11. Annexure B - Advice tags and their descriptions

All the Advice Tags available in the ETD module have been classified under relevant sub-heads and listed along with their descriptions.

This chapter contains the following sections:

11.1 Branch Details

This section contains the following topics:

11.1.1 Advice Tag Description

Advice tag

Description

_BRN­NAME_

This is the name of the Branch where the advice was generated.

_BRNA­DD1_

_BRNA­DD2_

_BRNA­DD3_

This is the address for correspondence of the branch, which sent the advice. Each line of the address can contain a maximum of 35 charac­ters.

There are three lines in which the branch address for correspondence can be keyed in.

11.1.2 Customer Details

Advice tag

Description

_CSNAME_

This is the name of the receiver of the advice.

_ADRS1

_ADRS2_

_ADRS3_

_ADRS4_

This is the address for correspondence of the receiver of the advice. Each line of the address can contain a maximum of 35 characters.

There are four lines in which the receivers address for correspondence can be keyed in.

11.1.3 Underlying Asset Details

Advice tag

Description

_ASSTYP_

This is the Asset Type under which the underlying asset is grouped.

_COMDTY_

This is the name of the underlying asset.

_COM­DESC_

This is the description assigned to the underlying asset.

_ASSNAT_

This indicates the basic nature of the asset.

_COM­PRSZ_

This indicates the manner in which the underlying asset has been prized in the market.

_COM­PRUT_

This is the Prizing Unit at which the underlying asset has been prized.

11.1.4 Charge Details

Advice tag

Description

_CHG­COMP_

This is the Charge component that has been linked to the deal.

_CHGCCY_

This is the currency in which charges have been collected.

_CHGAMT_

This is the charge amount.

11.1.5 Portfolio Details

Advice tag

Description

_PFOLIOID_

This is the reference number, which uniquely identifies the Portfolio.

_PFOLD­ESC_

This is the description assigned to the portfolio.

_CSNAME_

This is the name of the receiver of the advice.

_ADRS1

_ADRS2_

_ADRS3_

_ADRS4_

This is the address for correspondence of the receiver of the advice. Each line of the address can contain a maximum of 35 characters.

There are four lines in which the receivers address for correspondence can be keyed in.

11.1.6 Series Details

Advice tag

Description

_SERIES_

This is the Series ID of the instrument series.

_SER­DESC_

This is the description assigned to the series.

_STRPRI_

This is the strike price of the instrument series.

_STARTDT_

This is the start date of the instrument series.

_EXPRDT_

This is the end date of the instrument series.

11.1.7 Instrument Details

Advice tag

Description

_INSTRID_

This is the ID or Reference Number of the instrument.

_INSTR­DESC_

This is the description assigned to the instrument involved in the deal.

_CON­TRSTD_

These are the standard details of the contract.

_CONTR­VAL_

This is the actual value of the contract.

_ASSTYP_

This is the Asset Type under which the underlying asset is grouped.

_COMDTY_

This is the name of the underlying asset.

_COM­DESC_

This is the description assigned to the underlying asset.

_ASSNAT_

This indicates the basic nature of the asset.

_COMPRSZ_

This indicates the manner in which the underlying asset has been prized in the market.

_COM­PRUT_

This is the Prizing Unit at which the underlying asset has been prized.

11.1.8 Broker Details

Advice tag

Description

_BRKID_

This is the code or ID of the Broker.

_BRKNAME_

This is the name of the Broker.

_CSNAME_

This is the name of the receiver of the advice.

_ADRS1

_ADRS2_

_ADRS3_

_ADRS4_

This is the address for correspondence of the receiver of the advice. Each line of the address can contain a maximum of 35 characters.

There are four lines in which the receivers address for correspondence can be keyed in.

11.1.9 Long Short deal details

Advice tag

Description

_BRANCH_

This is the branch code of the branch where the deal was initiated.

_BRN­NAME_

This is the name of the Branch where the advice was generated.

_BRNADD1_

_BRNADD2_

_BRNADD3_

This is the address for correspondence of the branch, which sent the advice. Each line of the address can contain a maximum of 35 charac­ters.

There are three lines in which the branch address for correspondence can be keyed in.

_INSTRID_

This is the ID or Reference Number of the instrument.

_INSTR­DESC_

This is the description assigned to the instrument involved in the deal.

_CON­TRSTD_

These are the standard details of the contract.

_CONTR­VAL_

This is the actual value of the contract.

_ASSTYP_

This is the Asset Type under which the underlying asset is grouped.

_COMDTY_

This is the name of the underlying asset.

_COM­DESC_

This is the description assigned to the underlying asset.

_ASSNAT_

This indicates the basic nature of the asset.

_COM­PRSZ_

This indicates the manner in which the underlying asset has been prized in the market.

_COM­PRUT_

This is the Prizing Unit at which the underlying asset has been prized.

_SERIES_

This is the Series ID of the instrument series.

_SERDESC_

This is the description assigned to the series.

_STRPRI_

This is the strike price of the instrument series.

_STARTDT_

This is the start date of the instrument series.

_EXPRDT_

This is the end date of the instrument series.

_BRKID_

This is the code or ID of the Broker.

_BRKNAME_

This is the name of the Broker.

_PFOLIOID_

This is the reference number, which uniquely identifies the Portfolio.

_PFOLD­ESC_

This is the description assigned to the portfolio.

_CSNAME_

This is the name of the receiver of the advice.

_ADRS1

_ADRS2_

_ADRS3_

_ADRS4_

This is the address for correspondence of the receiver of the advice. Each line of the address can contain a maximum of 35 characters.

There are four lines in which the receivers address for correspondence can be keyed in.

_CHG­COMP_

This is the Charge component that has been linked to the deal.

_CHGCCY_

This is the currency in which charges have been collected.

_CHGAMT_

This is the charge amount.

_DLREF_

This is the reference number assigned to the deal.

_DLTYPE_

This indicates the deal Type, whether it is a liquidation deal or a Long/Short deal.

_NOCTRS_

This indicates the number of contracts within the basket that have to be liquidated.

_BRKACC_

This is the account number of the broker involved in the deal.

_OPTFUT_

This indicates whether the contract is an Option or a Future.

_TXNDT_

This is the date on which the transaction was entered in Oracle FLEX­CUBE.

_MVALDT_

This is the day on which the settlement of liquidation gains/losses is to be done.

_VALDT_

This is the date on which the basket is to be liquidated.

_TIME_

This is the exact time at which the deal transaction took place in the exchange.

_ASSCYY_

This is the Asset Currency.

_PRICCY_

This is the currency in which the instrument is prized.

_FUTPRI_

This is the future price, which is expressed in terms of the instrument pricing unit. For index-based futures this price is expressed in terms of index points per contract.

_OPTPRM_

This is the price at which the option was bought. For index based options this is the price is specified in index points per contract.

11.1.10 Liquidation deal details

Advice tag

Description

_BRANCH_

This is the branch code of the branch where the deal was initiated.

_BRN­NAME_

This is the name of the Branch where the advice was generated.

_BRNADD1_

_BRNADD2_

_BRNADD3_

This is the address for correspondence of the branch, which sent the advice. Each line of the address can contain a maximum of 35 charac­ters.

There are three lines in which the branch address for correspondence can be keyed in.

_INSTRID_

This is the ID or Reference Number of the instrument.

_INSTR­DESC_

This is the description assigned to the instrument involved in the deal.

_CON­TRSTD_

These are the standard details of the contract.

_CONTR­VAL_

This is the actual value of the contract.

_ASSTYP_

This is the Asset Type under which the underlying asset is grouped.

_COMDTY_

This is the name of the underlying asset.

_COM­DESC_

This is the description assigned to the underlying asset.

_ASSNAT_

This indicates the basic nature of the asset.

_COM­PRSZ_

This indicates the manner in which the underlying asset has been prized in the market.

_COM­PRUT_

This is the Prizing Unit at which the underlying asset has been prized.

_SERIES_

This is the Series ID of the instrument series.

_SERDESC_

This is the description assigned to the series.

_STRPRI_

This is the strike price of the instrument series.

_STARTDT_

This is the start date of the instrument series.

_EXPRDT_

This is the end date of the instrument series.

_BRKID_

This is the code or ID of the Broker.

_BRKNAME_

This is the name of the Broker.

_PFOLIOID_

This is the reference number, which uniquely identifies the Portfolio.

_PFOLD­ESC_

This is the description assigned to the portfolio.

_CSNAME_

This is the name of the receiver of the advice.

_ADRS1

_ADRS2_

_ADRS3_

_ADRS4_

This is the address for correspondence of the receiver of the advice. Each line of the address can contain a maximum of 35 characters.

There are four lines in which the receivers address for correspondence can be keyed in.

_CHG­COMP_

This is the Charge component that has been linked to the deal.

_CHGCCY_

This is the currency in which charges have been collected.

_CHGAMT_

This is the charge amount.

_DLREF_

This is the reference number assigned to the deal.

_DLTYPE_

This indicates the deal Type, whether it is a liquidation deal or a Long/Short deal.

_BSKREF_

This is the reference number of the basket to which the deal belongs.

_OPTFUT_

This indicates whether the contract is an Option or a Future.

_COSPT­PRI_

This is the spot price of the underlying asset involved in the instrument.

_SVALDT_

This is the date on which the liquidation gains/losses will be settled.

_MVALDT_

This is the day on which the settlement of liquidation gains/losses is to be done.

_VALDT_

This is the date on which the basket is to be liquidated.

_TXNDT_

This is the date on which the transaction was entered in Oracle FLEX­CUBE.

_TIME_

This is the exact time at which the deal transaction took place in the exchange.

_NOCTRS_

This indicates the number of contracts within the basket that have to be liquidated.

_BRKACC_

This is the broker account involved in the transaction.

_ASSCYY_

This is the Asset Currency.

_PRICCY_

This is the currency in which the instrument is prized.

_ESETAMT_

This is the Underlying asset spot price multiplied by the underlying pric­ing multiple for the instrument.

11.2 Message Types

This section contains the following topics:

11.2.1 Transactions Holdings Statements for a Portfolio

Advice tag

Description

_FROMDT_

This is the date from which the transaction holdings statement for the portfolio is being provided.

_TODT_

This is the to date from which the transaction holdings statement for the portfolio is being provided.

_OPENBAL_

This indicates the opening balance in the portfolio.

_CLOSBAL_

This indicates the closing balance in the portfolio.

_BRANCH_

This is the branch code of the branch where the deal was initiated.

_BRN­NAME_

This is the name of the Branch where the advice was generated.

_BRNADD1_

_BRNADD2_

_BRNADD3_

This is the address for correspondence of the branch, which sent the advice. Each line of the address can contain a maximum of 35 charac­ters.

There are three lines in which the branch address for correspondence can be keyed in.

_INSTRID_

This is the ID or Reference Number of the instrument.

_INSTR­DESC_

This is the description assigned to the instrument involved in the deal.

_CON­TRSTD_

These are the standard details of the contract.

_CONTR­VAL_

This is the actual value of the contract.

_ASSTYP_

This is the Asset Type under which the underlying asset is grouped.

_COMDTY_

This is the name of the underlying asset.

_COM­DESC_

This is the description assigned to the underlying asset.

_ASSNAT_

This indicates the basic nature of the underlying asset..

_COM­PRSZ_

This indicates the manner in which the underlying asset has been prized in the market.

_COM­PRUT_

This is the Prizing Unit at which the underlying asset has been prized.

_SERIES_

This is the Series ID of the instrument series.

_SERDESC_

This is the description assigned to the series.

_STRPRI_

This is the strike price of the instrument series.

_STARTDT_

This is the start date of the instrument series.

_EXPRDT_

This is the end date of the instrument series.

_BRKID_

This is the code or ID of the Broker.

_BRKNAME_

This is the name of the Broker.

_PFOLIOID_

This is the reference number, which uniquely identifies the Portfolio.

_PFOLD­ESC_

This is the description assigned to the portfolio.

_CSNAME_

This is the name of the receiver of the advice.

_ADRS1

_ADRS2_

_ADRS3_

_ADRS4_

This is the address for correspondence of the receiver of the advice. Each line of the address can contain a maximum of 35 characters.

There are four lines in which the receivers address for correspondence can be keyed in.

_CHG­COMP_

This is the Charge component that has been linked to the deal.

_CHGCCY_

This is the currency in which charges have been collected.

_CHGAMT_

This is the charge amount.

_DLREF_

This is the reference number assigned to the deal.

_DLTYPE_

This indicates the deal Type, whether it is a liquidation deal or a Long/Short deal.

_NOCTRS_

This indicates the number of contracts within the basket that have to be liquidated.

_BRKACC_

This is the account number of the broker involved in the deal.

_OPTFUT_

This indicates whether the contract is an Option or a Future.

_TXNDT_

This is the date on which the transaction was entered in Oracle FLEX­CUBE.

_MVALDT_

This is the day on which the settlement of liquidation gains/losses is to be done.

_VALDT_

This is the date on which the basket is to be liquidated.

_TIME_

This is the exact time at which the deal transaction took place in the exchange.

_ASSCYY_

This is the Asset Currency.

_PRICCY_

This is the currency in which the instrument is prized.

_FUTPRI_

This is the future price, which is expressed in terms of the instrument pricing unit. For index-based futures this price is expressed in terms of index points per contract.

_OPTPRM_

This is the price at which the option was bought. For index based options this is the price is specified in index points per contract.

_BSKREF_

This is the reference number of the basket to which the deal belongs.

_COSPT­PRI_

This is the spot price of the underlying asset involved in the instrument.

_SVALDT_

This is the date on which the liquidation gains/losses will be settled.

_ESETAMT_

This is the Underlying spot price multiplied by the underlying asset-pricing multiple for the instrument.

11.2.2 Long Short Deal Confirmation advice

Advice tag

Description

_BRANCH_

This is the branch code of the branch where the deal was initiated.

_BRN­NAME_

This is the name of the Branch where the advice was generated.

_BRNADD1_

_BRNADD2_

_BRNADD3_

This is the address for correspondence of the branch, which sent the advice. Each line of the address can contain a maximum of 35 charac­ters.

There are three lines in which the branch address for correspondence can be keyed in.

_INSTRID_

This is the ID or Reference Number of the instrument.

_INSTR­DESC_

This is the description assigned to the instrument involved in the deal.

_CON­TRSTD_

These are the standard details of the contract.

_CONTR­VAL_

This is the actual value of the contract.

_ASSTYP_

This is the Asset Type under which the underlying asset is grouped.

_COMDTY_

This is the name of the underlying asset.

_COM­DESC_

This is the description assigned to the underlying asset.

_ASSNAT_

This indicates the basic nature of the underlying asset.

_COM­PRSZ_

This indicates the manner in which the underlying assethas been prized in the market.

_COM­PRUT_

This is the Prizing Unit at which the underlying assethas been prized.

_SERIES_

This is the Series ID of the instrument series.

_SERDESC_

This is the description assigned to the series.

_STRPRI_

This is the strike price of the instrument series.

_STARTDT_

This is the start date of the instrument series.

_EXPRDT_

This is the end date of the instrument series.

_BRKID_

This is the code or ID of the Broker.

_BRKNAME_

This is the name of the Broker.

_PFOLIOID_

This is the reference number, which uniquely identifies the Portfolio.

_PFOLD­ESC_

This is the description assigned to the portfolio.

_CSNAME_

This is the name of the receiver of the advice.

_ADRS1

_ADRS2_

_ADRS3_

_ADRS4_

This is the address for correspondence of the receiver of the advice. Each line of the address can contain a maximum of 35 characters.

There are four lines in which the receivers address for correspondence can be keyed in.

_CHG­COMP_

This is the Charge component that has been linked to the deal.

_CHGCCY_

This is the currency in which charges have been collected.

_CHGAMT_

This is the charge amount.

_DLREF_

This is the reference number assigned to the deal.

_DLTYPE_

This indicates the deal Type, whether it is a liquidation deal or a Long/Short deal.

_NOCTRS_

This indicates the number of contracts within the basket that have to be liquidated.

_BRKACC_

This is the account number of the broker involved in the deal.

_OPTFUT_

This indicates whether the contract is an Option or a Future.

_TXNDT_

This is the date on which the transaction was entered in Oracle FLEX­CUBE.

_MVALDT_

This is the day on which the settlement of liquidation gains/losses is to be done.

_VALDT_

This is the date on which the basket is to be liquidated.

_TIME_

This is the exact time at which the deal transaction took place in the exchange.

_ASSCYY_

This is the Asset Currency.

_PRICCY_

This is the currency in which the instrument is prized.

_FUTPRI_

This is the future price which is expressed in terms of the instrument pricing unit. For index-based futures this price is expressed in terms of index points per contract.

_OPTPRM_

This is the price at which the option was bought. For index based options this is the price is specified in index points per contract.

11.2.3 Assignment Notice

Advice tag

Description

_BRANCH_

This is the branch code of the branch where the deal was initiated.

_BRN­NAME_

This is the name of the Branch where the advice was generated.

_BRNADD1_

_BRNADD2_

_BRNADD3_

This is the address for correspondence of the branch, which sent the advice. Each line of the address can contain a maximum of 35 charac­ters.

There are three lines in which the branch address for correspondence can be keyed in.

_INSTRID_

This is the ID or Reference Number of the instrument.

_INSTR­DESC_

This is the description assigned to the instrument involved in the deal.

_CON­TRSTD_

These are the standard details of the contract.

_CONTR­VAL_

This is the actual value of the contract.

_ASSTYP_

This is the Asset Type under which the underlying asset is grouped.

_COMDTY_

This is the name of the underlying asset.

_COM­DESC_

This is the description assigned to the underlying asset.

_ASSNAT_

This indicates the basic nature of the underlying asset.

_COM­PRSZ_

This indicates the manner in which the underlying assethas been prized in the market.

_COM­PRUT_

This is the Prizing Unit at which the underlying assethas been prized.

_SERIES_

This is the Series ID of the instrument series.

_SERDESC_

This is the description assigned to the series.

_STRPRI_

This is the strike price of the instrument series.

_STARTDT_

This is the start date of the instrument series.

_EXPRDT_

This is the end date of the instrument series.

_BRKID_

This is the code or ID of the Broker.

_BRKNAME_

This is the name of the Broker.

_PFOLIOID_

This is the reference number, which uniquely identifies the Portfolio.

_PFOLD­ESC_

This is the description assigned to the portfolio.

_CSNAME_

This is the name of the receiver of the advice.

_ADRS1

_ADRS2_

_ADRS3_

_ADRS4_

This is the address for correspondence of the receiver of the advice. Each line of the address can contain a maximum of 35 characters.

There are four lines in which the receivers address for correspondence can be keyed in.

_CHG­COMP_

This is the Charge component that has been linked to the deal.

_CHGCCY_

This is the currency in which charges have been collected.

_CHGAMT_

This is the charge amount.

_DLREF_

This is the reference number assigned to the deal.

_DLTYPE_

This indicates the deal Type, whether it is a liquidation deal or a Long/Short deal.

_BSKREF_

This is the reference number of the basket to which the deal belongs.

_OPTFUT_

This indicates whether the contract is an Option or a Future.

_COSPT­PRI_

This is the spot price of the underlying asset involved in the instrument.

_SVALDT_

This is the date on which the liquidation gains/losses will be settled.

_MVALDT_

This is the day on which the settlement of liquidation gains/losses is to be done.

_VALDT_

This is the date on which the basket is to be liquidated.

_TXNDT_

This is the date on which the transaction was entered in Oracle FLEX­CUBE.

_TIME_

This is the exact time at which the deal transaction took place in the exchange.

_NOCTRS_

This indicates the number of contracts within the basket that have to be liquidated.

_BRKACC_

This is the broker account involved in the transaction.

_ASSCYY_

This is the Asset Currency.

_PRICCY_

This is the currency in which the instrument is prized.

_ESETAMT_

This is the Underlying spot price multiplied by the underlying asset pricing multiple for the instrument.

11.2.4 Exercise Confirm Notice

Advice tag

Description

_BRANCH_

This is the branch code of the branch where the deal was initiated.

_BRN­NAME_

This is the name of the Branch where the advice was generated.

_BRNADD1_

_BRNADD2_

_BRNADD3_

This is the address for correspondence of the branch, which sent the advice. Each line of the address can contain a maximum of 35 charac­ters.

There are three lines in which the branch address for correspondence can be keyed in.

_INSTRID_

This is the ID or Reference Number of the instrument.

_INSTR­DESC_

This is the description assigned to the instrument involved in the deal.

_CON­TRSTD_

These are the standard details of the contract.

_CONTR­VAL_

This is the actual value of the contract.

_ASSTYP_

This is the Asset Type under which the underlying asset is grouped.

_COMDTY_

This is the name of the underlying asset.

_COM­DESC_

This is the description assigned to the underlying asset.

_ASSNAT_

This indicates the basic nature of the underlying asset.

_COM­PRSZ_

This indicates the manner in which the underlying asset has been prized in the market.

_COM­PRUT_

This is the Prizing Unit at which the underlying asset has been prized.

_SERIES_

This is the Series ID of the instrument series.

_SERDESC_

This is the description assigned to the series.

_STRPRI_

This is the strike price of the instrument series.

_STARTDT_

This is the start date of the instrument series.

_EXPRDT_

This is the end date of the instrument series.

_BRKID_

This is the code or ID of the Broker.

_BRKNAME_

This is the name of the Broker.

_PFOLIOID_

This is the reference number which uniquely identifies the Portfolio.

_PFOLD­ESC_

This is the description assigned to the portfolio.

_CSNAME_

This is the name of the receiver of the advice.

_ADRS1

_ADRS2_

_ADRS3_

_ADRS4_

This is the address for correspondence of the receiver of the advice. Each line of the address can contain a maximum of 35 characters.

There are four lines in which the receivers address for correspondence can be keyed in.

_CHG­COMP_

This is the Charge component that has been linked to the deal.

_CHGCCY_

This is the currency in which charges have been collected.

_CHGAMT_

This is the charge amount.

_DLREF_

This is the reference number assigned to the deal.

_DLTYPE_

This indicates the deal Type, whether it is a liquidation deal or a Long/Short deal.

_BSKREF_

This is the reference number of the basket to which the deal belongs.

_OPTFUT_

This indicates whether the contract is an Option or a Future.

_COSPT­PRI_

This is the spot price of the underlying asset involved in the instrument.

_SVALDT_

This is the date on which the liquidation gains/losses will be settled.

_MVALDT_

This is the day on which the settlement of liquidation gains/losses is to be done.

_VALDT_

This is the date on which the basket is to be liquidated.

_TXNDT_

This is the date on which the transaction was entered in Oracle FLEX­CUBE.

_TIME_

This is the exact time at which the deal transaction took place in the exchange.

_NOCTRS_

This indicates the number of contracts within the basket that have to be liquidated.

_BRKACC_

This is the broker account involved in the transaction.

_ASSCYY_

This is the Asset Currency.

_PRICCY_

This is the currency in which the instrument is prized.

_ESETAMT_

This is the Underlying asset spot price multiplied by the underlying pricing multiple for the instrument.

11.2.5 EFP Confirm Notice

Advice tag

Description

_BRANCH_

This is the branch code of the branch where the deal was initiated.

_BRNNAME_

This is the name of the Branch where the advice was generated.

_BRNADD1_

_BRNADD2_

_BRNADD3_

This is the address for correspondence of the branch, which sent the advice. Each line of the address can contain a maximum of 35 charac­ters.

There are three lines in which the branch address for correspondence can be keyed in.

_INSTRID_

This is the ID or Reference Number of the instrument.

_INSTR­DESC_

This is the description assigned to the instrument involved in the deal.

_CON­TRSTD_

These are the standard details of the contract.

_CONTR­VAL_

This is the actual value of the contract.

_ASSTYP_

This is the Asset Type under which the underlying asset is grouped.

_COMDTY_

This is the name of the underlying asset.

_COM­DESC_

This is the description assigned to the underlying asset.

_ASSNAT_

This indicates the basic nature of the underlying asset.

_COMPRSZ_

This indicates the manner in which the underlying asset has been prized in the market.

_COM­PRUT_

This is the Prizing Unit at which the underlying asset has been prized.

_SERIES_

This is the Series ID of the instrument series.

_SERDESC_

This is the description assigned to the series.

_STRPRI_

This is the strike price of the instrument series.

_STARTDT_

This is the start date of the instrument series.

_EXPRDT_

This is the end date of the instrument series.

_BRKID_

This is the code or ID of the Broker.

_BRKNAME_

This is the name of the Broker.

_PFOLIOID_

This is the reference number, which uniquely identifies the Portfolio.

_PFOLD­ESC_

This is the description assigned to the portfolio.

_CSNAME_

This is the name of the receiver of the advice.

_ADRS1

_ADRS2_

_ADRS3_

_ADRS4_

This is the address for correspondence of the receiver of the advice. Each line of the address can contain a maximum of 35 characters.

There are four lines in which the receivers address for correspondence can be keyed in.

_CHG­COMP_

This is the Charge component that has been linked to the deal.

_CHGCCY_

This is the currency in which charges have been collected.

_CHGAMT_

This is the charge amount.

_DLREF_

This is the reference number assigned to the deal.

_DLTYPE_

This indicates the deal Type, whether it is a liquidation deal or a Long/Short deal.

_BSKREF_

This is the reference number of the basket to which the deal belongs.

_OPTFUT_

This indicates whether the contract is an Option or a Future.

_COSPT­PRI_

This is the spot price of the underlying asset involved in the instrument.

_SVALDT_

This is the date on which the liquidation gains/losses will be settled.

_MVALDT_

This is the day on which the settlement of liquidation gains/losses is to be done.

_VALDT_

This is the date on which the basket is to be liquidated.

_TXNDT_

This is the date on which the transaction was entered in Oracle FLEX­CUBE.

_TIME_

This is the exact time at which the deal transaction took place in the exchange.

_NOCTRS_

This indicates the number of contracts within the basket that have to be liquidated.

_BRKACC_

This is the broker account involved in the transaction.

_ASSCYY_

This is the Asset Currency.

_PRICCY_

This is the currency in which the instrument is prized.

_ESETAMT_

This is the Underlying asset spot price multiplied by the underlying pric­ing multiple for the instrument.

11.2.6 Expiry Confirm Notice

Advice tag

Description

_BRANCH_

This is the branch code of the branch where the deal was initiated.

_BRN­NAME_

This is the name of the Branch where the advice was generated.

_BRNADD1_

_BRNADD2_

_BRNADD3_

This is the address for correspondence of the branch, which sent the advice. Each line of the address can contain a maximum of 35 charac­ters.

There are three lines in which the branch address for correspondence can be keyed in.

_INSTRID_

This is the ID or Reference Number of the instrument.

_INSTR­DESC_

This is the description assigned to the instrument involved in the deal.

_CON­TRSTD_

These are the standard details of the contract.

_CONTR­VAL_

This is the actual value of the contract.

_ASSTYP_

This is the Asset Type under which the underlying asset is grouped.

_COMDTY_

This is the name of the underlying asset.

_COM­DESC_

This is the description assigned to the underlying asset.

_ASSNAT_

This indicates the basic nature of the underlying asset.

_COM­PRSZ_

This indicates the manner in which the underlying asset has been prized in the market.

_COM­PRUT_

This is the Prizing Unit at which the underlying asset has been prized.

_SERIES_

This is the Series ID of the instrument series.

_SERDESC_

This is the description assigned to the series.

_STRPRI_

This is the strike price of the instrument series.

_STARTDT_

This is the start date of the instrument series.

_EXPRDT_

This is the end date of the instrument series.

_BRKID_

This is the code or ID of the Broker.

_BRKNAME_

This is the name of the Broker.

_PFOLIOID_

This is the reference number, which uniquely identifies the Portfolio.

_PFOLD­ESC_

This is the description assigned to the portfolio.

_CSNAME_

This is the name of the receiver of the advice.

_ADRS1

_ADRS2_

_ADRS3_

_ADRS4_

This is the address for correspondence of the receiver of the advice. Each line of the address can contain a maximum of 35 characters.

There are four lines in which the receivers address for correspondence can be keyed in.

_CHG­COMP_

This is the Charge component that has been linked to the deal.

_CHGCCY_

This is the currency in which charges have been collected.

_CHGAMT_

This is the charge amount.

_DLREF_

This is the reference number assigned to the deal.

_DLTYPE_

This indicates the deal Type, whether it is a liquidation deal or a Long/Short deal.

_BSKREF_

This is the reference number of the basket to which the deal belongs.

_OPTFUT_

This indicates whether the contract is an Option or a Future.

_COSPT­PRI_

This is the spot price of the underlying asset involved in the instrument.

_SVALDT_

This is the date on which the liquidation gains/losses will be settled.

_MVALDT_

This is the day on which the settlement of liquidation gains/losses is to be done.

_VALDT_

This is the date on which the basket is to be liquidated.

_TXNDT_

This is the date on which the transaction was entered in Oracle FLEX­CUBE.

_TIME_

This is the exact time at which the deal transaction took place in the exchange.

_NOCTRS_

This indicates the number of contracts within the basket that have to be liquidated.

_BRKACC_

This is the broker account involved in the transaction.

_ASSCYY_

This is the Asset Currency.

_PRICCY_

This is the currency in which the instrument is prized.

_ESETAMT_

This is the Underlying asset spot price multiplied by the underlying pric­ing multiple for the instrument.