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.

  • Can be ‘Cash’ or ‘Securities’

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.