| Option A | :4!c/[8c]/4!c | (Qualifier)(Data Source Scheme)(Sub-balance Type Code) |
Order |
M/O |
Qualifier |
R/N |
CR |
Options |
Qualifier Description |
1 |
M |
FROM |
N |
C2 |
A |
Balance From |
This qualified generic field specifies:
FROM |
Balance From |
Balance from which the securities have been moved. |
If Data Source Scheme is not present, Sub-balance Type Code must contain one of the following codes :
AVAI |
Available Sub-Balance |
Financial instruments are available for any purpose. |
AWAS |
Available With No Additional Status |
Balance of financial instruments that are freely available with no specific additional status. |
BLCA |
Blocked Corporate Action |
Balance of financial instrument blocked following a corporate action, including proxy activities. |
BLOK |
Blocked Sub-Balance |
Balance of financial instruments that are blocked. |
BLOT |
Blocked Trading |
Balance of financial instruments that are blocked for trading. |
BLOV |
Blocked Authenticity |
Balance of financial instruments that are blocked for verification of authenticity. |
BORR |
Borrowed Sub-Balance |
Balance of financial instruments that have been borrowed from another party. |
CLEN |
Tax Exempt Sub-Balance |
Balance of tax exempt financial instruments. |
COLA |
Eligible for Collateral Purposes |
Balance of securities that are eligible for use for collateral purposes. |
COLI |
Collateral In Sub-Balance |
Balance of securities that belong to a third party and that are held for the purpose of collateralisation. |
COLO |
Collateral Out Sub-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. |
DIRT |
Taxable Sub-Balance |
Balance of taxable financial instruments. |
DRAW |
Drawn |
Balance of securities that are drawn for redemption. |
LOAN |
Loan out Sub-Balance |
Balance of financial instruments that have been loaned to a third party. |
MARG |
Derivatives margin Sub-Balance |
Balance of securities that belong to and is kept in the safekeeping account indicated within this message, and that are used as collateral for derivative. |
NOMI |
Registered Sub-Balance |
Balance of financial instruments that are registered (in nominee name or in the name of the beneficial owner). |
OTHR |
Unclassified Sub-Balance |
Balance of financial instrument that cannot be categorised, ie, is not identified with one of the existing sub-balance types. |
PECA |
Pending Corporate Action Receipt |
Balance of financial instrument pending receipt following a corporate action. |
PEDA |
Pending Corporate Action Delivery |
Balance of financial instrument pending delivery following a corporate action. |
PLED |
Pledged Sub-Balance |
Balance of securities that belong to and is kept in the safekeeping account indicated within this message, and that are pledged, for example, to cover a short call. |
REGO |
Registration Sub-Balance |
Balance of financial instruments currently being processed by the institution responsible for registering the new beneficial owner (or nominee). |
RSTR |
Restricted Sub-Balance |
Balance of financial instruments that may only be sold under certain conditions or require legal documents. |
SPOS |
In Street Name Sub-Balance |
Balance of financial instruments that remain registered in the name of the prior beneficial owner. |
TRAN |
Transshipment Sub-Balance |
Balance of physical securities that are in the process of being transferred from one depository/agent to another. |
UNRG |
Unregistered Sub-Balance |
Balance of financial instruments that could not be registered due to foreign ownership limitation. |