DepositoryTrustCompany
| ID | 23225 |
List of user-defined fields for The Depository Trust Company.
Field | Name | Type | Req'd | Comments | Pedigree |
|---|---|---|---|---|---|
7109 | Indicates the role of the party affirming the trade. Valid Values: 0 = Trade not yet affirmed (in confirmation stage), 1 = trade affirmed by Agent, 2 = trade affirmed by Institution, 3 = affirming party not specified (trade affirmed by Agent as determined by DTCC), 4 = affirming party not specified (trade affirmed by Institution as determined by DTCC), 5 = trade affirmed by customer or interested party | ||||
7002 | Identification number for the Agent. | ||||
7003 | The Agent’s internal account number. | ||||
7101 | The internal account number used by the Institution to identify the client data type: char | ||||
7105 | Indicates that an attempt to cancel a trade was made after an affirmation has been received. Value Values: Y = Yes, N = No | ||||
7104 | Indicates whether an Advice of Correction/Cancellation has been received from the Institution. Valid Values: Y = Yes, N = No | ||||
7103 | Indicates the type of confirmation transaction. Valid Values: 1 = New Confirmation, 3 = Cancellation, 4 = Resubmission, 6 = Affirm/Confirm reversal | ||||
7008 | This indicator is used if the institution has attempted to cancel an allocation after at least one of the sub-accounts has matched to a confirmation. | ||||
7106 | Indicates whether the trade was disaffirmed by the prime broker. Valid values: Y = Yes, N= No | ||||
7102 | Indicates the matching status of the trade. Valid Values: 0 = Not intended for matching, 1 = Intended for matching ut unmatched, 2 = Trade has matched Institution Instructions (Allocation) | ||||
7013 | The executing broker’s account number at the clearing broker. | ||||
7012 | The entity who will receive or deliver on behalf of the executing broker. | ||||
7009 | Indicates whether the allocation has matched the trade input.valid values: 0 = not destined for matching 1 = destined for matching 2 = allocation has matched 3 = unmatched allocation | ||||
7107 | The difference between the net amount of the trade and the net amount of the matching allocation. data type: float | ||||
7014 | The recipient’s role in the allocation.valid values: 03 = executing broker-dealer 08 = executing broker-dealer’s clearing broker 21 = submitting institution 23 = executing broker-dealer’s branch 25 = step-in broker-dealer 27 = step-in broker-dealer’s branch 31 = step-in broker-dealer’s clearing broker | ||||
7001 | Country or Depository in which the security will be settled.valid values: BRC = Broker Custody CED = CEDEL DTC = DTCC EUR = Euroclear FED = Federal Reserve Bank of NY FNB = First Nat’l. Bank of Chicago PTC = Participant’s Trust Company US = US Physical | ||||
7011 | The step-in broker’s account number at the step-in clearing broker. | ||||
7010 | The entity who will receive or deliver on behalf of the Step-in broker-dealer. | ||||
7004 | The reason an institution is stepping out of an allocation.valid values: 000 = unspecified 001 = research 002 = client directed 003 = client recapture 004 = liquidation 005 = soft dollar 006 = client soft dollar 007 = contracted services 008 = minority firm 009 = custodial expenses | ||||
7005 | The reason an institution is stepping out of an allocation.valid values: 000 = unspecified 001 = research 002 = client directed 003 = client recapture 004 = liquidation 005 = soft dollar 006 = client soft dollar 007 = contracted services 008 = minority firm 009 = custodial expenses | ||||
7006 | The reason an institution is stepping out of an allocation.valid values: 000 = unspecified 001 = research 002 = client directed 003 = client recapture 004 = liquidation 005 = soft dollar 006 = client soft dollar 007 = contracted services 008 = minority firm 009 = custodial expenses | ||||
7007 | Free-form text reason an institution is stepping out of an allocation. | ||||
7108 | The direction of the Matching Variance. Valid Values: I = Allocation net amount is greater than Trade Input, B = Broker Trade Input net amount is greater than Institution net amount, E = Institution net amount equals broker net amount, or confirm not intended for matching |
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