GROUP · SOURCE ID 2061
TrdCapRptSideGrp
Definition
No definition is supplied in this source.
This is a reusable definition. Requiredness is relative to this structure; its use and conditions in a message remain on that message's page. Version links browse the other dictionary, not an assumed equivalent component.
Direct members
Number of sides
Execution Identifier assigned by Market - used when each side of a trade is assigned its own unique ExecID
Used to indicate the quantity on one side of a multi-sided Trade Capture Report
Used to indicate the report ID on one side of a multi-sided Trade Capture Report
Used for order routing to indicate the Fill Station Code on one side of a multi-sided Trade Capture Report
Used to indicate the reason of a multi-sided Trade Capture Report
Used for order routing to indicate the fill sequence on one side of a multi-sided Trade Capture Report
Used to support multi-sided orders of different trade types
Code to represent whether value is net (inclusive of tax) or gross.
Used to Identify the Currency of the Trade Report Side.
Used to Identify the Settlement Currency of the Trade Report Side.
Range of values on report:
Required for executions against electronically submitted orders which were assigned an account by the institution or intermediary
Specifies type of account
Used to specify Step-out trades
The customer capacity for this trade
Usually the same for all sides of a trade, if reported only on the first side the same TradingSessionID then applies to all sides of the trade
Usually the same for all sides of a trade, if reported only on the first side the same TradingSessionSubID then applies to all sides of the trade
Note: On a fill/partial fill messages, it represents value for that fill/partial fill, on ExecType=Calculated, it represents cumulative value for the order. Monetary commission values are expressed in the currency reflected by the Currency field.
For repurchase agreements the accrued interest on termination.
For repurchase agreements the start (dirty) cash consideration
For repurchase agreements the end (dirty) cash consideration
Note: On a fill/partial fill messages, it represents value for that fill/partial fill, on ExecType=Calculated, it represents cumulative value for the order. Value expressed in the currency reflected by the Currency field.
Used to report results of forex accommodation trade
Foreign exchange rate used to compute SettlCurrAmt from Currency to SettlCurrency
Specifies whether the SettlCurrFxRate should be multiplied or divided
For use in derivatives omnibus accounting
May be used by the executing market to record any execution Details that are particular to that market
Must be set if EncodedText field is specified and must immediately precede it.
Encoded (non-ASCII characters) representation of the Text field in the encoded format specified via the MessageEncoding field.
Default is a single security if not specified. Provided to support the scenario where a single leg instrument trades against an individual leg of a multileg instrument.
Used to report any exchange rules that apply to this trade.
Identifies if the trade is to be allocated
Used to assign an ID to the block of preallocations
Used to indicate the regulatory time stamp on one side of a multi-sided Trade Capture Report.
Conveys settlement account details reported as part of obligation
Order details for the order associated with this side of the trade
Used in messages
Direct parent structures
No parent component or group in this snapshot.