| Option B | :4!c/[8c]/4!c | (Qualifier)(Data Source Scheme)(Reason Code) |
Order |
M/O |
Qualifier |
R/N |
CR |
Options |
Qualifier Description |
1 |
O |
NMAT |
R |
C3 |
B |
Unmatched Reason |
2 |
O |
PEND |
R |
C3 |
B |
Pending Reason |
3 |
O |
PENF |
R |
C3 |
B |
Pending/Failing Reason |
4 |
O |
REJT |
R |
C3 |
B |
Rejection Reason |
5 |
O |
DEND |
R |
C3 |
B |
Denied Reason |
6 |
O |
CAND |
R |
C3 |
B |
Cancellation Reason |
7 |
O |
CANP |
R |
C3 |
B |
Pending Cancellation Reason |
8 |
O |
DRRE |
R |
C3 |
B |
Depositary Receipt Other Reason |
9 |
O |
NAFI |
R |
C3 |
B |
Unaffirmed Reason |
10 |
O |
PACK |
R |
C3 |
B |
Acknowledged/Accepted Reason |
11 |
O |
CACK |
R |
C3 |
B |
Repo Call Acknowledgement Reason |
12 |
O |
REPR |
R |
C3 |
B |
Repair Reason |
13 |
O |
PPRC |
R |
C3 |
B |
Pending Processing Reason |
14 |
O |
CGEN |
R |
C3 |
B |
Generated Reason |
This qualified generic field specifies:
CACK |
Repo Call Acknowledgement Reason |
Specifies additional information on the repo call request acknowledgement. |
CAND |
Cancellation Reason |
Specifies the reason why the related instruction is cancelled, or the related cancellation request is executed. |
CANP |
Pending Cancellation Reason |
Specifies the reason why the cancellation request is pending. |
CGEN |
Generated Reason |
Specifies the reason why the transaction was generated. |
DEND |
Denied Reason |
Specifies the reason why the request was denied. |
DRRE |
Depositary Receipt Other Reason |
Specifies the reason why the depositary receipt has a status 'Other'. |
NAFI |
Unaffirmed Reason |
Specifies the reason why the instruction has an unaffirmed status. |
NMAT |
Unmatched Reason |
Specifies the reason why the instruction has an unmatched status. |
PACK |
Acknowledged/Accepted Reason |
Specifies additional information about the processed instruction. |
PEND |
Pending Reason |
Specifies the reason why the instruction has a pending status. |
PENF |
Pending/Failing Reason |
Specifies the reason why the instruction has a failing settlement status. |
PPRC |
Pending Processing Reason |
Specifiers the reason why the instruction has a pending processing status. |
REJT |
Rejection Reason |
Specifies the reason why the instruction/request has a rejected status. |
REPR |
Repair Reason |
Specifies the reason why the instruction is in repair. |
If Qualifier is NMAT and Data Source Scheme is not present, Reason Code must contain one of the following codes :
ADEA |
Account Servicer Deadline Missed |
Received after the account servicer's deadline. Processed on best effort basis. |
CADE |
Disagreement Transaction Call Delay |
Transaction call delay does not match. |
CHAR |
Disagreement Charges Amount |
Charges amount does not match. |
CLAT |
Counterparty too late for Matching |
Counterparty's instruction was too late for matching. |
CMIS |
Matching Instruction Not Found |
A matching instruction from your counterparty could not be found. |
CPCA |
Counterparty Cancelled Instruction |
Counterparty cancelled their instruction. |
DDAT |
Disagreement Settlement Date |
Settlement date/time does not match. |
DDEA |
Deal Price Not Match |
Deal price does not match. |
DEAL |
Disagreement Deal Amount |
Deal amount does not match. |
DELN |
Disagreement Direction of Trade |
Direction of the trade does not match. Counterparty expects a delivery from you, not a receipt or vice versa. |
DEPT |
Disagreement Place of Settlement |
Place of settlement does not match. |
DMON |
Disagreement Settlement Amount |
Settlement amount does not match |
DQUA |
Disagreement Quantity |
Quantity of financial instruments does not match. |
DSEC |
Disagreement Security |
Financial instrument identification does not match, eg, ISIN, financial instrument attributes differs... |
DTRA |
Not Recognised |
Counterparty has been contacted or contacted us, and does not recognise the transaction. |
DTRD |
Disagreement Trade Date |
Trade date does not match. |
EXEC |
Disagreement Executing Broker's Commission |
Executing broker's commission does not match. |
FORF |
Disagreement Forfeit Amount |
Forfeit amount does not match. |
FRAP |
Disagreement Payment Code |
Payment type does not match: your instruction is free of payment, your counterparty's instruction is against payment or vice versa. |
ICAG |
Incorrect Agent |
Delivering or receiving agent (counterparty) does not match. |
ICUS |
Disagreement receiving or delivering custodian |
Delivering or receiving custodian does not match. |
IEXE |
Incorrect Buyer or Seller |
Buyer (receiver) or seller (deliverer) does not match. |
IIND |
Disagreement common reference |
Common reference does not match. |
LATE |
Market Deadline Missed |
Your instruction was too late for matching. |
LEOG |
Disagreement Letter of Guarantee Indicator |
Counterparty is for settlement through Letter of Guarantee (L/G), your instruction is not, or vice versa. |
MCAN |
Matching Record Cancelled |
Corresponding matching record has been cancelled. |
NARR |
Narrative |
Other details do not match. See narrative for details. |
NCRR |
Disagreement Currency Settlement Amount |
Settlement amount currency does not match. |
NMAS |
No Matching Started |
Matching process has not yet started. |
PHYS |
Disagreement Physical settlement |
Counterparty's instruction is physical settlement, your instruction is not, or vice versa. |
PLCE |
Disagreement Place of Trade |
Place of trade does not match. |
PODU |
Possible Duplicate Instruction |
The instruction has not been matched. It is a possible duplicate instruction. |
REGD |
Disagreement Registration Details |
Registration details linked to the transaction are incorrect. |
REPA |
Disagreement Termination Transaction Amount |
Termination transaction amount does not match. |
REPO |
Disagreement Repurchase Rate |
Repurchase rate does not match. |
REPP |
Disagreement Premium Amount |
Premium amount does not match. |
RERT |
Disagreement Repurchase Rate Type |
Repurchase rate type does not match. |
RSPR |
Disagreement Spread Rate |
Spread rate does not match. |
RTGS |
Disagreement RTGS System |
Counterparty is for Real Time Gross Settlement (RTGS) system, you are for non-RTGS or vice versa. |
SAFE |
Disagreement Safekeeping Account |
Safekeeping account used as matching criteria on the market concerned does not match. This includes Buyer/seller's account, direct client's account at the receiving/delivering agent, or receiving/delivering agent's account at the CSD. |
SETR |
Disagreement Settlement Transaction |
Settlement transaction type does not match (relates to the settlement transaction type codes available for field :22F::SETR.) |
SETS |
Disagreement Settlement system/method |
Settlement system/method does not match (eg, instruction is to settle using settlement system/method A. Counterparty expects settlement to occur using settlement system/method B). |
TERM |
Disagreement Closing date/time |
Closing date/time does not match. |
TXST |
Disagreement Tax Status |
Disagreement on the tax status of the financial instruments to be settled. |
VASU |
Disagreement Variable Rate Support |
Variable rate support does not match (repo). |
If Qualifier is PEND and Data Source Scheme is not present, Reason Code must contain one of the following codes :
ADEA |
Account Servicer Deadline Missed |
Received after the account servicer's deadline. Processed on best effort basis. |
AUTH |
Sent to Tax Authorities |
Tax reclaim has been sent to the tax authorities. |
AWMO |
Awaiting Money |
Financial instruments are delivered, but still awaiting money from counterparty. |
AWSH |
Awaiting Securities from Counterparty |
Financial instruments have not yet been received from the counterparty (if receive against payment trade), the money has been delivered. |
BATC |
Processing Batch Difference |
Processing batch differs in the counterparty's instruction, eg, daytime/real-time versus overnight. |
BENO |
Beneficial Ownership Disagreement |
Disagreement in beneficial ownership. |
BLOC |
Account Blocked |
Your account is blocked, no instruction can settle over the account. |
CAIS |
Awaiting Securities |
Awaiting financial instruments from a corporate action or other procedure, eg, conversion, dematerialisation, exchange, registration, stamping, splitting. |
CHAS |
Enquiry Sent |
A chaser/enquiry has been sent. |
CLAC |
Counterparty Insufficient Securities |
Insufficient deliverable financial instruments in counterparty's account or counterparty does not hold financial instruments. |
CLHT |
Clearing House Trade |
Instructed settlement date does not agree with the settlement date on the Clearing House trade, ie, a specific type of trade in India. |
CMON |
Counterparty Insufficient Money |
Insufficient money in counterparty's account. |
COLL |
Securities Pledged As Collateral |
Financial instruments are not deliverable as they are pledged as collateral. |
CONF |
Confirmation Of Payment |
Prior payment credited to account based contractual income collection agreement has been collected from issuer. |
CPEC |
Counterparty In Receivership |
Counterparty is in receivership (form of bankruptcy where a court appointed person - the receiver - manages the affairs of the business). |
CYCL |
Awaiting Next Settlement Cycle |
Your instruction is confirmed in the local market or is ready for settlement, awaiting next settlement cycle. |
DENO |
Unavailable Deliverable Denominated Quantity |
Quantity instructed does not match the denomination available/deliverable. Physical financial instruments need to be obtained in deliverable denominated quantities. |
DEPO |
Refused Deposit for Issue of Depositary Receipts |
Deposit of shares for the issuing of depositary receipts has been refused. The allotment granted by the issuer is exceeded by your transaction. |
DISA |
Natural disaster |
Exceptional closing of all financial institutions due to natural disaster, eg, earthquake. |
DKNY |
Counterparty Returned Shares |
Counterparty has returned or refused the financial instruments. |
DOCC |
Awaiting Documents/Endorsements from Counterparty |
Awaiting documents or endorsements from counterparty. |
DOCY |
Awaiting Documents/Endorsements from You |
Awaiting documents or endorsements from you. |
DQUA |
Disagreement on Quantity |
Unrecognised or invalid instructed quantity. |
FLIM |
Maximum Foreign Limit Reached |
Insufficient deliverable financial instruments in your account as maximum foreign limit has been reached. |
FROZ |
Securities Frozen At CSD |
Financial instruments are blocked at the CSD following a corporate event. |
FUTU |
Awaiting Settlement Date |
Awaiting settlement date. No settlement problems to be reported. |
GLOB |
Global Form Securities |
Settlement cannot be executed; financial instruments are in global form. |
GUAD |
Guaranteed Delivery Indicator Difference |
Guaranteed delivery indicator differs in the counterparty's instruction. |
IAAD |
Status Reason Investigation |
Pending reason being investigated. |
INCA |
Income Adjustment Required |
Financial instruments require income adjustment, eg, dividend or interest. |
IPNC |
Cancel Not Possible |
Instruction has been processed and cannot be cancelled. |
LAAW |
Awaiting Other Transaction |
Awaiting settlement of a purchase to cover failing positions. |
LACK |
Lack Of Securities |
Insufficient financial instruments in your account. |
LALO |
Securities Are Loaned Out |
Financial instruments are out on loan. |
LATE |
Market Deadline Missed |
Instruction was received after market deadline. |
LINK |
Pending Linked Instruction |
Your instruction is pending settlement because the instruction linked to it is pending. |
MCER |
Missing Certification |
Awaiting receipt of adequate certification. |
MINO |
Minimum Settlement Quantity |
Quantity instructed is lower than the minimum existing settlement quantity for the financial instrument. |
MONY |
Insufficient Money |
Insufficient money in your account. |
MUNO |
Multiple Settlement Quantity |
Quantity instructed is not a multiple of an existing settlement quantity lot for the financial instrument. |
NARR |
Narrative |
See narrative field for reason. |
NCON |
Confirmation Not Received |
Confirmation of settlement has not yet been received. |
NEWI |
New Issues |
Financial instrument is a new issue and not yet available/tradable. |
NMAS |
No Matching Required |
Instruction has not been matched; matching process is not required. |
NOFX |
No Foreign Exchange Instruction |
A foreign exchange instruction from you is missing. |
NPAY |
No Payment |
Payment has not been made by issuer. |
NSEC |
Not Delivered |
Financial instruments have not been delivered by the issuer. |
OVER |
Overelection |
The instructed position exceeds the eligible balance. |
PART |
Trade settles in Partials |
Trade will settle in partials. |
PENR |
Pending Receipt |
The instruction is pending receipt of securities, eg, from a purchase, loan etc. |
PHCK |
Physical Securities in Verification Process |
Physical financial instruments have been received and are being checked for authenticity. |
PHSE |
Physical Delivery Delay |
Settlement is physical. Financial instruments are being delivered. |
PRCY |
Counterparty instructed preadvise |
Counterparty's instruction is a preadvice, ie, for matching only. |
PREA |
Preadvice instructed |
Your instruction is a preadvice, ie, for matching only. |
REFS |
Not In Good Order |
Delivery/receipt was refused because physical financial instruments are not in good order. |
REFU |
Instruction Refused/Not Recognised |
Instruction has been refused or not recognised and is represented automatically. |
REGT |
Certificates Rejected |
Certificates have been lodged with the registrar but rejected due to incomplete documentation or foreign ownership limitation reached. |
SBLO |
Securities Blocked |
Financial instruments are blocked due to a corporate action event, realignment, etc. |
SDUT |
Lack of Stamp Duty Information |
Stamp duty information is missing. |
SETS |
Settlement system/method Modified |
Settlement system/method has been modified at CSD to allow settlement. |
TAMM |
Trade Amended in Market |
Trade is being amended in the market. |
VLDA |
Valid for Tax Authorities |
For tax reclaim, the event is pending, the tax reclaim is valid for the tax authorities. |
YCOL |
Collateral Shortage |
Insufficient collateral in your account to execute the instruction. |
If Qualifier is PENF and Data Source Scheme is not present, Reason Code must contain one of the following codes :
ADEA |
Account Servicer Deadline Missed |
Received after the account servicer's deadline. Processed on best effort basis. |
AWMO |
Awaiting Money |
Financial instruments are delivered, but still awaiting money from the counterparty. |
AWSH |
Awaiting Securities from Counterparty |
Financial instruments have not yet been received from the counterparty (if receive against payment), the money has been delivered. |
BATC |
Processing Batch Difference |
Processing batch differs in the counterparty's instruction, eg, daytime/real-time versus overnight. |
BENO |
Beneficial Ownership Disagreement |
Disagreement in beneficial ownership. |
BLOC |
Account Blocked |
Your account is blocked, no instruction can settle over the account. |
BYIY |
Buy-in Procedure |
A buy-in procedure has started on the market (on your behalf if your instruction is a receipt, by the counterparty if your instruction is a delivery). |
CAIS |
Awaiting Securities |
Awaiting financial instruments from a corporate action issue or other procedure, eg, conversion, dematerialisation, exchange, registration, stamping, splitting. |
CANR |
Cancellation/confirmation request |
Instruction was in suspense. Suspense period is finished so your cancellation or confirmation of instruction is required. |
CERT |
Wrong Certificate Numbers |
Certificate number error. |
CHAS |
Enquiry Sent |
A chaser/enquiry has been sent. |
CLAC |
Counterparty Insufficient Securities |
Insufficient deliverable financial instruments in counterparty's account or counterparty does not hold financial instruments. |
CLAT |
Counterparty too late for Settlement |
Counterparty's instruction was too late for settlement (i.e. received too late, matching or settlement problems solved too late). |
CLHT |
Clearing House Trade |
Instructed Settlement date does not agree with the settlement date on the Clearing House trade i.e. a specific type of trade in India. |
CMON |
Counterparty Insufficient Money |
Insufficient money in counterparty's account. |
COLL |
Securities Pledged As Collateral |
Financial instruments are not deliverable as they are pledged as collateral. |
CPEC |
Counterparty In Receivership |
Counterparty is in receivership (form of bankruptcy where a court appointed person - the receiver - manages the affairs of the business). |
CYCL |
Awaiting Next Settlement Cycle |
Your instruction is confirmed in the local market or is ready for settlement, awaiting next settlement cycle. |
DENO |
Unavailable Deliverable Denominated Quantity |
Quantity instructed does not match the denomination available/deliverable. Physical financial instruments need to be obtained in deliverable denominated quantities. |
DEPO |
Refused Deposit for Issue of Depositary Receipts |
Deposit of shares for the issuing of depositary receipts has been refused. The allotment granted by the issuer is exceeded by your transaction. |
DISA |
Natural disaster |
Exceptional closing of all financial institutions due to natural disaster, eg, typhoon, flooding, earthquake, hurricane. |
DKNY |
Counterparty Returned Shares |
Counterparty has returned or refused the financial instruments. |
DOCC |
Awaiting Documents/Endorsements from Counterparty |
Awaiting documents or endorsements from counterparty. |
DOCY |
Awaiting Documents/Endorsements from You |
Awaiting documents or endorsements from you. |
FLIM |
Maximum Foreign Limit Reached |
Insufficient deliverable financial instruments in your account as maximum foreign limit has been reached. |
FROZ |
Securities Frozen At CSD |
Financial instruments are blocked at the CSD following a corporate event. |
GLOB |
Global Form Securities |
Settlement cannot be executed; financial instruments are in global form. |
GUAD |
Guaranteed Delivery Indicator Difference |
Guaranteed delivery indicator differs in the counterparty's instruction. |
IAAD |
Status Reason Investigation |
Failing reason being investigated. |
INCA |
Income Adjustment Required |
Financial instruments require income adjustment, eg, dividend or interest. |
LAAW |
Awaiting Other Transaction |
Awaiting settlement of a purchase to cover failing positions. |
LACK |
Lack Of Securities |
Insufficient deliverable financial instruments in your account. |
LALO |
Securities Are Loaned Out |
Financial instrument are out on loan. |
LATE |
Market Deadline Missed |
Your instruction is too late for settlement, eg, received too late, matching or settlement problems solved too late. |
LINK |
Pending Linked Instruction |
A linked instruction is pending/failing. |
MINO |
Minimum Settlement Quantity |
Quantity instructed is lower than the minimum existing settlement quantity for the financial instrument. |
MLAT |
Money/Securities too late for Settlement |
Covering money/financial instruments were received too late for completing settlement on a same day basis. |
MONY |
Insufficient Money |
Insufficient money in your account. |
MUNO |
Multiple Settlement Quantity |
Quantity instructed is not a multiple of an existing settlement quantity lot for the financial instrument. |
NARR |
Narrative |
See narrative field for reason. |
NCON |
Confirmation Not Received |
Confirmation of settlement has not yet been received. |
NEWI |
New Issues |
Financial instrument is a new issue and not yet available/tradable. |
NOFX |
No Foreign Exchange Instruction |
A foreign exchange instruction from you is missing. |
OBJT |
Under Objection |
Financial instruments are stolen, in dispute, under objection etc. |
PART |
Trade settles in Partials |
Trade will settle in partials. |
PHCK |
Physical Securities in Verification Process |
Physical financial instruments have been received and are being checked for authenticity. |
PHSE |
Physical Delivery Delay |
Settlement is physical. Financial instruments are being delivered. |
PRCY |
Counterparty instructed preadvise |
Counterparty's instruction is a preadvice, ie, for matching only. |
PREA |
Preadvice instructed |
Your instruction is a preadvice, eg, for matching only. |
REFS |
Not In Good Order |
Delivery/receipt was refused because physical financial instruments are not in good order. |
REGT |
Certificates Rejected |
Certificates have been lodged with the registrar but rejected due to incomplete documentation or foreign ownership limitation reached. |
SBLO |
Securities Blocked |
Financial instruments are blocked due to a corporate action event, realignment, etc. |
SDUT |
Lack of Stamp Duty Information |
Stamp duty information is missing. |
SETS |
Settlement system/method Modified |
Settlement system/method has been modified at CSD to allow settlement. |
STCD |
Confirmation Discrepancy |
Discrepancy in the settlement confirmation. |
YCOL |
Collateral Shortage |
Insufficient collateral in your account to execute the instruction. |
If Qualifier is CGEN and Data Source Scheme is not present, Reason Code must contain one of the following codes :
TRAN |
Transformation |
Transaction has been generated due to transformation following a corporate action. |
SPLI |
Split/Shaping |
Transaction has been generated to enable settlement following a shortage of position. |
RODE |
Return of Refused Dump |
Transaction has been generated to return a delivery previously instructed. |
THRD |
Third Party |
Transaction has been generated by a third party, eg, a central counterparty. |
COLL |
Collateral Management |
Transaction has been generated for collateral management purposes. |
NARR |
Narrative Reason |
See narrative field for reason. |
If Qualifier is REJT and Data Source Scheme is not present, Reason Code must contain one of the following codes :
ADEA |
Account Servicer Deadline Missed |
Received after the account servicer's deadline. Processed on best effort basis. |
BATC |
Processing Batch Rejection |
Unrecognised or invalid processing batch, ie, daytime/real-time while only possible to settle in overnight batch. |
BPAR |
Business Partner Number Rejection |
Unrecognised or invalid Business Partner Number. |
BREF |
Bank Reference Number Rejection |
Unrecognised or invalid Bank Reference Number. |
BUSE |
Type of Order Rejection |
Unrecognised or invalid type of order. |
CADE |
Transaction Call Delay Rejection |
Unrecognised or invalid transaction call delay. |
CAEV |
Corporate Action Rejection |
Corporate action pending on the financial instrument instructed. |
CANC |
Cancelled |
Option is not valid; it has been cancelled by the market or service provider, and cannot be responded to. Any responses already processed against this option are considered void and new responses will be required. |
CASH |
Cash Account Rejection |
Unrecognised or invalid cash account. |
CASY |
Impossible Cash Settlement System |
Impossible standing arrangements override instruction for the cash settlement system. |
COMC |
Commercialization Contract Rejection |
Unrecognized or invalid commercialization contract. |
DADR |
Address details Rejection |
Address details are incorrect or cannot be recognised. |
DCAN |
Rejected Since Already Cancelled |
Cancellation request was rejected since the instruction has already been cancelled. |
DDAT |
Settlement Date Rejection |
Unrecognised or invalid settlement date. |
DDEA |
Deal Price Rejection |
Unrecognised or invalid deal price. |
DEPT |
Place of Settlement Rejection |
Unrecognised or invalid Place of Settlement. |
DMON |
Settlement Amount Rejection |
Unrecognised or invalid settlement amount. |
DORD |
Registration Request Data and Order Rejection |
Disagreement between the data on the registration request and the order. |
DPRG |
Rejected Since In Progress |
Cancellation request has been rejected because the instruction process is in progress or has been processed. |
DQUA |
Quantity Rejection |
Unrecognised or invalid settlement quantity. |
DSEC |
Security Rejection |
Unrecognised or invalid financial instrument identification. |
DTRD |
Trade Date Rejection |
Unrecognised or invalid trade date. |
EVNM |
Unrecognised Corporate Action Event Number |
Unrecognised corporate action event number. |
FEEE |
Fee/Commission Rejection |
Unrecognized or invalid fee or commission. |
FORF |
Forfeit Amount Rejection |
Unrecognised or invalid forfeit amount. |
IACT |
Incorrect activity type |
Incorrect activity type specified, eg, pre-release conversion. |
ICAG |
Agent Rejection |
Unrecognised or invalid receiving or delivering agent. |
ICOP |
Incorrect program conversion |
Invalid or incorrect program conversion specified. |
ICUS |
Receiving or Delivering Custodian Rejection |
Unrecognised or invalid receiving or delivering custodian. |
IEXE |
Buyer or Seller Rejection |
Unrecognised or invalid buyer or seller. |
IIND |
Common reference Rejection |
Unrecognised, invalid or missing Common Reference. |
INIR |
Instruction Irrevocable |
The instruction is irrevocable |
INNA |
Narrative Information Rejection |
Unrecognised or invalid SLA agreed narrative information. |
INTV |
Inactive |
Option is not active and can no longer be responded to. Any responses already processed against this option will remain valid, eg, expired option. |
INVA |
Invalid for Tax Authorities |
For tax reclaim, the reclaim is invalid for the tax authorities. |
LACK |
Lack of Securities |
Instructed position exceeds the eligible balance. |
LATE |
Market Deadline Missed |
Instruction was received after market deadline. |
LEOG |
Letter of Guarantee Indicator Rejection |
Unrecognised or invalid letter of guarantee indicator instructed. |
MCRA |
Missing credit authorisation |
Missing credit authorisation (for pre-release transactions). |
MINO |
Minimum Settlement Quantity |
Quantity instructed is lower than the minimum existing settlement quantity for the financial instrument. |
MLEG |
Missing Legal Power |
Missing legal power for transfer. |
MUNO |
Multiple Settlement Quantity |
Quantity instructed is not a multiple of an existing settlement quantity lot for the financial instrument. |
NARR |
Narrative Reason |
See narrative field for reason |
NCRR |
Settlement Amount Currency Rejection |
Unrecognised or invalid settlement amount currency. |
NMTY |
Mismatch Option Number and Option Type |
Mismatch between option number and option type. |
NRGM |
No Match |
Cancellation request has been rejected since more than one instruction match to the cancellation criteria. |
NRGN |
Not Found |
Cancellation request has been rejected since the instruction could not be found. |
OPNM |
Unrecognised Option Number |
Unrecognised option number. |
OPTY |
Invalid Option Type |
Invalid option type. |
OWNT |
Type of Ownership Rejection |
Type of ownership indicated is not correct. |
PHYS |
Physical settlement impossible |
Physical settlement is impossible for the instructed financial instrument. |
PLCE |
Place of Trade Rejection |
Place of trade is unrecognised or invalid. |
REFE |
Reference Rejection |
Instruction has a reference identical to another previously received instruction. |
REFT |
Refused by the Tax Authorities |
For tax reclaim, the reclaim is refused by the tax authorities. |
REPA |
Termination Transaction Amount Rejection |
Unrecognised or invalid termination transaction amount. |
REPO |
Repurchase Rate Rejection |
Unrecognised or invalid repurchase rate. |
REPP |
Premium Amount Rejection |
Unrecognised or invalid premium amount. |
REQM |
Missing Registration Request |
Registration request to be completed by the buyer and to be forwarded to the issuer is missing. |
REQW |
Wrong Registration Request |
Registration request to be completed by the buyer and to be forwarded to the issuer is wrong. You have used the registration request of a different issuer/registrar. |
RERT |
Repurchase Rate Type Rejection |
Unrecognised or invalid repurchase rate type. |
RREA |
Disagreement in registration reason |
Registration reason indicated is not correct. |
RSPR |
Spread Rate Rejection |
Unrecognised or invalid spread rate. |
RTGS |
Impossible to use the RTGS system instructed |
It is not possible to use the RTGS system instructed (NRTG or YRTG). |
SAFE |
Safekeeping Account Rejection |
Unrecognised or invalid message sender's safekeeping account. |
SETR |
Settlement Transaction Rejection |
Unrecognised or invalid settlement transaction type (relates to the settlement transaction type codes available for sequence E field 22F, qualifier SETR). |
SETS |
Settlement system/method Rejection |
Unrecognised or invalid settlement system/method instructed. |
SHAR |
Shareholder Number Rejection |
Unrecognised or invalid Shareholder Number. |
SIGN |
Invalid Signature |
Registration request does not have a valid signature of the owner of the financial instrument. |
STAM |
Not Stamped or Signed |
Financial instrument has not been stamped and/or duly signed. |
STAT |
Missing Statutes |
Missing statutes or commercial register or other legal documents. |
TERM |
Closing Date/Time Rejection |
Unrecognised or invalid closing date/time. |
TXST |
Tax Status Rejection |
Unrecognised or invalid tax status of the securities instructed. |
ULNK |
Unknown |
Linked reference is unknown. |
VASU |
Variable Rate Support Rejection |
Unrecognised or invalid variable rate support (repo). |
If Qualifier is DEND and Data Source Scheme is not present, Reason Code must contain one of the following codes :
ADEA |
Account Servicer Deadline Missed |
Received after the account servicer's deadline. |
DCAL |
Call Denied Since Already Applied |
Repo call request was denied since another call already applies. |
DCAN |
Denied Since Already Cancelled |
Cancellation request was denied since the instruction has already been cancelled. |
DFOR |
Denied since not allowed |
Repo call request was denied. Call not allowed on the concerned repo, eg, out of delay. |
DPRG |
Denied Since in Progress |
Cancellation request was denied because the process of settlement is in progress. |
DREP |
Denied Since Repo Ended |
Cancellation request was denied because the repo was cancelled. |
DSET |
Denied Since Already Settled |
Cancellation request was denied because the instruction was already settled. |
IPNC |
Instruction Processed |
Instruction has been processed and cannot be cancelled. |
LATE |
Market Deadline Missed |
Received after market deadline. |
NARR |
Narrative reason |
See narrative field for reason. |
If Qualifier is CAND and Data Source Scheme is not present, Reason Code must contain one of the following codes :
CANI |
Cancelled By Yourselves |
Instruction has been cancelled as per your request. |
CANO |
Cancelled by another party |
Instruction has been cancelled by another party than the instructing party, e.g. market infrastructure such as a Stock Exchange. |
CANS |
Cancelled By System |
Instruction has been cancelled by the settlement system. |
CANT |
Cancelled due to Transformation |
Original instruction has been cancelled and replaced due to a Corporate Action. |
CANZ |
Cancelled due to Split/Partial Settlement |
Original instruction has been cancelled and replaced to allow a partial or split settlement. |
CREG |
Cancelled by issuer/registrar |
Instruction has been cancelled by the issuer/registrar. |
CSUB |
Cancelled by Agent |
Instruction has been cancelled by the agent. |
NARR |
Narrative Reason |
See narrative field for reason. |
If Qualifier is DRRE and Data Source Scheme is not present, Reason Code must contain one of the following codes :
NARR |
Narrative Reason |
See narrative field for reason. |
If Qualifier is NAFI and Data Source Scheme is not present, Reason Code must contain one of the following codes :
NAFF |
Not Affirmed |
Counterparty has not affirmed. |
If Qualifier is PACK and Data Source Scheme is not present, Reason Code must contain one of the following codes :
ADEA |
Account Servicer Deadline Missed |
Received after the account servicer's deadline. Processed on best effort basis. |
LATE |
Market Deadline Missed |
Instruction was received after market deadline. |
NARR |
Narrative Reason |
See narrative field for reason. |
NSTP |
Not STP |
Instruction was not STP and had to be processed manually. |
OVER |
Overelection |
Instructed position exceeds the eligible balance. |
RQWV |
Accepted Without Voting Rights |
Instruction registration is accepted but the registration is not in full, ie, not with voting rights. |
SMPG |
Market Practice Rule discrepancy |
Instruction is accepted but does not comply with the market practice rule published for the concerned market or process |
If Qualifier is CANP and Data Source Scheme is not present, Reason Code must contain one of the following codes :
ADEA |
Account Servicer Deadline Missed |
Received after the account servicer's deadline. Processed on best effort basis. |
CONF |
Awaiting Confirmation |
Awaiting confirmation of cancellation from the counterparty. |
DQUA |
Disagreement on Quantity |
Unrecognised or invalid instructed quantity. |
NARR |
Narrative Reason |
See narrative field for reason. |
If Qualifier is CACK and Data Source Scheme is not present, Reason Code must contain one of the following codes :
ADEA |
Account Servicer Deadline Missed |
Received after the account servicer's deadline. Processed on best effort basis. |
CALD |
In process |
Repo call is in process. |
CALI |
Issued |
Repo call is issued. |
CALP |
Processed |
Repo call is processed. |
CALR |
Being Processed |
Repo call request is being processed. |
If Qualifier is REPR and Data Source Scheme is not present, Reason Code must contain the following code :
ADEA |
Account Servicer Deadline Missed |
Received after the account servicer's deadline. Processed on best effort basis. |
BATC |
Processing Batch Repair |
Unrecognised or invalid Processing Batch (i.e. daytime/realtime while only possible to settle in overnight batch). |
BUSE |
Type of Order Repair |
Unrecognised or invalid type of order. |
CADE |
Transaction Call Delay Repair |
Unrecognised or invalid transaction call delay. |
CAEV |
Corporate Action Repair |
Corporate action pending on the financial instrument instructed. |
CASH |
Cash Account Repair |
Unrecognised or invalid cash account. |
CASY |
Cash Settlement System Repair |
Impossible standing arrangements override instruction for the cash settlement system. |
COMC |
Commercialization Contract Repair |
Unrecognized or invalid commercialization contract. |
DDAT |
Settlement Date Repair |
Unrecognised or invalid settlement date (i.e. date is not a settlement date for the instructed market, settlement date is too old ...). |
DDEA |
Deal Price Repair |
Unrecognised or invalid deal price. |
DEPT |
Place of Settlement Repair |
Unrecognised or invalid Place of Settlement. |
DMON |
Settlement Amount Repair |
Unrecognised or invalid settlement amount. |
DQUA |
Quantity Repair |
Unrecognised or invalid settlement quantity. |
DSEC |
Security Repair |
Unrecognised or invalid financial instrument identification (i.e. invalid ISIN, security not eligible at the instructed market ...). |
DTRD |
Trade Date Repair |
Unrecognised or invalid trade date. |
FEEE |
Fee/Commission Repair |
Unrecognised or invalid fee or commission. |
FORF |
Forfeit Amount Repair |
Unrecognised or invalid forfeit amount. |
ICAG |
Agent Repair |
Unrecognised or invalid receiving or delivering agent. |
ICUS |
Receiving or Delivering Custodian Repair |
Unrecognised or invalid receiving or delivering custodian. |
IEXE |
Buyer or Seller Repair |
Unrecognised or invalid buyer or seller. |
IIND |
Common reference Repair |
Unrecognised, invalid or missing Common Reference. |
INNA |
Narrative Information Repair |
Unrecognised or invalid SLA agreed narrative information. |
LEOG |
Letter of Guarantee Indicator Repair |
Unrecognised or invalid letter of guarantee indicator instructed. |
MINO |
Minimum Settlement Quantity Repair |
Quantity instructed is lower than the minimum existing settlement quantity for the financial instrument. |
MUNO |
Multiple Settlement Quantity Repair |
Quantity instructed is not a multiple of an existing settlement quantity lot for the financial instrument. |
NARR |
Narrative Reason |
See narrative field for reason. |
NCRR |
Settlement Amount Currency Repair |
Unrecognised or invalid settlement amount currency. |
NRGM |
No Match |
Cancellation request is in repair since more than one instruction match to the cancellation criteria. |
NRGN |
Not Found |
Cancellation request is in repair since the instruction could not be found. |
PHYS |
Physical settlement impossible |
Physical settlement is impossible for the instructed financial instrument. |
PLCE |
Place of Trade Repair |
Unrecognised or invalid place of trade. |
REFE |
Reference Repair |
Instruction has a reference identical to another previously received instruction. |
REPA |
Termination Transaction Amount Repair |
Unrecognised or invalid termination transaction amount. |
REPO |
Repurchase Rate Repair |
Unrecognised or invalid repurchase rate. |
REPP |
Premium Amount Repair |
Unrecognised or invalid premium amount |
RERT |
Repurchase Rate Type Repair |
Unrecognised or invalid repurchase rate type. |
RSPR |
Spread Rate Repair |
Unrecognised or invalid spread rate. |
RTGS |
RTGS system Repair |
Impossible to use the RTGS system instructed (NRTG or YRTG). |
SAFE |
Safekeeping Account Repair |
Unrecognised or invalid message sender's safekeeping account. |
SETR |
Settlement Transaction Repair |
Unrecognised or invalid settlement transaction type (relates to the settlement transaction type codes available for sequence E field 22F, qualifier SETR). |
SETS |
Settlement system/method Repair |
Unrecognised or invalid settlement system/method instructed. |
TERM |
Closing Date/Time Repair |
Unrecognised or invalid closing date/time. |
TXST |
Tax Status Repair |
Unrecognised or invalid tax status of the securities instructed. |
ULNK |
Unknown |
The message was not recognised - unknown linked reference. |
VASU |
Variable Rate Support Repair |
Unrecognised or invalid variable rate support (repo). |
If Qualifier is PPRC and Data Source Scheme is not present, Reason Code must contain one of the following codes :
ADEA |
Account Servicer Deadline Missed |
Instruction was received after the account servicer's deadline. Processed on best effort basis. |
BLOC |
Account Blocked |
Your account is blocked, no instruction can settle over the account. |
CAIS |
Awaiting Securities |
Awaiting securities from corporate action issue or other procedures, eg, conversion, dematerialisation, exchange, registration, stamping, splitting etc. |
CERT |
Wrong Certificate Numbers |
Certificate number error. |
COLL |
Securities Pledged as Collateral |
Securities are not deliverable as they are pledged as collateral. |
DENO |
Unavailable Deliverable Denominated Quantity |
Quantity instructed does not match the denomination available/deliverable. Physical securities need to be obtained in deliverable denominated quantities. |
DOCY |
Awaiting Documents/Endorsements from You |
Awaiting documents or endorsements from you. |
FLIM |
Maximum Foreign Limit Reached |
Insufficient deliverable financial instruments in your account as maximum foreign limit has been reached. |
GLOB |
Global Form Securities |
Settlement cannot be executed ; Financial Instruments are in global form. |
LACK |
Lack of Securities |
Insufficient financial instruments in your account. |
LALO |
Securities are Loaned Out |
Financial instruments are out on loan. |
MINO |
Minimum Settlement Quantity |
Quantity instructed is lower than the minimum existing settlement quantity for the financial instrument. |
MONY |
Insufficient Money |
Insufficient money in your account. |
MUNO |
Multiple Settlement Quantity |
Quantity instructed is not a multiple of an existing settlement quantity lot for the financial instrument. |
NARR |
Narrative Reason |
See narrative field for reason. |
NOFX |
No Foreign Exchange Instruction |
A foreign exchange instruction from you is missing. |
YCOL |
Collateral Shortage |
Insufficient collateral in your account to execute the instruction. |
The reason requested in the MT549 must reason codes available for the message type requested. Ex: STAT reason code (Missing statutes or commercial register or other legal documents) must not be used if the MT549 is a request for a MT548.
A pending transaction (PEND) becomes a failing transaction (PENF) at the settlement date instructed in the message, on the end of day reporting.