| Option B | :4!c/[8c]/4!c/[N]15d | (Qualifier)(Data Source Scheme)(Quantity Type Code)(Sign)(Balance) |
| Option C | :4!c//4!c/4!c/[N]15d | (Qualifier)(Quantity Type Code)(Balance Type Code)(Sign)(Balance) |
Conditional (see rule C2) in mandatory subsequence B2
(Error code(s): T89)
Order |
M/O |
Qualifier |
R/N |
CR |
Options |
Qualifier Description |
|---|---|---|---|---|---|---|
1 |
O |
ELIG |
R |
C13 |
B |
Total Eligible for Corporate Action Balance |
2 |
O |
BLOK |
N |
|
B or C |
Blocked Balance |
3 |
O |
BORR |
N |
|
B or C |
Borrowed Balance |
4 |
O |
COLI |
N |
|
B or C |
Collateral In Balance |
5 |
O |
COLO |
N |
|
B or C |
Collateral Out Balance |
6 |
O |
LOAN |
N |
|
B or C |
On Loan Balance |
7 |
O |
PEND |
R |
|
B or C |
Pending Delivery Balance |
8 |
O |
PENR |
R |
|
B or C |
Pending Receipt Balance |
9 |
O |
REGO |
N |
|
B or C |
Out for Registration Balance |
10 |
O |
SETT |
N |
|
B or C |
Settlement Position Balance |
11 |
O |
SPOS |
N |
|
B or C |
Street Position Balance |
12 |
O |
TRAD |
N |
|
B or C |
Trade Date Position Balance |
13 |
O |
TRAN |
N |
|
B or C |
In Transshipment Balance |
14 |
O |
NOMI |
N |
|
B or C |
Registered Balance |
15 |
O |
UNBA |
N |
|
B or C |
Uninstructed Balance |
16 |
O |
INBA |
N |
|
B or C |
Instructed Balance |
17 |
O |
OBAL |
N |
|
B or C |
Obligated Balance |
18 |
O |
AFFB |
N |
|
B or C |
Affected Balance |
19 |
O |
UNAF |
N |
|
B or C |
Unaffected Balance |
This qualified generic field specifies:
AFFB |
Affected Balance |
Balance that has been affected by the process run through the event. |
BLOK |
Blocked Balance |
Balance of financial instruments that are blocked. |
BORR |
Borrowed Balance |
Balance of financial instruments that have been borrowed from another party. |
COLI |
Collateral In Balance |
Balance of securities that belong to a third party and that are held for the purpose of collateralisation. |
COLO |
Collateral Out Balance |
Balance of securities that belong to the safekeeping account indicated within this message, and are deposited with a third party for the purpose of collateralisation. |
ELIG |
Total Eligible for Corporate Action Balance |
Total balance of securities eligible for this corporate action event. The entitlement calculation is based on this balance. |
INBA |
Instructed Balance |
Balance of instructed position. |
LOAN |
On Loan Balance |
Balance of financial instruments that have been loaned to a third party. |
NOMI |
Registered Balance |
Balance of financial instruments that are registered (in the name of a nominee name or of the beneficial owner). |
OBAL |
Obligated Balance |
Position that account holders should return to the account servicer to participate in the event or to fulfil their obligation for the event to be complete, for example, return of securities for late announced drawing. |
PEND |
Pending Delivery Balance |
Balance of financial instruments that are pending delivery. |
PENR |
Pending Receipt Balance |
Balance of financial instruments that are pending receipt. |
REGO |
Out for Registration Balance |
Balance of financial instruments currently being processed by the institution responsible for registering the new beneficial owner (or nominee). |
SETT |
Settlement Position Balance |
Balance of securities representing only settled transactions; pending transactions not included. |
SPOS |
Street Position Balance |
Balance of financial instruments that remain registered in the name of the prior beneficial owner. |
TRAD |
Trade Date Position Balance |
Balance of securities based on trade date, for example, includes all pending transactions in addition to the balance of settled transactions. |
TRAN |
In Transshipment Balance |
Balance of physical securities that are in the process of being transferred from one depository/agent to another. |
UNAF |
Unaffected Balance |
Balance that has not been affected by the process run through the event. |
UNBA |
Uninstructed Balance |
Balance of uninstructed position. |
In option B or C, if Data Source Scheme is not present, Quantity Type Code must contain one of the following codes:
AMOR |
Amortised Value |
Quantity expressed as an amount representing the current amortised face amount of a bond, for example, a periodic reduction/increase of a bond's principal amount. |
FAMT |
Face Amount |
Quantity expressed as an amount representing the face amount, that is, the principal, of a debt instrument. |
UNIT |
Unit Number |
Quantity expressed as a number, for example, a number of shares. |
In option C, Balance Type Code must contain one of the following codes:
ELIG |
Eligible |
Balance of securities eligible for this corporate action event. |
NELG |
Not Eligible |
Balance of securities not eligible for this corporate action event. |
The integer part of Balance must contain at least one digit. A decimal comma is mandatory and is included in the maximum length.
When Sign is present, Balance must not be zero.
Sign must be present when Balance is negative.
Standing instructions are part of the instructed balance (INBA).
Unaffected balance and affected balances should only be mentioned as a result of the process that was run through the event, for instance lottery results, Dutch auction results or tender offer results.