SecuritiesTradeConfirmationStatusAdviceV04setr.044.001.04

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Definition: Settlement date expressed as an ISO 20022 code.

Type: SettlementDate5Code (String)

Allowed Values:

  • REGU (Regular): Settlement takes place under the standard rules applicable to the market and instrument.
  • CASH (Cash): Settlement takes place on the trade date.
  • NXTD (Next Day): Settlement takes place on the day after trade date.
  • TONE (T Plus One): Settlement takes place on the trade date plus one business day.
  • TTWO (T Plus Two): Settlement takes place on the trade date plus two business days.
  • TTRE (T Plus Three): Settlement takes place on the trade date plus three business days.
  • TFOR (T Plus Four): Settlement takes place on the trade date plus four business days.
  • TFIV (T Plus Five): Settlement takes place on the trade date plus five business days.
  • SELL (Sellers Option): Settlement takes place at the choice/ option of the seller.
  • WDIS (When Distributed): Settlement takes place when the financial instrument is distributed.
  • WHID (When Issued Or Distributed): Settlement takes place when the financial instrument is issued or distributed.
  • TBAT (To Be Announced Trade): Settlement takes place as a result of a "to be announced" trade.
  • WISS (When Issued): Settlement is to be done when the security is issued.

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