all charges, taxes, or fees. |
NET2 |
Net Price 2 |
Price is a net price, that is, net only of local broker's commission, local fees, or local taxes. |
NOGR |
Notional Gross |
Price is notional gross (used in the UK market). |
NUND |
Net to Client Undisclosed |
Price is net to the client undisclosed (used in the UK market). |
PARV |
Par Value |
Price is a par value or equal to the nominal or face value of the instrument. |
RDAV |
Rounded Average Price |
Price is a rounded average price. |
CODES
In option F, if Qualifier is PROC and Data Source Scheme is not present, Indicator must contain one of the following codes:
CLOP |
Close Position |
Trade is to close a position. |
OPEP |
Open Position |
Trade is to open a position. |
CODES
In option F, if Qualifier is RPOR and Data Source Scheme is not present, Indicator must contain one of the following codes:
EXCH |
Stock Exchange |
Trade details are to be reported to a stock exchange. This stock exchange is identified in sequence D Other Parties. |
TRRE |
Trade Details Reported |
Trade details are to be reported to a regulatory organisation. This stock regulatory organisation is identified in sequence D Other Parties. |
CODES
In option F, if Qualifier is SETG and Data Source Scheme is not present, Indicator must contain one of the following codes:
GENS |
Instruction Generation by ETC Provider |
Specifies if the ETC service provider is to generate a settlement instruction. |
NOGE |
Not Instruction Generation by ETC Provider |
Specifies if the ETC service provider is not to generate a settlement instruction where a previous agreement to do so exists. |
CODES
In option F, if Qualifier is TTCO and Data Source Scheme is not present, Indicator must contain one of the following codes:
BCBL |
Board Lots |
Trade is to be executed on board lots; not set for odd lots (UK specific). |
BCBN |
Bad Names |
Trade is to be executed on bad names, not set for good names (UK specific). |
BCFD |
Form of Delivery |
Not for foreign registration when unset (UK specific). |
BCPD |
Place of Delivery |
In country of incorporation when unset (UK specific). |
BCRO |
Result of Option When Set |
Result of option when set (UK specific). |
BCRP |
Result of Repo When Set |
Result of repo when set (UK specific). |
BLKO |
Block Order |
Trade is a block trade, allocation instructions will follow. |
BTEX |
Best Execution |
Trade was executed at best execution. |
BTMI |
Bought Minus |
Bought minus indicator. |
CALL |
Call |
Trade executed following the exercise of a call option on the security. |
CBNS |
Cum Bonus |
Trade is executed cum bonus. |
CCPN |
Cum Coupon |
Trade is executed cum coupon. |
CDIV |
Cum Dividend |
Trade is executed cum dividend. |
CLBR |
Closure Before Rollover |
Trade executed for closure of a previous position before the rollover of a position (Deferred Settlement Service). |
CLEN |
Clean |
Trade is to be executed clean, that is, does not pay government tax on the accrued interest on the bond, and consequently price is higher. |
CRST |
Cross Trade Allowed |
Cross trades are allowed whereby buy and sell orders are offset without recording the trade on the exchange. |
CRTS |
Cum Rights |
Trade is executed cum rights. |
CWAR |
Cum Warrants |
Trade is executed cum warrants. |
DIOR |
Directed Order |
Trade is executed with a specific trading party. |
DIRT |
Dirty |
Trade is executed dirty, that is, pay government tax on the accrued interest of the bond. |
DORD |
Direct Order |
Trade is executed by a trading party other than the trading party to which the order is sent. In this case, the instructing party has traded with another broker which will subsequently send an advice of execution to the executing party. |
FRAC |
Fractional Parts Allowed |
Fractional parts allowed. |
GTDL |
Guaranteed Delivery |
Delivery of the financial instrument on settlement date is guaranteed. |
MAPR |
Market Price |
The trade was executed at market price. |
MONT |
Monthly |
Trade executed for month-end settlement (Deferred Settlement Service). |
NBFR |
New Trade Following Rollover |
Trade executed for a new trade position on the next month following the rollover of a position (Deferred Settlement Service). |
NCRS |
No Cross Trade Allowed |
No cross trade allowed. |
NEGO |
Negotiated Trade |
A negotiated trade is a trade for which the price is not the one quoted but an improved one that is, negotiated price. |
NMPR |
Non-Market Price |
The trade was executed outside of normal market conditions (for example, in the case of an iceberg order). |
PUTT |
Putt |
Trade executed following the exercise of a put option on the security. |
SETI |
Sold Exempt |
Trade is exempt from short-sale rules. |
SPCU |
Special Cum Dividend |
Trade is executed with a special cum dividend, that is, buying after the ex date and getting the dividend. |
SPEX |
Special Ex Dividend |
Trade is executed with a special ex dividend, that is, selling before the ex date without the coupon. |
SPSI |
Sold Plus |
Sold plus indication. |
SSTI |
Sold Short |
Sold short indication. |
TRFR |
Trade Following Rollover |
Trade executed on the next month following the rollover of positions. |
XBNS |
Ex Bonus |
Trade is executed ex bonus. |
XCPN |
Ex Coupon |
Trade is executed ex coupon. |
XDIV |
Ex Dividend |
Trade is executed ex dividend. |
XRTS |
Ex Rights |
Trade is executed ex rights. |
XWAR |
Ex Warrants |
Trade is executed ex warrants. |
CODES
In option F, if Qualifier is COST and Data Source Scheme is not present, Indicator must contain one of the following codes:
CLDI |
Per Client Agreement |
Commission is as per client agreement. |
FLAT |
Flat Fee |
Commission is a flat fee. |
PERN |
Percentage of Principal in Basis Points |
Commission is a percentage of principal. |
PERU |
Per Unit |
Commission is per unit of financial instrument. |
PWCD |
Percentage Commission Waived as Cash Discount |
Commission is a percentage commission waived as cash discount. |
PWEU |
Percentage Commission Waived as Additional Units |
Commission is a percentage commission waived as additional units. |
SOFT |
Soft Dollar Commission Sharing |
Commission is a soft dollar percentage commission. |
STEP |
Commission Sharing Type is for Step-out Trade |
Commission is for a step-out trade. |
CODES
In option H, if Qualifier is PAYM, Indicator must contain one of the following codes:
APMT |
Against Payment |
Against payment. |
FREE |
Free |
Free. |
CODES
In option F, if Qualifier is CATB and Data Source Scheme is not present, Indicator must contain one of the following codes:
FLAT |
Charges/Tax Basis Flat or Absolute |
Charges/tax basis is flat or absolute for the trade being allocated. |
PERU |
Charges/Tax Basis per Unit |
Charge/tax basis is per unit of financial instrument. |
CODES
In option F, if Qualifier is TRCN and Data Source Scheme is not present, Indicator must contain one of the following codes:
SOLI |
Solicited |
Trade was solicited by the executing broker. The broker has suggested to his client to buy/sell financial instruments. |
USOL |
Unsolicited |
Trade was unsolicited. The client acts on its own without advice from the executing broker. |
CODES
If Qualifier is PRIR and Data Source Scheme is not present, Indicator must contain a numerical value in the range 0001 - 9999 where 0001 refers to the highest priority.