semt.003.001.10
Scope An account servicer sends a SecuritiesBalanceAccountingReport to an account owner to provide, at a moment in time, valuations of the portfolio together with details of each financial instrument holding. The account servicer/owner relationship may be:
- an accounting agent acting on behalf of an account owner, or
- a transfer agent acting on behalf of a fund manager or an account owner’s designated agent.
Usage The message should be sent at a frequency agreed bi-laterally between the account servicer and the account owner. The message can be sent either audited or un-audited and may be provided on a trade date, contractual or settlement date basis. This message can only be used to list the holdings of a single (master) account. However, it is possible to break down these holdings into one or several sub-accounts. Therefore, the message can be used to either specify holdings at
- the main account level, or,
- the sub-account level. This message can be used to report where the financial instruments are safe-kept, physically or notionally. If a security is held in more than one safekeeping place, this can also be indicated. The SecuritiesBalanceAccountingReport message should not be used for trading purposes. There may be one or more intermediary parties, for example, an intermediary or a concentrator between the account owner and account servicer. The message may also be used to:
- re-send a message previously sent,
- provide a third party with a copy of a message for information,
- re-send to a third party a copy of a message for information using the relevant elements in the Business Application Header.
Message Construction
Every ISO20022 message has at the highest level what we call ‘building blocks’. Because the message is constructed as immutable records, the association is by composition. Below you can see the relationship between the message and its constituent building blocks: For comparison, see the ISO20022 official specification
classDiagram direction LR %% SecuritiesBalanceAccountingReportV10 recursion level 0 with max 0 SecuritiesBalanceAccountingReportV10 *-- "1..1" Pagination1 : Pagination SecuritiesBalanceAccountingReportV10 *-- "1..1" Statement74 : StatementGeneralDetails SecuritiesBalanceAccountingReportV10 *-- "0..1" PartyIdentification144 : AccountOwner SecuritiesBalanceAccountingReportV10 *-- "0..1" PartyIdentification136 : AccountServicer SecuritiesBalanceAccountingReportV10 *-- "1..1" SecuritiesAccount26 : SafekeepingAccount SecuritiesBalanceAccountingReportV10 *-- "0..10" Intermediary44 : IntermediaryInformation SecuritiesBalanceAccountingReportV10 *-- "0..1" AggregateBalanceInformation37 : BalanceForAccount SecuritiesBalanceAccountingReportV10 *-- "0..1" SubAccountIdentification56 : SubAccountDetails SecuritiesBalanceAccountingReportV10 *-- "0..1" TotalValueInPageAndStatement2 : AccountBaseCurrencyTotalAmounts SecuritiesBalanceAccountingReportV10 *-- "0..1" TotalValueInPageAndStatement2 : AlternateReportingCurrencyTotalAmounts
Now, we will zero-in one-by-one on each of these building blocks.
Pagination building block
Page number of the message (within a statement) and continuation indicator to indicate that the statement is to continue or that the message is the last page of the statement. Number used to sequence pages when it is not possible for data to be conveyed in a single message and the data has to be split across several pages (messages). For comparison, see the ISO20022 official specification
classDiagram direction tb %% Pagination1 recursion level 0 with max 1 class Pagination1{ PageNumber IsoMax5NumericText LastPageIndicator IsoYesNoIndicator }
Pagination1 members
Member name | Description | Data Type / Multiplicity |
---|---|---|
PageNumber | Page number. | IsoMax5NumericText - Required 1..1 |
LastPageIndicator | Indicates the last page. | IsoYesNoIndicator - Required 1..1 |
StatementGeneralDetails building block
Provides general information on the report. Characteristics of the statement. For comparison, see the ISO20022 official specification
classDiagram direction tb %% Statement74 recursion level 0 with max 1 class Statement74{ QueryReference IsoMax35Text StatementIdentification IsoMax35Text ActivityIndicator IsoYesNoIndicator AuditedIndicator IsoYesNoIndicator SubAccountIndicator IsoYesNoIndicator TaxLotIndicator IsoYesNoIndicator SecurityInterestOrSetOff IsoYesNoIndicator } Statement74 *-- "0..1" INumber3Choice : ReportNumber Statement74 *-- "1..1" IDateAndDateTime2Choice : StatementDateTime Statement74 *-- "1..1" IFrequency25Choice : Frequency Statement74 *-- "1..1" IUpdateType15Choice : UpdateType Statement74 *-- "1..1" IStatementBasis7Choice : StatementBasis %% INumber3Choice recursion level 1 with max 1 %% IDateAndDateTime2Choice recursion level 1 with max 1 %% IFrequency25Choice recursion level 1 with max 1 %% IUpdateType15Choice recursion level 1 with max 1 %% IStatementBasis7Choice recursion level 1 with max 1
Statement74 members
Member name | Description | Data Type / Multiplicity |
---|---|---|
ReportNumber | Sequential number of the report. | INumber3Choice - Optional 0..1 |
QueryReference | Identification of the SecuritiesStatementQuery message sent to request this statement. | IsoMax35Text - Optional 0..1 |
StatementIdentification | Reference common to all pages of a statement. | IsoMax35Text - Optional 0..1 |
StatementDateTime | Date and time of the statement. | IDateAndDateTime2Choice - Required 1..1 |
Frequency | Frequency of the statement. | IFrequency25Choice - Required 1..1 |
UpdateType | Indicates whether the statement is complete or contains changes only. | IUpdateType15Choice - Required 1..1 |
StatementBasis | Type of balance on which the statement is prepared. | IStatementBasis7Choice - Required 1..1 |
ActivityIndicator | Indicates whether there is activity or information update reported in the statement. | IsoYesNoIndicator - Required 1..1 |
AuditedIndicator | Indicates whether the statement is audited or not. | IsoYesNoIndicator - Required 1..1 |
SubAccountIndicator | Indicates whether the statement reports holdings at subsafekeeping account level. | IsoYesNoIndicator - Required 1..1 |
TaxLotIndicator | Indicates whether the statement contains tax lot details. | IsoYesNoIndicator - Optional 0..1 |
SecurityInterestOrSetOff | Indicates whether the holdings on the account are subject to security interest, lien or right of set-off. | IsoYesNoIndicator - Optional 0..1 |
AccountOwner building block
Party that legally owns the account. Identification of a party. For comparison, see the ISO20022 official specification
classDiagram direction tb %% PartyIdentification144 recursion level 0 with max 1 class PartyIdentification144{ LEI IsoLEIIdentifier } PartyIdentification144 *-- "1..1" IPartyIdentification127Choice : Identification %% IPartyIdentification127Choice recursion level 1 with max 1
PartyIdentification144 members
Member name | Description | Data Type / Multiplicity |
---|---|---|
Identification | Unique identification of the party. | IPartyIdentification127Choice - Required 1..1 |
LEI | Legal entity identification as an alternate identification for a party. | IsoLEIIdentifier - Optional 0..1 |
AccountServicer building block
Party that manages the account on behalf of the account owner, that is, manages the registration and booking of entries on the account, calculates balances on the account and provides information about the account. Identification of the party. For comparison, see the ISO20022 official specification
classDiagram direction tb %% PartyIdentification136 recursion level 0 with max 1 class PartyIdentification136{ LEI IsoLEIIdentifier } PartyIdentification136 *-- "1..1" IPartyIdentification120Choice : Identification %% IPartyIdentification120Choice recursion level 1 with max 1
PartyIdentification136 members
Member name | Description | Data Type / Multiplicity |
---|---|---|
Identification | Unique identification of the party. | IPartyIdentification120Choice - Required 1..1 |
LEI | Legal entity identification as an alternate identification for a party. | IsoLEIIdentifier - Optional 0..1 |
SafekeepingAccount building block
Account to or from which a securities entry is made. Account to or from which a securities entry is made. For comparison, see the ISO20022 official specification
classDiagram direction tb %% SecuritiesAccount26 recursion level 0 with max 1 class SecuritiesAccount26{ Identification IsoMax35Text Name IsoMax70Text Designation IsoMax35Text } SecuritiesAccount26 *-- "0..1" IPurposeCode7Choice : Type %% IPurposeCode7Choice recursion level 1 with max 1
SecuritiesAccount26 members
Member name | Description | Data Type / Multiplicity |
---|---|---|
Identification | Unique and unambiguous identification for the account between the account owner and the account servicer. | IsoMax35Text - Required 1..1 |
Type | Specifies the type of securities account. | IPurposeCode7Choice - Optional 0..1 |
Name | Name of the account. It provides an additional means of identification, and is designated by the account servicer in agreement with the account owner. | IsoMax70Text - Optional 0..1 |
Designation | Supplementary registration information applying to a specific block of units for dealing and reporting purposes. The supplementary registration information may be used when all the units are registered, for example, to a funds supermarket, but holdings for each investor have to be reconciled individually. | IsoMax35Text - Optional 0..1 |
IntermediaryInformation building block
Information about the party that provides services relating to financial products to investors, for example, advice on products and placement of orders for the investment fund. Party that provides services to investors relating to financial products (Investment Funds). For comparison, see the ISO20022 official specification
classDiagram direction tb %% Intermediary44 recursion level 0 with max 1 Intermediary44 *-- "1..1" PartyIdentification136 : Identification Intermediary44 *-- "0..1" IRole6Choice : Role Intermediary44 *-- "0..1" Account29 : Account %% PartyIdentification136 recursion level 1 with max 1 class PartyIdentification136{ LEI IsoLEIIdentifier } PartyIdentification136 *-- "1..1" IPartyIdentification120Choice : Identification %% IRole6Choice recursion level 1 with max 1 %% Account29 recursion level 1 with max 1 Account29 *-- "1..1" AccountIdentification26 : Identification Account29 *-- "0..1" IPartyIdentification120Choice : AccountServicer
Intermediary44 members
Member name | Description | Data Type / Multiplicity |
---|---|---|
Identification | Unique and unambiguous identifier of the intermediary. | PartyIdentification136 - Required 1..1 |
Role | Function performed by the intermediary (investment funds). | IRole6Choice - Optional 0..1 |
Account | Business relationship between two entities; one entity is the account owner, the other entity is the account servicer. | Account29 - Optional 0..1 |
BalanceForAccount building block
Net position of a segregated holding, in a single security, within the overall position held in a securities account. Overall position, in a single security, held in a securities account at a specified place of safekeeping. For comparison, see the ISO20022 official specification
classDiagram direction tb %% AggregateBalanceInformation37 recursion level 0 with max 1 class AggregateBalanceInformation37{ CorporateActionOptionType CorporateActionOption5Code DaysAccrued IsoNumber HoldingAdditionalDetails IsoMax350Text } AggregateBalanceInformation37 *-- "1..1" SecurityIdentification19 : FinancialInstrumentIdentification AggregateBalanceInformation37 *-- "0..1" FinancialInstrumentAttributes91 : FinancialInstrumentAttributes AggregateBalanceInformation37 *-- "0..1" FinancialInstrument21 : InvestmentFundsFinancialInstrumentAttributes AggregateBalanceInformation37 *-- "0..1" DerivativeBasicAttributes1 : AdditionalDerivativeAttributes AggregateBalanceInformation37 *-- "1..1" Balance6 : AggregateBalance AggregateBalanceInformation37 *-- "0..1" SafeKeepingPlace3 : SafekeepingPlace AggregateBalanceInformation37 *-- "1..0" PriceInformation20 : PriceDetails AggregateBalanceInformation37 *-- "0..0" ForeignExchangeTerms34 : ForeignExchangeDetails AggregateBalanceInformation37 *-- "1..1" BalanceAmounts1 : AccountBaseCurrencyAmounts AggregateBalanceInformation37 *-- "0..1" BalanceAmounts1 : InstrumentCurrencyAmounts AggregateBalanceInformation37 *-- "0..1" BalanceAmounts1 : AlternateReportingCurrencyAmounts AggregateBalanceInformation37 *-- "0..0" QuantityBreakdown53 : QuantityBreakdown AggregateBalanceInformation37 *-- "0..0" SubBalanceInformation14 : BalanceBreakdown AggregateBalanceInformation37 *-- "0..0" AdditionalBalanceInformation14 : AdditionalBalanceBreakdown AggregateBalanceInformation37 *-- "0..0" AggregateBalancePerSafekeepingPlace34 : BalanceAtSafekeepingPlace AggregateBalanceInformation37 *-- "0..0" SupplementaryData1 : SupplementaryData %% SecurityIdentification19 recursion level 1 with max 1 class SecurityIdentification19{ ISIN IsoISINOct2015Identifier Description IsoMax140Text } SecurityIdentification19 *-- "0..0" OtherIdentification1 : OtherIdentification %% FinancialInstrumentAttributes91 recursion level 1 with max 1 class FinancialInstrumentAttributes91{ DenominationCurrency ActiveOrHistoricCurrencyCode CouponDate IsoISODate ExpiryDate IsoISODate FloatingRateFixingDate IsoISODate MaturityDate IsoISODate IssueDate IsoISODate NextCallableDate IsoISODate PutableDate IsoISODate DatedDate IsoISODate FirstPaymentDate IsoISODate PreviousFactor IsoBaseOneRate CurrentFactor IsoBaseOneRate NextFactor IsoBaseOneRate InterestRate IsoPercentageRate YieldToMaturityRate IsoPercentageRate NextInterestRate IsoPercentageRate IndexRateBasis IsoPercentageRate VariableRateIndicator IsoYesNoIndicator CallableIndicator IsoYesNoIndicator PutableIndicator IsoYesNoIndicator FinancialInstrumentAttributeAdditionalDetails IsoMax350Text } FinancialInstrumentAttributes91 *-- "0..1" IMarketIdentification3Choice : PlaceOfListing FinancialInstrumentAttributes91 *-- "0..1" IInterestComputationMethodFormat4Choice : DayCountBasis FinancialInstrumentAttributes91 *-- "0..1" IFormOfSecurity6Choice : RegistrationForm FinancialInstrumentAttributes91 *-- "0..1" IFrequency23Choice : PaymentFrequency FinancialInstrumentAttributes91 *-- "0..1" ISecuritiesPaymentStatus5Choice : PaymentStatus FinancialInstrumentAttributes91 *-- "0..1" IFrequency23Choice : VariableRateChangeFrequency FinancialInstrumentAttributes91 *-- "0..1" IClassificationType32Choice : ClassificationType FinancialInstrumentAttributes91 *-- "0..1" IOptionStyle8Choice : OptionStyle FinancialInstrumentAttributes91 *-- "0..1" IOptionType6Choice : OptionType FinancialInstrumentAttributes91 *-- "0..1" INumber22Choice : CouponAttachedNumber FinancialInstrumentAttributes91 *-- "0..1" GenericIdentification37 : PoolNumber FinancialInstrumentAttributes91 *-- "0..1" IPriceType4Choice : MarketOrIndicativePrice FinancialInstrumentAttributes91 *-- "0..1" Price7 : ExercisePrice FinancialInstrumentAttributes91 *-- "0..1" Price7 : SubscriptionPrice FinancialInstrumentAttributes91 *-- "0..1" Price7 : ConversionPrice FinancialInstrumentAttributes91 *-- "0..1" Price7 : StrikePrice FinancialInstrumentAttributes91 *-- "0..1" IFinancialInstrumentQuantity1Choice : MinimumNominalQuantity FinancialInstrumentAttributes91 *-- "0..1" IFinancialInstrumentQuantity1Choice : ContractSize FinancialInstrumentAttributes91 *-- "0..0" SecurityIdentification19 : UnderlyingFinancialInstrumentIdentification %% FinancialInstrument21 recursion level 1 with max 1 class FinancialInstrument21{ ClassType IsoMax35Text SecuritiesForm FormOfSecurity1Code DistributionPolicy DistributionPolicy1Code ProductGroup IsoMax140Text UmbrellaName IsoMax35Text BaseCurrency ActiveCurrencyCode DenominationCurrency ActiveCurrencyCode RequestedNAVCurrency ActiveOrHistoricCurrencyCode DualFundIndicator IsoYesNoIndicator CountryOfDomicile CountryCode RegisteredDistributionCountry CountryCode } %% DerivativeBasicAttributes1 recursion level 1 with max 1 class DerivativeBasicAttributes1{ NotionalCurrencyAndAmount IsoActiveOrHistoricCurrencyAndAmount InterestIncludedInPrice IsoYesNoIndicator } %% Balance6 recursion level 1 with max 1 class Balance6{ ShortLongIndicator ShortLong1Code } Balance6 *-- "1..1" IBalanceQuantity9Choice : Quantity %% SafeKeepingPlace3 recursion level 1 with max 1 class SafeKeepingPlace3{ LEI IsoLEIIdentifier } SafeKeepingPlace3 *-- "0..1" ISafekeepingPlaceFormat29Choice : SafekeepingPlaceFormat %% PriceInformation20 recursion level 1 with max 1 PriceInformation20 *-- "1..1" ITypeOfPrice28Choice : Type PriceInformation20 *-- "1..1" IPriceRateOrAmountOrUnknown2Choice : Value PriceInformation20 *-- "1..1" IYieldedOrValueType1Choice : ValueType PriceInformation20 *-- "0..1" MarketIdentification89 : SourceOfPrice PriceInformation20 *-- "0..1" IDateAndDateTime2Choice : QuotationDate %% ForeignExchangeTerms34 recursion level 1 with max 1 class ForeignExchangeTerms34{ UnitCurrency ActiveOrHistoricCurrencyCode QuotedCurrency ActiveOrHistoricCurrencyCode ExchangeRate IsoBaseOneRate QuotationDate IsoISODateTime } ForeignExchangeTerms34 *-- "0..1" IPartyIdentification120Choice : QuotingInstitution %% BalanceAmounts1 recursion level 1 with max 1 BalanceAmounts1 *-- "1..1" AmountAndDirection6 : HoldingValue BalanceAmounts1 *-- "0..1" AmountAndDirection6 : PreviousHoldingValue BalanceAmounts1 *-- "0..1" AmountAndDirection6 : BookValue BalanceAmounts1 *-- "0..1" AmountAndDirection6 : UnrealisedGainLoss BalanceAmounts1 *-- "0..1" AmountAndDirection6 : AccruedInterestAmount %% BalanceAmounts1 recursion level 1 with max 1 BalanceAmounts1 *-- "1..1" AmountAndDirection6 : HoldingValue BalanceAmounts1 *-- "0..1" AmountAndDirection6 : PreviousHoldingValue BalanceAmounts1 *-- "0..1" AmountAndDirection6 : BookValue BalanceAmounts1 *-- "0..1" AmountAndDirection6 : UnrealisedGainLoss BalanceAmounts1 *-- "0..1" AmountAndDirection6 : AccruedInterestAmount %% BalanceAmounts1 recursion level 1 with max 1 BalanceAmounts1 *-- "1..1" AmountAndDirection6 : HoldingValue BalanceAmounts1 *-- "0..1" AmountAndDirection6 : PreviousHoldingValue BalanceAmounts1 *-- "0..1" AmountAndDirection6 : BookValue BalanceAmounts1 *-- "0..1" AmountAndDirection6 : UnrealisedGainLoss BalanceAmounts1 *-- "0..1" AmountAndDirection6 : AccruedInterestAmount %% QuantityBreakdown53 recursion level 1 with max 1 QuantityBreakdown53 *-- "0..1" GenericIdentification37 : LotNumber QuantityBreakdown53 *-- "0..1" Balance7 : LotQuantity QuantityBreakdown53 *-- "0..1" IDateAndDateTime2Choice : LotDateTime QuantityBreakdown53 *-- "0..1" Price7 : LotPrice QuantityBreakdown53 *-- "0..1" ITypeOfPrice29Choice : TypeOfPrice QuantityBreakdown53 *-- "0..1" BalanceAmounts2 : AccountBaseCurrencyAmounts QuantityBreakdown53 *-- "0..1" BalanceAmounts2 : InstrumentCurrencyAmounts QuantityBreakdown53 *-- "0..1" BalanceAmounts2 : AlternateReportingCurrencyAmounts %% SubBalanceInformation14 recursion level 1 with max 1 class SubBalanceInformation14{ SubBalanceAdditionalDetails IsoMax140Text } SubBalanceInformation14 *-- "1..1" ISubBalanceType11Choice : SubBalanceType SubBalanceInformation14 *-- "1..1" ISubBalanceQuantity6Choice : Quantity SubBalanceInformation14 *-- "0..0" AdditionalBalanceInformation14 : AdditionalBalanceBreakdownDetails %% AdditionalBalanceInformation14 recursion level 1 with max 1 class AdditionalBalanceInformation14{ SubBalanceAdditionalDetails IsoMax140Text } AdditionalBalanceInformation14 *-- "1..1" ISubBalanceType12Choice : SubBalanceType AdditionalBalanceInformation14 *-- "1..1" ISubBalanceQuantity6Choice : Quantity %% AggregateBalancePerSafekeepingPlace34 recursion level 1 with max 1 class AggregateBalancePerSafekeepingPlace34{ DaysAccrued IsoNumber HoldingAdditionalDetails IsoMax350Text } AggregateBalancePerSafekeepingPlace34 *-- "1..1" SafeKeepingPlace3 : SafekeepingPlace AggregateBalancePerSafekeepingPlace34 *-- "0..1" IMarketIdentification3Choice : PlaceOfListing AggregateBalancePerSafekeepingPlace34 *-- "0..1" Pledgee3 : Pledgee AggregateBalancePerSafekeepingPlace34 *-- "1..1" Balance6 : AggregateBalance AggregateBalancePerSafekeepingPlace34 *-- "1..0" PriceInformation20 : PriceDetails AggregateBalancePerSafekeepingPlace34 *-- "0..0" ForeignExchangeTerms34 : ForeignExchangeDetails AggregateBalancePerSafekeepingPlace34 *-- "1..1" BalanceAmounts1 : AccountBaseCurrencyAmounts AggregateBalancePerSafekeepingPlace34 *-- "0..1" BalanceAmounts1 : InstrumentCurrencyAmounts AggregateBalancePerSafekeepingPlace34 *-- "0..1" BalanceAmounts1 : AlternateReportingCurrencyAmounts AggregateBalancePerSafekeepingPlace34 *-- "0..0" QuantityBreakdown53 : QuantityBreakdown AggregateBalancePerSafekeepingPlace34 *-- "0..1" IExposureType16Choice : ExposureType AggregateBalancePerSafekeepingPlace34 *-- "0..0" SubBalanceInformation14 : BalanceBreakdown AggregateBalancePerSafekeepingPlace34 *-- "0..0" AdditionalBalanceInformation14 : AdditionalBalanceBreakdown %% SupplementaryData1 recursion level 1 with max 1 class SupplementaryData1{ PlaceAndName IsoMax350Text } SupplementaryData1 *-- "1..1" IsoSupplementaryDataEnvelope1 : Envelope
AggregateBalanceInformation37 members
Member name | Description | Data Type / Multiplicity |
---|---|---|
FinancialInstrumentIdentification | Financial instrument representing a sum of rights of the investor vis-a-vis the issuer. | SecurityIdentification19 - Required 1..1 |
FinancialInstrumentAttributes | Elements characterising a financial instrument. | FinancialInstrumentAttributes91 - Optional 0..1 |
InvestmentFundsFinancialInstrumentAttributes | Elements characterising an investment funds financial instrument. | FinancialInstrument21 - Optional 0..1 |
AdditionalDerivativeAttributes | Details of the swap contract. | DerivativeBasicAttributes1 - Optional 0..1 |
AggregateBalance | Total quantity of financial instruments of the balance. | Balance6 - Required 1..1 |
SafekeepingPlace | Place where the securities are safe-kept, physically or notionally. This place can be, for example, a local custodian, a Central Securities Depository (CSD) or an International Central Securities Depository (ICSD). | SafeKeepingPlace3 - Optional 0..1 |
CorporateActionOptionType | Specifies the corporate action options available to the account owner. | CorporateActionOption5Code - Optional 0..1 |
PriceDetails | Price of the financial instrument in one or more currencies. | PriceInformation20 - Unknown 1..0 |
ForeignExchangeDetails | Information needed to process a currency exchange or conversion. | ForeignExchangeTerms34 - Unknown 0..0 |
DaysAccrued | Specifies the number of days used for calculating the accrued interest amount. | IsoNumber - Optional 0..1 |
AccountBaseCurrencyAmounts | Valuation amounts provided in the base currency of the account. | BalanceAmounts1 - Required 1..1 |
InstrumentCurrencyAmounts | Valuation amounts provided in the currency of the financial instrument. | BalanceAmounts1 - Optional 0..1 |
AlternateReportingCurrencyAmounts | Valuation amounts provided in a currency other than the base currency of the account. | BalanceAmounts1 - Optional 0..1 |
QuantityBreakdown | Breakdown of the aggregate quantity reported into significant lots, for example, tax lots. | QuantityBreakdown53 - Unknown 0..0 |
BalanceBreakdown | Breakdown of the aggregate balance per meaningful sub-balances and availability. | SubBalanceInformation14 - Unknown 0..0 |
AdditionalBalanceBreakdown | Provides additional instrument sub-balance information on all or parts of the reported financial instrument (unregistered, tax exempt, etc.). | AdditionalBalanceInformation14 - Unknown 0..0 |
BalanceAtSafekeepingPlace | Breakdown of positions per place of safekeeping (and optionally per place of listing). | AggregateBalancePerSafekeepingPlace34 - Unknown 0..0 |
HoldingAdditionalDetails | Provides additional information on the holding. | IsoMax350Text - Optional 0..1 |
SupplementaryData | Additional information that cannot be captured in the structured elements and/or any other specific block. | SupplementaryData1 - Unknown 0..0 |
SubAccountDetails building block
Sub-account of the safekeeping or investment account. Account to or from which a securities entry is made. For comparison, see the ISO20022 official specification
classDiagram direction tb %% SubAccountIdentification56 recursion level 0 with max 1 class SubAccountIdentification56{ ActivityIndicator IsoYesNoIndicator } SubAccountIdentification56 *-- "0..1" PartyIdentification144 : AccountOwner SubAccountIdentification56 *-- "1..1" SecuritiesAccount25 : SafekeepingAccount SubAccountIdentification56 *-- "0..0" AggregateBalanceInformation37 : BalanceForSubAccount %% PartyIdentification144 recursion level 1 with max 1 class PartyIdentification144{ LEI IsoLEIIdentifier } PartyIdentification144 *-- "1..1" IPartyIdentification127Choice : Identification %% SecuritiesAccount25 recursion level 1 with max 1 class SecuritiesAccount25{ Identification IsoMax35Text Name IsoMax70Text } SecuritiesAccount25 *-- "0..1" IPurposeCode7Choice : Type %% AggregateBalanceInformation37 recursion level 1 with max 1 class AggregateBalanceInformation37{ CorporateActionOptionType CorporateActionOption5Code DaysAccrued IsoNumber HoldingAdditionalDetails IsoMax350Text } AggregateBalanceInformation37 *-- "1..1" SecurityIdentification19 : FinancialInstrumentIdentification AggregateBalanceInformation37 *-- "0..1" FinancialInstrumentAttributes91 : FinancialInstrumentAttributes AggregateBalanceInformation37 *-- "0..1" FinancialInstrument21 : InvestmentFundsFinancialInstrumentAttributes AggregateBalanceInformation37 *-- "0..1" DerivativeBasicAttributes1 : AdditionalDerivativeAttributes AggregateBalanceInformation37 *-- "1..1" Balance6 : AggregateBalance AggregateBalanceInformation37 *-- "0..1" SafeKeepingPlace3 : SafekeepingPlace AggregateBalanceInformation37 *-- "1..0" PriceInformation20 : PriceDetails AggregateBalanceInformation37 *-- "0..0" ForeignExchangeTerms34 : ForeignExchangeDetails AggregateBalanceInformation37 *-- "1..1" BalanceAmounts1 : AccountBaseCurrencyAmounts AggregateBalanceInformation37 *-- "0..1" BalanceAmounts1 : InstrumentCurrencyAmounts AggregateBalanceInformation37 *-- "0..1" BalanceAmounts1 : AlternateReportingCurrencyAmounts AggregateBalanceInformation37 *-- "0..0" QuantityBreakdown53 : QuantityBreakdown AggregateBalanceInformation37 *-- "0..0" SubBalanceInformation14 : BalanceBreakdown AggregateBalanceInformation37 *-- "0..0" AdditionalBalanceInformation14 : AdditionalBalanceBreakdown AggregateBalanceInformation37 *-- "0..0" AggregateBalancePerSafekeepingPlace34 : BalanceAtSafekeepingPlace AggregateBalanceInformation37 *-- "0..0" SupplementaryData1 : SupplementaryData
SubAccountIdentification56 members
Member name | Description | Data Type / Multiplicity |
---|---|---|
AccountOwner | Party that legally owns the account. | PartyIdentification144 - Optional 0..1 |
SafekeepingAccount | Account to or from which a securities entry is made. | SecuritiesAccount25 - Required 1..1 |
ActivityIndicator | Indicates whether there is activity or information update reported in the statement. | IsoYesNoIndicator - Required 1..1 |
BalanceForSubAccount | Net position of a segregated holding, in a single security, within the overall position held in a securities subaccount. | AggregateBalanceInformation37 - Unknown 0..0 |
AccountBaseCurrencyTotalAmounts building block
Total valuation amounts provided in the base currency of the account. Totals for the value of the holdings reported in the statement or page. For comparison, see the ISO20022 official specification
classDiagram direction tb %% TotalValueInPageAndStatement2 recursion level 0 with max 1 TotalValueInPageAndStatement2 *-- "0..1" AmountAndDirection6 : TotalHoldingsValueOfPage TotalValueInPageAndStatement2 *-- "1..1" AmountAndDirection6 : TotalHoldingsValueOfStatement TotalValueInPageAndStatement2 *-- "0..1" AmountAndDirection6 : TotalBookValueOfStatement %% AmountAndDirection6 recursion level 1 with max 1 class AmountAndDirection6{ Amount IsoActiveOrHistoricCurrencyAndAmount Sign IsoPlusOrMinusIndicator } %% AmountAndDirection6 recursion level 1 with max 1 class AmountAndDirection6{ Amount IsoActiveOrHistoricCurrencyAndAmount Sign IsoPlusOrMinusIndicator } %% AmountAndDirection6 recursion level 1 with max 1 class AmountAndDirection6{ Amount IsoActiveOrHistoricCurrencyAndAmount Sign IsoPlusOrMinusIndicator }
TotalValueInPageAndStatement2 members
Member name | Description | Data Type / Multiplicity |
---|---|---|
TotalHoldingsValueOfPage | Total value of positions reported in this message. | AmountAndDirection6 - Optional 0..1 |
TotalHoldingsValueOfStatement | Total value of positions reported in this statement (a statement may comprise one or more messages). | AmountAndDirection6 - Required 1..1 |
TotalBookValueOfStatement | Total book value of positions reported in this statement (a statement may comprise one or more messages). | AmountAndDirection6 - Optional 0..1 |
AlternateReportingCurrencyTotalAmounts building block
Total valuation amounts provided in a currency other than the base currency of the account. Totals for the value of the holdings reported in the statement or page. For comparison, see the ISO20022 official specification
classDiagram direction tb %% TotalValueInPageAndStatement2 recursion level 0 with max 1 TotalValueInPageAndStatement2 *-- "0..1" AmountAndDirection6 : TotalHoldingsValueOfPage TotalValueInPageAndStatement2 *-- "1..1" AmountAndDirection6 : TotalHoldingsValueOfStatement TotalValueInPageAndStatement2 *-- "0..1" AmountAndDirection6 : TotalBookValueOfStatement %% AmountAndDirection6 recursion level 1 with max 1 class AmountAndDirection6{ Amount IsoActiveOrHistoricCurrencyAndAmount Sign IsoPlusOrMinusIndicator } %% AmountAndDirection6 recursion level 1 with max 1 class AmountAndDirection6{ Amount IsoActiveOrHistoricCurrencyAndAmount Sign IsoPlusOrMinusIndicator } %% AmountAndDirection6 recursion level 1 with max 1 class AmountAndDirection6{ Amount IsoActiveOrHistoricCurrencyAndAmount Sign IsoPlusOrMinusIndicator }
TotalValueInPageAndStatement2 members
Member name | Description | Data Type / Multiplicity |
---|---|---|
TotalHoldingsValueOfPage | Total value of positions reported in this message. | AmountAndDirection6 - Optional 0..1 |
TotalHoldingsValueOfStatement | Total value of positions reported in this statement (a statement may comprise one or more messages). | AmountAndDirection6 - Required 1..1 |
TotalBookValueOfStatement | Total book value of positions reported in this statement (a statement may comprise one or more messages). | AmountAndDirection6 - Optional 0..1 |
Extensibility and generalization considerations
To facilitate generalized design patterns in the system, the SecuritiesBalanceAccountingReportV10 implementation follows a specific implementaiton pattern. First of all, SecuritiesBalanceAccountingReportV10 impleemnts IOuterRecord indicating it is the outermost logical part of the message definition. Like all message wrappers, SecuritiesBalanceAccountingReportV10Document implements IOuterDocument. Because SecuritiesBalanceAccountingReportV10 implements IOuterDocument, it is a suitable template parameter for IOuterDocument, and causes the internal ‘Message’ to be of type SecuritiesBalanceAccountingReportV10.
classDiagram class IOuterRecord SecuritiesBalanceAccountingReportV10 --|> IOuterRecord : Implements SecuritiesBalanceAccountingReportV10Document --|> IOuterDocument~SecuritiesBalanceAccountingReportV10~ : Implements class IOuterDocument~SecuritiesBalanceAccountingReportV10~ { SecuritiesBalanceAccountingReportV10 Message }
Document wrapper for serialization
The only real purpose SecuritiesBalanceAccountingReportV10Document serves is to cause the document to be serialized into the ‘urn:iso:std:iso:20022:tech:xsd:semt.003.001.10’ namespace. Therefore, it will probably be the usual practice to build the message and construct this wrapper at the last minute using SecuritiesBalanceAccountingReportV10.ToDocument() method. The returned SecuritiesBalanceAccountingReportV10Document value will serialize correctly according to ISO 20022 standards.
classDiagram SecuritiesBalanceAccountingReportV10Document *-- SecuritiesBalanceAccountingReportV10 : Document
Sample of message format
This is an abbreviated version of what the message should look like.
<Document xmlns="urn:iso:std:iso:20022:tech:xsd:semt.003.001.10">
<SctiesBalAcctgRpt>
<Pgntn>
<!-- Pagination inner content -->
</Pgntn>
<StmtGnlDtls>
<!-- StatementGeneralDetails inner content -->
</StmtGnlDtls>
<AcctOwnr>
<!-- AccountOwner inner content -->
</AcctOwnr>
<AcctSvcr>
<!-- AccountServicer inner content -->
</AcctSvcr>
<SfkpgAcct>
<!-- SafekeepingAccount inner content -->
</SfkpgAcct>
<IntrmyInf>
<!-- IntermediaryInformation inner content -->
</IntrmyInf>
<BalForAcct>
<!-- BalanceForAccount inner content -->
</BalForAcct>
<SubAcctDtls>
<!-- SubAccountDetails inner content -->
</SubAcctDtls>
<AcctBaseCcyTtlAmts>
<!-- AccountBaseCurrencyTotalAmounts inner content -->
</AcctBaseCcyTtlAmts>
<AltrnRptgCcyTtlAmts>
<!-- AlternateReportingCurrencyTotalAmounts inner content -->
</AltrnRptgCcyTtlAmts>
</SctiesBalAcctgRpt>
</Document>
Data from ISO specification
This is the technical data from the specification document.
<messageDefinition
xmi:id="_j9mmsdB_EeiO-eodGv5iKQ"
nextVersions="_3H0PwSgkEey2k_sfZmJz4g"
previousVersion="_YSMWIwCTEeW_3KiG8SEjHA"
name="SecuritiesBalanceAccountingReportV10"
definition="Scope 
An account servicer sends a SecuritiesBalanceAccountingReport to an account owner to provide, at a moment in time, valuations of the portfolio together with details of each financial instrument holding.
The account servicer/owner relationship may be:
- an accounting agent acting on behalf of an account owner, or
- a transfer agent acting on behalf of a fund manager or an account owner's designated agent.

Usage
The message should be sent at a frequency agreed bi-laterally between the account servicer and the account owner.
The message can be sent either audited or un-audited and may be provided on a trade date, contractual or settlement date basis. 
This message can only be used to list the holdings of a single (master) account. However, it is possible to break down these holdings into one or several sub-accounts. Therefore, the message can be used to either specify holdings at
- the main account level, or, 
- the sub-account level.
This message can be used to report where the financial instruments are safe-kept, physically or notionally. If a security is held in more than one safekeeping place, this can also be indicated. 
The SecuritiesBalanceAccountingReport message should not be used for trading purposes.
There may be one or more intermediary parties, for example, an intermediary or a concentrator between the account owner and account servicer.
The message may also be used to:
- re-send a message previously sent,
- provide a third party with a copy of a message for information,
- re-send to a third party a copy of a message for information using the relevant elements in the Business Application Header."
registrationStatus="Registered"
messageSet="_JB4xh_8rEeCQ-IWv9MUPeQ"
xmlTag="SctiesBalAcctgRpt"
rootElement="Document"
xmlns:xmi="http://www.omg.org/XMI">
<constraint
xmi:id="_j9mms9B_EeiO-eodGv5iKQ"
nextVersions="_3H0PwygkEey2k_sfZmJz4g"
previousVersion="_YSMWJQCTEeW_3KiG8SEjHA"
name="BalanceForAccountOrSubAccountDetailsRule"
definition="If StatementGeneralDetails/ActivityIndicator is TRUE (Yes), then either BalanceForAccount or SubAccountDetails must be present. If StatementGeneralDetails/ActivityIndicator is FALSE (No), then BalanceForAccount and SubAccountDetails must be absent."
registrationStatus="Provisionally Registered"
expression="<RuleDefinition><ComplexRule xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:type="ComplexRule"><mustBe><connector>AND</connector><BooleanRule xsi:type="Absence"><leftOperand>/SubAccountDetails[*]</leftOperand></BooleanRule><BooleanRule xsi:type="Absence"><leftOperand>/BalanceForAccount[*]</leftOperand></BooleanRule></mustBe><onCondition><connector>AND</connector><BooleanRule xsi:type="EqualToValue"><leftOperand>/StatementGeneralDetails/ActivityIndicator</leftOperand><rightOperand>false</rightOperand></BooleanRule></onCondition></ComplexRule></RuleDefinition>" />
<constraint
xmi:id="_j9mmtdB_EeiO-eodGv5iKQ"
nextVersions="_3H0PxSgkEey2k_sfZmJz4g"
previousVersion="_YSMWJwCTEeW_3KiG8SEjHA"
name="BalanceForAccountReportingRule"
definition="If StatementGeneralDetails/ActivityIndicator is TRUE (Yes) and SubAccountIndicator is FALSE (NO), then BalanceForAccount must be present and Sub Account Details must be absent."
registrationStatus="Provisionally Registered"
expression="<RuleDefinition><ComplexRule xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:type="ComplexRule"><mustBe><connector>AND</connector><BooleanRule xsi:type="Absence"><leftOperand>/SubAccountDetails[*]</leftOperand></BooleanRule><BooleanRule xsi:type="Presence"><leftOperand>/BalanceForAccount[*]</leftOperand></BooleanRule></mustBe><onCondition><connector>AND</connector><BooleanRule xsi:type="EqualToValue"><leftOperand>/StatementGeneralDetails/SubAccountIndicator</leftOperand><rightOperand>false</rightOperand></BooleanRule><BooleanRule xsi:type="EqualToValue"><leftOperand>/StatementGeneralDetails/ActivityIndicator</leftOperand><rightOperand>true</rightOperand></BooleanRule></onCondition></ComplexRule></RuleDefinition>" />
<constraint
xmi:id="_j9mmt9B_EeiO-eodGv5iKQ"
nextVersions="_3H0PxygkEey2k_sfZmJz4g"
previousVersion="_YSMWLQCTEeW_3KiG8SEjHA"
name="SecuritiesMarketPracticeGroupGuideline"
definition="The Securities Market Practice Group (SMPG) has published market practice recommendations on the use of this message.
These market practices are available on www.smpg.info."
registrationStatus="Provisionally Registered" />
<constraint
xmi:id="_j9mmudB_EeiO-eodGv5iKQ"
nextVersions="_3H0PySgkEey2k_sfZmJz4g"
previousVersion="_YSMWLwCTEeW_3KiG8SEjHA"
name="SubAccountDetailsBalanceForAccountPresenceRule"
definition="If StatementGeneralDetails/ActivityIndicator is TRUE (Yes) and SubAccountIndicator is TRUE (YES), then SubAccountDetails must be present and BalanceForAccount must be absent."
registrationStatus="Provisionally Registered"
expression="<RuleDefinition><ComplexRule xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:type="ComplexRule"><mustBe><connector>AND</connector><BooleanRule xsi:type="Presence"><leftOperand>/SubAccountDetails[*]</leftOperand></BooleanRule><BooleanRule xsi:type="Absence"><leftOperand>/BalanceForAccount[*]</leftOperand></BooleanRule></mustBe><onCondition><connector>AND</connector><BooleanRule xsi:type="EqualToValue"><leftOperand>/StatementGeneralDetails/ActivityIndicator</leftOperand><rightOperand>true</rightOperand></BooleanRule><BooleanRule xsi:type="EqualToValue"><leftOperand>/StatementGeneralDetails/SubAccountIndicator</leftOperand><rightOperand>true</rightOperand></BooleanRule></onCondition></ComplexRule></RuleDefinition>" />
<messageBuildingBlock
xmi:id="_j9mmu9B_EeiO-eodGv5iKQ"
nextVersions="_3H0P0SgkEey2k_sfZmJz4g"
previousVersion="_YSMWMQCTEeW_3KiG8SEjHA"
name="Pagination"
definition="Page number of the message (within a statement) and continuation indicator to indicate that the statement is to continue or that the message is the last page of the statement."
registrationStatus="Provisionally Registered"
maxOccurs="1"
minOccurs="1"
xmlTag="Pgntn"
complexType="_xhMHQa6XEees_ufOy2ci-g" />
<messageBuildingBlock
xmi:id="_j9mmvdB_EeiO-eodGv5iKQ"
nextVersions="_3H0P0ygkEey2k_sfZmJz4g"
previousVersion="_YSMWMwCTEeW_3KiG8SEjHA"
name="StatementGeneralDetails"
definition="Provides general information on the report."
registrationStatus="Provisionally Registered"
maxOccurs="1"
minOccurs="1"
xmlTag="StmtGnlDtls"
complexType="_coMp8dCAEeiO-eodGv5iKQ" />
<messageBuildingBlock
xmi:id="_j9mmv9B_EeiO-eodGv5iKQ"
nextVersions="_3H0P1SgkEey2k_sfZmJz4g"
previousVersion="_YSMWNQCTEeW_3KiG8SEjHA"
name="AccountOwner"
definition="Party that legally owns the account."
registrationStatus="Provisionally Registered"
maxOccurs="1"
minOccurs="0"
xmlTag="AcctOwnr"
complexType="_XnxoYdLCEeiN28wlpBQScw" />
<messageBuildingBlock
xmi:id="_j9mmwdB_EeiO-eodGv5iKQ"
nextVersions="_3H0P1ygkEey2k_sfZmJz4g"
previousVersion="_YSMWNwCTEeW_3KiG8SEjHA"
name="AccountServicer"
definition="Party that manages the account on behalf of the account owner, that is, manages the registration and booking of entries on the account, calculates balances on the account and provides information about the account."
registrationStatus="Provisionally Registered"
maxOccurs="1"
minOccurs="0"
xmlTag="AcctSvcr"
complexType="_Vht60bpYEeifFaUMRKyMMw" />
<messageBuildingBlock
xmi:id="_j9mmw9B_EeiO-eodGv5iKQ"
nextVersions="_3H0P2SgkEey2k_sfZmJz4g"
previousVersion="_YSMWOQCTEeW_3KiG8SEjHA"
name="SafekeepingAccount"
definition="Account to or from which a securities entry is made."
registrationStatus="Provisionally Registered"
maxOccurs="1"
minOccurs="1"
xmlTag="SfkpgAcct"
complexType="_vMYT4TnlEeWV5sr121Fc8A" />
<messageBuildingBlock
xmi:id="_j9mmxdB_EeiO-eodGv5iKQ"
nextVersions="_3H0P2ygkEey2k_sfZmJz4g"
previousVersion="_YSMWOwCTEeW_3KiG8SEjHA"
name="IntermediaryInformation"
definition="Information about the party that provides services relating to financial products to investors, for example, advice on products and placement of orders for the investment fund."
registrationStatus="Provisionally Registered"
maxOccurs="10"
minOccurs="0"
xmlTag="IntrmyInf"
complexType="_AXBpQdLDEeiN28wlpBQScw" />
<messageBuildingBlock
xmi:id="_j9mmx9B_EeiO-eodGv5iKQ"
nextVersions="_3H0P3SgkEey2k_sfZmJz4g"
previousVersion="_YSMWPQCTEeW_3KiG8SEjHA"
name="BalanceForAccount"
definition="Net position of a segregated holding, in a single security, within the overall position held in a securities account."
registrationStatus="Provisionally Registered"
minOccurs="0"
xmlTag="BalForAcct"
complexType="_sPnH2dLFEeiN28wlpBQScw" />
<messageBuildingBlock
xmi:id="_j9mmydB_EeiO-eodGv5iKQ"
nextVersions="_3H0P3ygkEey2k_sfZmJz4g"
previousVersion="_YSMWPwCTEeW_3KiG8SEjHA"
name="SubAccountDetails"
definition="Sub-account of the safekeeping or investment account."
registrationStatus="Provisionally Registered"
minOccurs="0"
xmlTag="SubAcctDtls"
complexType="_rvxxEdLFEeiN28wlpBQScw" />
<messageBuildingBlock
xmi:id="_j9mmy9B_EeiO-eodGv5iKQ"
nextVersions="_3H0P4SgkEey2k_sfZmJz4g"
previousVersion="_YSMWQQCTEeW_3KiG8SEjHA"
name="AccountBaseCurrencyTotalAmounts"
definition="Total valuation amounts provided in the base currency of the account."
registrationStatus="Provisionally Registered"
maxOccurs="1"
minOccurs="0"
xmlTag="AcctBaseCcyTtlAmts"
complexType="_Rctzotp-Ed-ak6NoX_4Aeg_-645016837" />
<messageBuildingBlock
xmi:id="_j9mmzdB_EeiO-eodGv5iKQ"
nextVersions="_3H0P4ygkEey2k_sfZmJz4g"
previousVersion="_YSMWQwCTEeW_3KiG8SEjHA"
name="AlternateReportingCurrencyTotalAmounts"
definition="Total valuation amounts provided in a currency other than the base currency of the account."
registrationStatus="Provisionally Registered"
maxOccurs="1"
minOccurs="0"
xmlTag="AltrnRptgCcyTtlAmts"
complexType="_Rctzotp-Ed-ak6NoX_4Aeg_-645016837" />
<messageDefinitionIdentifier
businessArea="semt"
messageFunctionality="003"
flavour="001"
version="10" />
</messageDefinition>
ISO Building Blocks
The following items are used as building blocks to construct this message.