6.1.2 Margin Transaction Query – Report Fields
The following table describes the fields displayed for the transactions fetched for margin transaction query.
Table 6-2 Margin Transaction Query – Report Fields
Field | Description |
---|---|
Transaction Date |
Displays the Event Date of the Margin transaction. |
Margin Type |
Displays the Collateral Type of the Margin transaction.
|
Event Code |
Displays the Event Type of the Margin transaction. |
Event Description |
Displays the Description of the Event Code of the Margin transaction. |
Transaction Currency |
Displays the Margin Currency of the Margin transaction. |
Transaction Amount |
Displays the Cash Margin amount transferred for the Margin transaction. |
Margin Account |
Displays the Cash Margin Account to which the margin is transferred for the Margin transaction. |
Portfolio |
Displays the Securities Portfolio used for the Margin transaction. |
Security ID |
Displays the Security transferred as collateral for the Margin transaction. |
SK Location |
Displays the SK Location used for the Margin transaction. |
SK Account |
Displays the SK Account used for the Margin transaction. |
Quantity |
Displays the Quantity of the Security transferred as collateral for the Margin transaction. |
Total Amount |
Displays the Value of the Security transferred as collateral for the Margin transaction. |
Buy Deal Reference |
Displays the Contract reference of the Security Buy Deal created for receiving the Security collateral for the Margin transaction. |
Sell Deal Reference |
Displays the Contract reference of the Security Sell Deal created for transferring the Security collateral for the Margin transaction. |
Parent topic: Margin Transaction Query