SecuritiesFinancingModificationInstruction002V06

sese.036.002.06

Scope An account owner sends a SecuritiesFinancingModificationInstruction to a securities financing transaction account servicer to notify the securities financing transaction account servicer of an update in the details of a repurchase agreement, reverse repurchase agreement, securities lending or securities borrowing transaction that does not impact the original transaction securities quantity. Such a change may be:

Usage The message may also be used to:

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
%% SecuritiesFinancingModificationInstruction002V06 recursion level 0 with max 0
SecuritiesFinancingModificationInstruction002V06 *-- "1..1" TransactionTypeAndAdditionalParameters20 : TransactionTypeAndModificationAdditionalParameters
SecuritiesFinancingModificationInstruction002V06 *-- "1..1" SecuritiesTradeDetails12 : TradeDetails
SecuritiesFinancingModificationInstruction002V06 *-- "1..1" SecurityIdentification20 : FinancialInstrumentIdentification
SecuritiesFinancingModificationInstruction002V06 *-- "1..1" QuantityAndAccount61 : QuantityAndAccountDetails
SecuritiesFinancingModificationInstruction002V06 *-- "1..1" SecuritiesFinancingTransactionDetails32 : SecuritiesFinancingAdditionalDetails
SecuritiesFinancingModificationInstruction002V06 *-- "0..1" SettlementDetails106 : SettlementParameters
SecuritiesFinancingModificationInstruction002V06 *-- "0..1" SettlementParties44 : DeliveringSettlementParties
SecuritiesFinancingModificationInstruction002V06 *-- "0..1" SettlementParties44 : ReceivingSettlementParties
SecuritiesFinancingModificationInstruction002V06 *-- "0..1" AmountAndDirection66 : OpeningSettlementAmount
SecuritiesFinancingModificationInstruction002V06 *-- "0..1" SupplementaryData1 : SupplementaryData
  

Now, we will zero-in one-by-one on each of these building blocks.

TransactionTypeAndModificationAdditionalParameters building block

Securities financing transaction identification information, type (repurchase agreement, reverse repurchase agreement, securities lending or securities borrowing), modification information and other parameters. Specifies the conditions under which the order/trade is to be settled. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% TransactionTypeAndAdditionalParameters20 recursion level 0 with max 1
class TransactionTypeAndAdditionalParameters20{
    AccountOwnerTransactionIdentification IsoRestrictedFINXMax16Text
    AccountServicerTransactionIdentification IsoRestrictedFINXMax16Text
    SecuritiesFinancingTransactionType SecuritiesFinancingTransactionType2Code
    Payment DeliveryReceiptType2Code
    CommonIdentification IsoRestrictedFINXMax16Text
    PoolIdentification IsoRestrictedFINXMax16Text
}
TransactionTypeAndAdditionalParameters20 *-- "0..1" IRepurchaseType31Choice : ModificationType
%% IRepurchaseType31Choice recursion level 1 with max 1
  

TransactionTypeAndAdditionalParameters20 members

Member name Description Data Type / Multiplicity
AccountOwnerTransactionIdentification Unambiguous identification of the transaction (unique per piece of collateral) as known by the account owner (or the instructing party managing the account). IsoRestrictedFINXMax16Text - Required 1..1
AccountServicerTransactionIdentification Unambiguous identification of the transaction (unique per piece of collateral) as known by the account servicer. IsoRestrictedFINXMax16Text - Optional 0..1
SecuritiesFinancingTransactionType Specifies the type of securities financing transaction, that is, repurchase agreement, reverse repurchase agreement, securities lending or securities borrowing. SecuritiesFinancingTransactionType2Code - Required 1..1
Payment Specifies how the transaction is to be settled, for example, against payment. DeliveryReceiptType2Code - Required 1..1
ModificationType Identifies the type of securities financing modification requested. IRepurchaseType31Choice - Optional 0..1
CommonIdentification Unique reference agreed upon by the two trade counterparties to identify the trade. IsoRestrictedFINXMax16Text - Optional 0..1
PoolIdentification Collective reference identifying a set of messages. IsoRestrictedFINXMax16Text - Optional 0..1

TradeDetails building block

Details of the securities financing deal. Details of the securities trade. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% SecuritiesTradeDetails12 recursion level 0 with max 1
class SecuritiesTradeDetails12{
    NumberOfDaysAccrued IsoMax3Number
    InstructionProcessingAdditionalDetails IsoRestrictedFINXMax350Text
}
SecuritiesTradeDetails12 *-- "0..1" IDateAndDateTimeChoice : TradeDate
SecuritiesTradeDetails12 *-- "1..1" IDateAndDateTimeChoice : OpeningSettlementDate
%% IDateAndDateTimeChoice recursion level 1 with max 1
%% IDateAndDateTimeChoice recursion level 1 with max 1
  

SecuritiesTradeDetails12 members

Member name Description Data Type / Multiplicity
TradeDate Specifies the date/time on which the trade was executed. IDateAndDateTimeChoice - Optional 0..1
OpeningSettlementDate Date and time at which the securities are to be delivered or received. IDateAndDateTimeChoice - Required 1..1
NumberOfDaysAccrued Number of days on which the interest rate accrues (daily accrual note). IsoMax3Number - Optional 0..1
InstructionProcessingAdditionalDetails Provides additional settlement processing information which can not be included within the structured fields of the message. IsoRestrictedFINXMax350Text - Optional 0..1

FinancialInstrumentIdentification building block

Financial instrument representing a sum of rights of the investor vis-a-vis the issuer. Identification of a security. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% SecurityIdentification20 recursion level 0 with max 1
class SecurityIdentification20{
    ISIN IsoISINOct2015Identifier
    Description IsoRestrictedFINXMax140Text
}
SecurityIdentification20 *-- "0..0" OtherIdentification2 : OtherIdentification
%% OtherIdentification2 recursion level 1 with max 1
class OtherIdentification2{
    Identification IsoRestrictedFINXMax31Text
    Suffix IsoMax16Text
}
OtherIdentification2 *-- "1..1" IIdentificationSource4Choice : Type
  

SecurityIdentification20 members

Member name Description Data Type / Multiplicity
ISIN International Securities Identification Number (ISIN). A numbering system designed by the United Nation’s International Organisation for Standardisation (ISO). The ISIN is composed of a 2-character prefix representing the country of issue, followed by the national security number (if one exists), and a check digit. Each country has a national numbering agency that assigns ISIN numbers for securities in that country. IsoISINOct2015Identifier - Optional 0..1
OtherIdentification Identification of a security by proprietary or domestic identification scheme. OtherIdentification2 - Unknown 0..0
Description Textual description of a security instrument. IsoRestrictedFINXMax140Text - Optional 0..1

QuantityAndAccountDetails building block

Details related to the account and quantity involved in the transaction. Details on the quantity, account and other related information involved in a transaction. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% QuantityAndAccount61 recursion level 0 with max 1
QuantityAndAccount61 *-- "1..1" IFinancialInstrumentQuantity15Choice : SettlementQuantity
QuantityAndAccount61 *-- "0..1" PartyIdentification119 : AccountOwner
QuantityAndAccount61 *-- "1..1" SecuritiesAccount30 : SafekeepingAccount
QuantityAndAccount61 *-- "0..1" ICashAccountIdentification6Choice : CashAccount
QuantityAndAccount61 *-- "0..1" SafeKeepingPlace2 : SafekeepingPlace
%% IFinancialInstrumentQuantity15Choice recursion level 1 with max 1
%% PartyIdentification119 recursion level 1 with max 1
class PartyIdentification119{
    LEI IsoLEIIdentifier
}
PartyIdentification119 *-- "1..1" IPartyIdentification103Choice : Identification
%% SecuritiesAccount30 recursion level 1 with max 1
class SecuritiesAccount30{
    Identification IsoRestrictedFINXMax35Text
    Name IsoMax70Text
}
SecuritiesAccount30 *-- "0..1" GenericIdentification47 : Type
%% ICashAccountIdentification6Choice recursion level 1 with max 1
%% SafeKeepingPlace2 recursion level 1 with max 1
class SafeKeepingPlace2{
    LEI IsoLEIIdentifier
}
SafeKeepingPlace2 *-- "0..1" ISafekeepingPlaceFormat17Choice : SafekeepingPlaceFormat
  

QuantityAndAccount61 members

Member name Description Data Type / Multiplicity
SettlementQuantity Total quantity of securities to be settled. IFinancialInstrumentQuantity15Choice - Required 1..1
AccountOwner Party that legally owns the account. PartyIdentification119 - Optional 0..1
SafekeepingAccount Account to or from which a securities entry is made. SecuritiesAccount30 - Required 1..1
CashAccount Account to or from which a cash entry is made. ICashAccountIdentification6Choice - Optional 0..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). SafeKeepingPlace2 - Optional 0..1

SecuritiesFinancingAdditionalDetails building block

Details of the closing of the securities financing transaction. Details of the closing of the securities financing transaction. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% SecuritiesFinancingTransactionDetails32 recursion level 0 with max 1
class SecuritiesFinancingTransactionDetails32{
    SecuritiesFinancingTradeIdentification IsoRestrictedFINXMax16Text
    ClosingLegIdentification IsoRestrictedFINXMax16Text
    MaturityDateModification IsoYesNoIndicator
    InterestPayment IsoYesNoIndicator
    TransactionCallDelay IsoExact3NumericText
    TotalNumberOfCollateralInstructions IsoExact3NumericText
    SecondLegNarrative IsoRestrictedFINXMax140Text
}
SecuritiesFinancingTransactionDetails32 *-- "0..1" ITerminationDate5Choice : TerminationDate
SecuritiesFinancingTransactionDetails32 *-- "0..1" IDateAndDateTimeChoice : RateChangeDate
SecuritiesFinancingTransactionDetails32 *-- "0..1" IDateAndDateTimeChoice : EarliestCallBackDate
SecuritiesFinancingTransactionDetails32 *-- "0..1" IDateAndDateTimeChoice : CommissionCalculationDate
SecuritiesFinancingTransactionDetails32 *-- "0..1" IRateType67Choice : RateType
SecuritiesFinancingTransactionDetails32 *-- "0..1" IRevaluationIndicator4Choice : Revaluation
SecuritiesFinancingTransactionDetails32 *-- "0..1" ILegalFramework4Choice : LegalFramework
SecuritiesFinancingTransactionDetails32 *-- "0..1" IInterestComputationMethodFormat5Choice : InterestComputationMethod
SecuritiesFinancingTransactionDetails32 *-- "0..1" RateName2 : VariableRateSupport
SecuritiesFinancingTransactionDetails32 *-- "0..1" Rate2 : RepurchaseRate
SecuritiesFinancingTransactionDetails32 *-- "0..1" Rate2 : StockLoanMargin
SecuritiesFinancingTransactionDetails32 *-- "0..1" Rate2 : SecuritiesHaircut
SecuritiesFinancingTransactionDetails32 *-- "0..1" Rate2 : ChargesRate
SecuritiesFinancingTransactionDetails32 *-- "0..1" IRateOrName2Choice : PricingRate
SecuritiesFinancingTransactionDetails32 *-- "0..1" Rate2 : Spread
SecuritiesFinancingTransactionDetails32 *-- "0..1" AmountAndDirection59 : LocalBrokerCommission
SecuritiesFinancingTransactionDetails32 *-- "0..1" AmountAndDirection59 : DealAmount
SecuritiesFinancingTransactionDetails32 *-- "0..1" AmountAndDirection59 : AccruedInterestAmount
SecuritiesFinancingTransactionDetails32 *-- "0..1" AmountAndDirection59 : ForfeitAmount
SecuritiesFinancingTransactionDetails32 *-- "0..1" AmountAndDirection59 : PremiumAmount
SecuritiesFinancingTransactionDetails32 *-- "0..1" AmountAndDirection59 : TerminationAmountPerPieceOfCollateral
SecuritiesFinancingTransactionDetails32 *-- "0..1" AmountAndDirection59 : TerminationTransactionAmount
%% ITerminationDate5Choice recursion level 1 with max 1
%% IDateAndDateTimeChoice recursion level 1 with max 1
%% IDateAndDateTimeChoice recursion level 1 with max 1
%% IDateAndDateTimeChoice recursion level 1 with max 1
%% IRateType67Choice recursion level 1 with max 1
%% IRevaluationIndicator4Choice recursion level 1 with max 1
%% ILegalFramework4Choice recursion level 1 with max 1
%% IInterestComputationMethodFormat5Choice recursion level 1 with max 1
%% RateName2 recursion level 1 with max 1
class RateName2{
    Issuer IsoRestrictedFINXMax8Text
    RateName IsoRestrictedFINXMax24Text
}
%% Rate2 recursion level 1 with max 1
class Rate2{
    Sign IsoPlusOrMinusIndicator
    Rate IsoPercentageRate
}
%% Rate2 recursion level 1 with max 1
class Rate2{
    Sign IsoPlusOrMinusIndicator
    Rate IsoPercentageRate
}
%% Rate2 recursion level 1 with max 1
class Rate2{
    Sign IsoPlusOrMinusIndicator
    Rate IsoPercentageRate
}
%% Rate2 recursion level 1 with max 1
class Rate2{
    Sign IsoPlusOrMinusIndicator
    Rate IsoPercentageRate
}
%% IRateOrName2Choice recursion level 1 with max 1
%% Rate2 recursion level 1 with max 1
class Rate2{
    Sign IsoPlusOrMinusIndicator
    Rate IsoPercentageRate
}
%% AmountAndDirection59 recursion level 1 with max 1
class AmountAndDirection59{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
%% AmountAndDirection59 recursion level 1 with max 1
class AmountAndDirection59{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
%% AmountAndDirection59 recursion level 1 with max 1
class AmountAndDirection59{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
%% AmountAndDirection59 recursion level 1 with max 1
class AmountAndDirection59{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
%% AmountAndDirection59 recursion level 1 with max 1
class AmountAndDirection59{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
%% AmountAndDirection59 recursion level 1 with max 1
class AmountAndDirection59{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
%% AmountAndDirection59 recursion level 1 with max 1
class AmountAndDirection59{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
  

SecuritiesFinancingTransactionDetails32 members

Member name Description Data Type / Multiplicity
SecuritiesFinancingTradeIdentification Unambiguous identification of the underlying securities financing trade as assigned by the instructing party. The identification is common to all collateral pieces (one or many). IsoRestrictedFINXMax16Text - Optional 0..1
ClosingLegIdentification Unambiguous identification of the second leg of the transaction as known by the account owner (or the instructing party acting on its behalf). IsoRestrictedFINXMax16Text - Optional 0..1
TerminationDate Closing date/time or maturity date/time of the transaction. ITerminationDate5Choice - Optional 0..1
RateChangeDate Date/Time at which rate change has taken place. IDateAndDateTimeChoice - Optional 0..1
EarliestCallBackDate Earliest date/time at which the call back can take place. IDateAndDateTimeChoice - Optional 0..1
CommissionCalculationDate Date/time at which the commission is calculated. IDateAndDateTimeChoice - Optional 0..1
RateType Specifies whether the rate is fixed or variable. IRateType67Choice - Optional 0..1
Revaluation Specifies whether the collateral position should be subject to automatic revaluation by the account servicer. IRevaluationIndicator4Choice - Optional 0..1
LegalFramework Legal framework of the transaction. ILegalFramework4Choice - Optional 0..1
InterestComputationMethod Identifies the computation method of accrued interest of the related financial instrument. IInterestComputationMethodFormat5Choice - Optional 0..1
MaturityDateModification Specifies whether the maturity date of the securities financing transaction may be modified. IsoYesNoIndicator - Optional 0..1
InterestPayment Specifies whether the interest is to be paid to the collateral taker. If set to no, the interest is paid to the collateral giver. IsoYesNoIndicator - Optional 0..1
VariableRateSupport Index or support rate used together with the spread to calculate the repurchase rate.
RepurchaseRate Rate to be used to recalculate the repurchase amount. Rate2 - Optional 0..1
StockLoanMargin Percentage mark-up on a loan consideration used to reflect the lender’s risk. Rate2 - Optional 0..1
SecuritiesHaircut Haircut or valuation factor on the security expressed as a percentage. Rate2 - Optional 0..1
ChargesRate Interest rate paid in the context of a securities financing transaction. Rate2 - Optional 0..1
PricingRate Interest rate to be paid on the transaction amount, as agreed between the counterparties. IRateOrName2Choice - Optional 0..1
Spread Repurchase spread expressed as a rate; margin over or under an index that determines the repurchase rate. Rate2 - Optional 0..1
TransactionCallDelay Minimum number of days’ notice a counterparty needs for terminating the transaction. IsoExact3NumericText - Optional 0..1
TotalNumberOfCollateralInstructions Total number of collateral instructions involved in the transaction. IsoExact3NumericText - Optional 0..1
LocalBrokerCommission Amount of commission paid to a local broker. AmountAndDirection59 - Optional 0..1
DealAmount Principal amount of a trade (for second leg). AmountAndDirection59 - Optional 0..1
AccruedInterestAmount Interest amount that has accrued in between coupon payment periods. AmountAndDirection59 - Optional 0..1
ForfeitAmount Fixed amount of money that has to be paid (instead of interest) in the case of a recall or at the closing date. AmountAndDirection59 - Optional 0..1
PremiumAmount Difference between the amount of money of the first leg and the amount of the second leg of the transaction. AmountAndDirection59 - Optional 0..1
TerminationAmountPerPieceOfCollateral Amount of money to be settled per piece of collateral to terminate the transaction. AmountAndDirection59 - Optional 0..1
TerminationTransactionAmount Total amount of money to be settled to terminate the transaction. AmountAndDirection59 - Optional 0..1
SecondLegNarrative Provides additional information about the second leg in narrative form. IsoRestrictedFINXMax140Text - Optional 0..1

SettlementParameters building block

Parameters which explicitly state the conditions that must be fulfilled before a particular transaction of a financial instrument can be settled. These parameters are defined by the instructing party in compliance with settlement rules in the market the transaction will settle in. Details of settlement of a transaction. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% SettlementDetails106 recursion level 0 with max 1
class SettlementDetails106{
    HoldIndicator IsoYesNoIndicator
    PartialSettlementIndicator SettlementTransactionCondition5Code
    EligibleForCollateral IsoYesNoIndicator
}
SettlementDetails106 *-- "0..1" IPriorityNumeric5Choice : Priority
SettlementDetails106 *-- "0..0" ISettlementTransactionCondition22Choice : SettlementTransactionCondition
SettlementDetails106 *-- "0..1" ISettlingCapacity8Choice : SettlingCapacity
SettlementDetails106 *-- "0..1" GenericIdentification47 : StampDutyTaxBasis
SettlementDetails106 *-- "0..1" ISecuritiesRTGS5Choice : SecuritiesRTGS
SettlementDetails106 *-- "0..1" IBeneficialOwnership5Choice : BeneficialOwnership
SettlementDetails106 *-- "0..1" ICashSettlementSystem5Choice : CashClearingSystem
SettlementDetails106 *-- "0..1" ITaxCapacityParty5Choice : TaxCapacity
SettlementDetails106 *-- "0..1" IMarketClientSide5Choice : MarketClientSide
SettlementDetails106 *-- "0..1" IFXStandingInstruction5Choice : FXStandingInstruction
SettlementDetails106 *-- "0..1" IBlockTrade5Choice : BlockTrade
SettlementDetails106 *-- "0..1" IRestriction6Choice : LegalRestrictions
SettlementDetails106 *-- "0..1" ISettlementSystemMethod5Choice : SettlementSystemMethod
SettlementDetails106 *-- "0..1" INettingEligibility5Choice : NettingEligibility
SettlementDetails106 *-- "0..1" ICentralCounterPartyEligibility5Choice : CCPEligibility
SettlementDetails106 *-- "0..1" ITracking5Choice : Tracking
SettlementDetails106 *-- "0..1" IAutomaticBorrowing8Choice : AutomaticBorrowing
%% IPriorityNumeric5Choice recursion level 1 with max 1
%% ISettlementTransactionCondition22Choice recursion level 1 with max 1
%% ISettlingCapacity8Choice recursion level 1 with max 1
%% GenericIdentification47 recursion level 1 with max 1
class GenericIdentification47{
    Identification IsoExact4AlphaNumericText
    Issuer IsoMax4AlphaNumericText
    SchemeName IsoMax4AlphaNumericText
}
%% ISecuritiesRTGS5Choice recursion level 1 with max 1
%% IBeneficialOwnership5Choice recursion level 1 with max 1
%% ICashSettlementSystem5Choice recursion level 1 with max 1
%% ITaxCapacityParty5Choice recursion level 1 with max 1
%% IMarketClientSide5Choice recursion level 1 with max 1
%% IFXStandingInstruction5Choice recursion level 1 with max 1
%% IBlockTrade5Choice recursion level 1 with max 1
%% IRestriction6Choice recursion level 1 with max 1
%% ISettlementSystemMethod5Choice recursion level 1 with max 1
%% INettingEligibility5Choice recursion level 1 with max 1
%% ICentralCounterPartyEligibility5Choice recursion level 1 with max 1
%% ITracking5Choice recursion level 1 with max 1
%% IAutomaticBorrowing8Choice recursion level 1 with max 1
  

SettlementDetails106 members

Member name Description Data Type / Multiplicity
HoldIndicator Specifies whether the transaction is on hold/blocked/frozen. IsoYesNoIndicator - Optional 0..1
Priority Specifies whether the transaction is to be executed with a high priority. IPriorityNumeric5Choice - Optional 0..1
SettlementTransactionCondition Conditions under which the order/trade is to be settled. ISettlementTransactionCondition22Choice - Unknown 0..0
SettlingCapacity Role of a party in the settlement of the transaction. ISettlingCapacity8Choice - Optional 0..1
StampDutyTaxBasis Specifies the stamp duty type or exemption reason applicable to the settlement transaction. GenericIdentification47 - Optional 0..1
SecuritiesRTGS Specifies whether the settlement transaction is to be settled through an RTGS or a non RTGS system. ISecuritiesRTGS5Choice - Optional 0..1
BeneficialOwnership Specifies whether there is change of beneficial ownership. IBeneficialOwnership5Choice - Optional 0..1
CashClearingSystem Specifies the category of cash clearing system, eg, cheque clearing. ICashSettlementSystem5Choice - Optional 0..1
TaxCapacity Tax role capacity of the instructing party. ITaxCapacityParty5Choice - Optional 0..1
MarketClientSide Specifies if an instruction is for a market side or a client side transaction. IMarketClientSide5Choice - Optional 0..1
FXStandingInstruction Specifies whether the forex standing instruction in place should apply. IFXStandingInstruction5Choice - Optional 0..1
BlockTrade Specifies whether the settlement instruction is a block parent or child. IBlockTrade5Choice - Optional 0..1
LegalRestrictions Regulatory restrictions applicable to a security. IRestriction6Choice - Optional 0..1
SettlementSystemMethod Specifies whether the settlement instruction is to be settled through the default or the alternate settlement system. ISettlementSystemMethod5Choice - Optional 0..1
NettingEligibility Specifies whether the settlement transaction is eligible for netting. INettingEligibility5Choice - Optional 0..1
CCPEligibility Specifies whether the settlement transaction is CCP (Central Counterparty) eligible. ICentralCounterPartyEligibility5Choice - Optional 0..1
Tracking Specifies whether the loan and/or collateral is tracked. ITracking5Choice - Optional 0..1
AutomaticBorrowing Condition for automatic borrowing. IAutomaticBorrowing8Choice - Optional 0..1
PartialSettlementIndicator Specifies whether partial settlement is allowed. SettlementTransactionCondition5Code - Optional 0..1
EligibleForCollateral Specifies whether securities should be included in the pool of securities eligible for collateral purposes. IsoYesNoIndicator - Optional 0..1

DeliveringSettlementParties building block

Identifies the chain of delivering settlement parties. Chain of parties involved in the settlement of a transaction, including receipts and deliveries, book transfers, treasury deals, or other activities, resulting in the movement of a security or amount of money from one account to another. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% SettlementParties44 recursion level 0 with max 1
SettlementParties44 *-- "0..1" PartyIdentification103 : Depository
SettlementParties44 *-- "0..1" PartyIdentificationAndAccount131 : Party1
SettlementParties44 *-- "0..1" PartyIdentificationAndAccount131 : Party2
SettlementParties44 *-- "0..1" PartyIdentificationAndAccount131 : Party3
SettlementParties44 *-- "0..1" PartyIdentificationAndAccount131 : Party4
SettlementParties44 *-- "0..1" PartyIdentificationAndAccount131 : Party5
%% PartyIdentification103 recursion level 1 with max 1
class PartyIdentification103{
    LEI IsoLEIIdentifier
    ProcessingIdentification IsoRestrictedFINXMax16Text
}
PartyIdentification103 *-- "1..1" IPartyIdentification58Choice : Identification
PartyIdentification103 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentification103 *-- "0..1" IDateAndDateTimeChoice : ProcessingDate
PartyIdentification103 *-- "0..1" PartyTextInformation3 : AdditionalInformation
%% PartyIdentificationAndAccount131 recursion level 1 with max 1
class PartyIdentificationAndAccount131{
    LEI IsoLEIIdentifier
    ProcessingIdentification IsoRestrictedFINXMax16Text
}
PartyIdentificationAndAccount131 *-- "1..1" IPartyIdentification104Choice : Identification
PartyIdentificationAndAccount131 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount131 *-- "0..1" SecuritiesAccount27 : SafekeepingAccount
PartyIdentificationAndAccount131 *-- "0..1" IDateAndDateTimeChoice : ProcessingDate
PartyIdentificationAndAccount131 *-- "0..1" PartyTextInformation3 : AdditionalInformation
%% PartyIdentificationAndAccount131 recursion level 1 with max 1
class PartyIdentificationAndAccount131{
    LEI IsoLEIIdentifier
    ProcessingIdentification IsoRestrictedFINXMax16Text
}
PartyIdentificationAndAccount131 *-- "1..1" IPartyIdentification104Choice : Identification
PartyIdentificationAndAccount131 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount131 *-- "0..1" SecuritiesAccount27 : SafekeepingAccount
PartyIdentificationAndAccount131 *-- "0..1" IDateAndDateTimeChoice : ProcessingDate
PartyIdentificationAndAccount131 *-- "0..1" PartyTextInformation3 : AdditionalInformation
%% PartyIdentificationAndAccount131 recursion level 1 with max 1
class PartyIdentificationAndAccount131{
    LEI IsoLEIIdentifier
    ProcessingIdentification IsoRestrictedFINXMax16Text
}
PartyIdentificationAndAccount131 *-- "1..1" IPartyIdentification104Choice : Identification
PartyIdentificationAndAccount131 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount131 *-- "0..1" SecuritiesAccount27 : SafekeepingAccount
PartyIdentificationAndAccount131 *-- "0..1" IDateAndDateTimeChoice : ProcessingDate
PartyIdentificationAndAccount131 *-- "0..1" PartyTextInformation3 : AdditionalInformation
%% PartyIdentificationAndAccount131 recursion level 1 with max 1
class PartyIdentificationAndAccount131{
    LEI IsoLEIIdentifier
    ProcessingIdentification IsoRestrictedFINXMax16Text
}
PartyIdentificationAndAccount131 *-- "1..1" IPartyIdentification104Choice : Identification
PartyIdentificationAndAccount131 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount131 *-- "0..1" SecuritiesAccount27 : SafekeepingAccount
PartyIdentificationAndAccount131 *-- "0..1" IDateAndDateTimeChoice : ProcessingDate
PartyIdentificationAndAccount131 *-- "0..1" PartyTextInformation3 : AdditionalInformation
%% PartyIdentificationAndAccount131 recursion level 1 with max 1
class PartyIdentificationAndAccount131{
    LEI IsoLEIIdentifier
    ProcessingIdentification IsoRestrictedFINXMax16Text
}
PartyIdentificationAndAccount131 *-- "1..1" IPartyIdentification104Choice : Identification
PartyIdentificationAndAccount131 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount131 *-- "0..1" SecuritiesAccount27 : SafekeepingAccount
PartyIdentificationAndAccount131 *-- "0..1" IDateAndDateTimeChoice : ProcessingDate
PartyIdentificationAndAccount131 *-- "0..1" PartyTextInformation3 : AdditionalInformation
  

SettlementParties44 members

Member name Description Data Type / Multiplicity
Depository First party in the settlement chain. In a plain vanilla settlement, it is the Central Securities Depository where the counterparty requests to receive the financial instrument or from where the counterparty delivers the financial instruments. PartyIdentification103 - Optional 0..1
Party1 Party that, in a settlement chain interacts with the depository. PartyIdentificationAndAccount131 - Optional 0..1
Party2 Party that, in a settlement chain interacts with the party 1. PartyIdentificationAndAccount131 - Optional 0..1
Party3 Party that, in a settlement chain interacts with the party 2. PartyIdentificationAndAccount131 - Optional 0..1
Party4 Party that, in a settlement chain interacts with the party 3. PartyIdentificationAndAccount131 - Optional 0..1
Party5 Party that, in a settlement chain interacts with the party 4. PartyIdentificationAndAccount131 - Optional 0..1

ReceivingSettlementParties building block

Identifies the chain of receiving settlement parties. Chain of parties involved in the settlement of a transaction, including receipts and deliveries, book transfers, treasury deals, or other activities, resulting in the movement of a security or amount of money from one account to another. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% SettlementParties44 recursion level 0 with max 1
SettlementParties44 *-- "0..1" PartyIdentification103 : Depository
SettlementParties44 *-- "0..1" PartyIdentificationAndAccount131 : Party1
SettlementParties44 *-- "0..1" PartyIdentificationAndAccount131 : Party2
SettlementParties44 *-- "0..1" PartyIdentificationAndAccount131 : Party3
SettlementParties44 *-- "0..1" PartyIdentificationAndAccount131 : Party4
SettlementParties44 *-- "0..1" PartyIdentificationAndAccount131 : Party5
%% PartyIdentification103 recursion level 1 with max 1
class PartyIdentification103{
    LEI IsoLEIIdentifier
    ProcessingIdentification IsoRestrictedFINXMax16Text
}
PartyIdentification103 *-- "1..1" IPartyIdentification58Choice : Identification
PartyIdentification103 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentification103 *-- "0..1" IDateAndDateTimeChoice : ProcessingDate
PartyIdentification103 *-- "0..1" PartyTextInformation3 : AdditionalInformation
%% PartyIdentificationAndAccount131 recursion level 1 with max 1
class PartyIdentificationAndAccount131{
    LEI IsoLEIIdentifier
    ProcessingIdentification IsoRestrictedFINXMax16Text
}
PartyIdentificationAndAccount131 *-- "1..1" IPartyIdentification104Choice : Identification
PartyIdentificationAndAccount131 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount131 *-- "0..1" SecuritiesAccount27 : SafekeepingAccount
PartyIdentificationAndAccount131 *-- "0..1" IDateAndDateTimeChoice : ProcessingDate
PartyIdentificationAndAccount131 *-- "0..1" PartyTextInformation3 : AdditionalInformation
%% PartyIdentificationAndAccount131 recursion level 1 with max 1
class PartyIdentificationAndAccount131{
    LEI IsoLEIIdentifier
    ProcessingIdentification IsoRestrictedFINXMax16Text
}
PartyIdentificationAndAccount131 *-- "1..1" IPartyIdentification104Choice : Identification
PartyIdentificationAndAccount131 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount131 *-- "0..1" SecuritiesAccount27 : SafekeepingAccount
PartyIdentificationAndAccount131 *-- "0..1" IDateAndDateTimeChoice : ProcessingDate
PartyIdentificationAndAccount131 *-- "0..1" PartyTextInformation3 : AdditionalInformation
%% PartyIdentificationAndAccount131 recursion level 1 with max 1
class PartyIdentificationAndAccount131{
    LEI IsoLEIIdentifier
    ProcessingIdentification IsoRestrictedFINXMax16Text
}
PartyIdentificationAndAccount131 *-- "1..1" IPartyIdentification104Choice : Identification
PartyIdentificationAndAccount131 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount131 *-- "0..1" SecuritiesAccount27 : SafekeepingAccount
PartyIdentificationAndAccount131 *-- "0..1" IDateAndDateTimeChoice : ProcessingDate
PartyIdentificationAndAccount131 *-- "0..1" PartyTextInformation3 : AdditionalInformation
%% PartyIdentificationAndAccount131 recursion level 1 with max 1
class PartyIdentificationAndAccount131{
    LEI IsoLEIIdentifier
    ProcessingIdentification IsoRestrictedFINXMax16Text
}
PartyIdentificationAndAccount131 *-- "1..1" IPartyIdentification104Choice : Identification
PartyIdentificationAndAccount131 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount131 *-- "0..1" SecuritiesAccount27 : SafekeepingAccount
PartyIdentificationAndAccount131 *-- "0..1" IDateAndDateTimeChoice : ProcessingDate
PartyIdentificationAndAccount131 *-- "0..1" PartyTextInformation3 : AdditionalInformation
%% PartyIdentificationAndAccount131 recursion level 1 with max 1
class PartyIdentificationAndAccount131{
    LEI IsoLEIIdentifier
    ProcessingIdentification IsoRestrictedFINXMax16Text
}
PartyIdentificationAndAccount131 *-- "1..1" IPartyIdentification104Choice : Identification
PartyIdentificationAndAccount131 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount131 *-- "0..1" SecuritiesAccount27 : SafekeepingAccount
PartyIdentificationAndAccount131 *-- "0..1" IDateAndDateTimeChoice : ProcessingDate
PartyIdentificationAndAccount131 *-- "0..1" PartyTextInformation3 : AdditionalInformation
  

SettlementParties44 members

Member name Description Data Type / Multiplicity
Depository First party in the settlement chain. In a plain vanilla settlement, it is the Central Securities Depository where the counterparty requests to receive the financial instrument or from where the counterparty delivers the financial instruments. PartyIdentification103 - Optional 0..1
Party1 Party that, in a settlement chain interacts with the depository. PartyIdentificationAndAccount131 - Optional 0..1
Party2 Party that, in a settlement chain interacts with the party 1. PartyIdentificationAndAccount131 - Optional 0..1
Party3 Party that, in a settlement chain interacts with the party 2. PartyIdentificationAndAccount131 - Optional 0..1
Party4 Party that, in a settlement chain interacts with the party 3. PartyIdentificationAndAccount131 - Optional 0..1
Party5 Party that, in a settlement chain interacts with the party 4. PartyIdentificationAndAccount131 - Optional 0..1

OpeningSettlementAmount building block

Total amount of money to be paid or received in exchange for the securities at the opening of a securities financing transaction. Amount of money debited or credited on the books of an account servicer. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% AmountAndDirection66 recursion level 0 with max 1
class AmountAndDirection66{
    Amount IsoRestrictedFINActiveCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
    OriginalCurrencyAndOrderedAmount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
}
AmountAndDirection66 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
%% ForeignExchangeTerms27 recursion level 1 with max 1
class ForeignExchangeTerms27{
    UnitCurrency ActiveCurrencyCode
    QuotedCurrency ActiveCurrencyCode
    ExchangeRate IsoBaseOneRate
    ResultingAmount IsoRestrictedFINActiveCurrencyAndAmount
}
  

AmountAndDirection66 members

Member name Description Data Type / Multiplicity
Amount Amount of money in the cash entry. IsoRestrictedFINActiveCurrencyAndAmount - Required 1..1
CreditDebitIndicator Indicates whether an entry is a credit or a debit. CreditDebitCode - Optional 0..1
OriginalCurrencyAndOrderedAmount Posting/settlement amount in its original currency when conversion from/into another currency has occurred. IsoRestrictedFINActiveOrHistoricCurrencyAndAmount - Optional 0..1
ForeignExchangeDetails Information needed to process a currency exchange or conversion. ForeignExchangeTerms27 - Optional 0..1

SupplementaryData building block

Additional information that cannot be captured in the structured elements and/or any other specific block. Additional information that can not be captured in the structured fields and/or any other specific block. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% SupplementaryData1 recursion level 0 with max 1
class SupplementaryData1{
    PlaceAndName IsoMax350Text
}
SupplementaryData1 *-- "1..1" IsoSupplementaryDataEnvelope1 : Envelope
%% IsoSupplementaryDataEnvelope1 recursion level 1 with max 1
  

SupplementaryData1 members

Member name Description Data Type / Multiplicity
PlaceAndName Unambiguous reference to the location where the supplementary data must be inserted in the message instance. In the case of XML, this is expressed by a valid XPath. IsoMax350Text - Optional 0..1
Envelope Technical element wrapping the supplementary data. IsoSupplementaryDataEnvelope1 - Required 1..1

Extensibility and generalization considerations

To facilitate generalized design patterns in the system, the SecuritiesFinancingModificationInstruction002V06 implementation follows a specific implementaiton pattern. First of all, SecuritiesFinancingModificationInstruction002V06 impleemnts IOuterRecord indicating it is the outermost logical part of the message definition. Like all message wrappers, SecuritiesFinancingModificationInstruction002V06Document implements IOuterDocument. Because SecuritiesFinancingModificationInstruction002V06 implements IOuterDocument, it is a suitable template parameter for IOuterDocument, and causes the internal ‘Message’ to be of type SecuritiesFinancingModificationInstruction002V06.

classDiagram
    class IOuterRecord
    SecuritiesFinancingModificationInstruction002V06 --|> IOuterRecord : Implements
    SecuritiesFinancingModificationInstruction002V06Document --|> IOuterDocument~SecuritiesFinancingModificationInstruction002V06~ : Implements
    class IOuterDocument~SecuritiesFinancingModificationInstruction002V06~ {
        SecuritiesFinancingModificationInstruction002V06 Message
     }
  

Document wrapper for serialization

The only real purpose SecuritiesFinancingModificationInstruction002V06Document serves is to cause the document to be serialized into the ‘urn:iso:std:iso:20022:tech:xsd:sese.036.002.06’ namespace. Therefore, it will probably be the usual practice to build the message and construct this wrapper at the last minute using SecuritiesFinancingModificationInstruction002V06.ToDocument() method. The returned SecuritiesFinancingModificationInstruction002V06Document value will serialize correctly according to ISO 20022 standards.

classDiagram
    SecuritiesFinancingModificationInstruction002V06Document *-- SecuritiesFinancingModificationInstruction002V06 : 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:sese.036.002.06">
    <SctiesFincgModInstr>
        <TxTpAndModAddtlParams>
            <!-- TransactionTypeAndModificationAdditionalParameters inner content -->
        </TxTpAndModAddtlParams>
        <TradDtls>
            <!-- TradeDetails inner content -->
        </TradDtls>
        <FinInstrmId>
            <!-- FinancialInstrumentIdentification inner content -->
        </FinInstrmId>
        <QtyAndAcctDtls>
            <!-- QuantityAndAccountDetails inner content -->
        </QtyAndAcctDtls>
        <SctiesFincgAddtlDtls>
            <!-- SecuritiesFinancingAdditionalDetails inner content -->
        </SctiesFincgAddtlDtls>
        <SttlmParams>
            <!-- SettlementParameters inner content -->
        </SttlmParams>
        <DlvrgSttlmPties>
            <!-- DeliveringSettlementParties inner content -->
        </DlvrgSttlmPties>
        <RcvgSttlmPties>
            <!-- ReceivingSettlementParties inner content -->
        </RcvgSttlmPties>
        <OpngSttlmAmt>
            <!-- OpeningSettlementAmount inner content -->
        </OpngSttlmAmt>
        <SplmtryData>
            <!-- SupplementaryData inner content -->
        </SplmtryData>
    </SctiesFincgModInstr>
</Document>

Data from ISO specification

This is the technical data from the specification document.

<messageDefinition
  xmi:id="_yYMhQ5w2EeazcsnODTksnQ"
  nextVersions="_SsHYg_fWEeiNZp_PtLohLw"
  previousVersion="_5-ASA5NLEeWGlc8L7oPDIg"
  name="SecuritiesFinancingModificationInstruction002V06"
  definition="Scope&#xD;&#xA;An account owner sends a SecuritiesFinancingModificationInstruction to a securities financing transaction account servicer to notify the securities financing transaction account servicer of an update in the details of a repurchase agreement, reverse repurchase agreement, securities lending or securities borrowing transaction that does not impact the original transaction securities quantity.&#xD;&#xA;Such a change may be:&#xD;&#xA;- the providing of closing details not available at the time of the sending of the Securities Financing Instruction, for example, termination date for an open repo,&#xD;&#xA;- the providing of a new rate, for example, a repo rate,&#xD;&#xA;- the rollover of a position extending the closing or maturity date.&#xD;&#xA;The account owner/servicer relationship may be:&#xD;&#xA;- a global custodian which has an account with a local custodian, or&#xD;&#xA;- an investment management institution which manage a fund account opened at a custodian, or&#xD;&#xA;- a broker which has an account with a custodian, or&#xD;&#xA;- a central securities depository participant which has an account with a central securities depository, or&#xD;&#xA;- a central securities depository which has an account with a custodian, another central securities depository or another settlement market infrastructure, or&#xD;&#xA;- a central counterparty or a stock exchange or a trade matching utility which need to instruct the settlement of securities financing transactions to a central securities depository or another settlement market infrastructure.&#xD;&#xA;&#xD;&#xA;Usage&#xD;&#xA;The message may also be used to:&#xD;&#xA;- re-send a message previously sent,&#xD;&#xA;- provide a third party with a copy of a message for information,&#xD;&#xA;- re-send to a third party a copy of a message for information&#xD;&#xA;using the relevant elements in the Business Application Header."
  registrationStatus="Registered"
  messageSet="_urpIICeJEeOCeO5e7islRQ"
  xmlTag="SctiesFincgModInstr"
  rootElement="Document"
  xmlns:xmi="http://www.omg.org/XMI">
  <constraint
    xmi:id="_yYMhRZw2EeazcsnODTksnQ"
    name="SettlementAmountRule"
    definition="If the Transaction is against payment, then OpeningSettlementAmount must be present.&#xD;&#xA;"
    registrationStatus="Provisionally Registered"
    expression="&lt;RuleDefinition&gt;&lt;ComplexRule xmlns:xsi=&quot;http://www.w3.org/2001/XMLSchema-instance&quot; xsi:type=&quot;ComplexRule&quot;&gt;&lt;mustBe&gt;&lt;connector&gt;AND&lt;/connector&gt;&lt;BooleanRule xsi:type=&quot;Presence&quot;&gt;&lt;leftOperand&gt;/OpeningSettlementAmount&lt;/leftOperand&gt;&lt;/BooleanRule&gt;&lt;/mustBe&gt;&lt;onCondition&gt;&lt;connector&gt;AND&lt;/connector&gt;&lt;BooleanRule xsi:type=&quot;EqualToValue&quot;&gt;&lt;leftOperand&gt;/TransactionTypeAndModificationAdditionalParameters/Payment&lt;/leftOperand&gt;&lt;rightOperand&gt;AgainstPaymentSettlement&lt;/rightOperand&gt;&lt;/BooleanRule&gt;&lt;/onCondition&gt;&lt;/ComplexRule&gt;&lt;/RuleDefinition&gt;" />
  <messageBuildingBlock
    xmi:id="_yYMhR5w2EeazcsnODTksnQ"
    name="TransactionTypeAndModificationAdditionalParameters"
    definition="Securities financing transaction identification information, type (repurchase agreement, reverse repurchase agreement, securities lending or securities borrowing), modification information and other parameters."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="1"
    xmlTag="TxTpAndModAddtlParams"
    complexType="_yYMhXZw2EeazcsnODTksnQ" />
  <messageBuildingBlock
    xmi:id="_yYMhSZw2EeazcsnODTksnQ"
    name="TradeDetails"
    definition="Details of the securities financing deal."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="1"
    xmlTag="TradDtls"
    complexType="_W5QU39p-Ed-ak6NoX_4Aeg_-2038743091" />
  <messageBuildingBlock
    xmi:id="_yYMhS5w2EeazcsnODTksnQ"
    name="FinancialInstrumentIdentification"
    definition="Financial instrument representing a sum of rights of the investor vis-a-vis the issuer."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="1"
    xmlTag="FinInstrmId"
    complexType="_cdRCO5KQEeWHWpTQn1FFVg" />
  <messageBuildingBlock
    xmi:id="_yYMhTZw2EeazcsnODTksnQ"
    name="QuantityAndAccountDetails"
    definition="Details related to the account and quantity involved in the transaction."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="1"
    xmlTag="QtyAndAcctDtls"
    complexType="_OA4ucaWhEeatOerspsHe_g" />
  <messageBuildingBlock
    xmi:id="_yYMhT5w2EeazcsnODTksnQ"
    name="SecuritiesFinancingAdditionalDetails"
    definition="Details of the closing of the securities financing transaction."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="1"
    xmlTag="SctiesFincgAddtlDtls"
    complexType="_5-BguZNLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_yYMhUZw2EeazcsnODTksnQ"
    name="SettlementParameters"
    definition="Parameters which explicitly state the conditions that must be fulfilled before a particular transaction of a financial instrument can be settled. These parameters are defined by the instructing party in compliance with settlement rules in the market the transaction will settle in."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="SttlmParams"
    complexType="_5-DVz5NLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_yYMhU5w2EeazcsnODTksnQ"
    name="DeliveringSettlementParties"
    definition="Identifies the chain of delivering settlement parties."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="DlvrgSttlmPties"
    complexType="_5TKlmZNLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_yYMhVZw2EeazcsnODTksnQ"
    name="ReceivingSettlementParties"
    definition="Identifies the chain of receiving settlement parties."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="RcvgSttlmPties"
    complexType="_5TKlmZNLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_yYMhV5w2EeazcsnODTksnQ"
    name="OpeningSettlementAmount"
    definition="Total amount of money to be paid or received in exchange for the securities at the opening of a securities financing transaction."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="OpngSttlmAmt"
    complexType="_5-O7j5NLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_yYMhWZw2EeazcsnODTksnQ"
    name="SupplementaryData"
    definition="Additional information that cannot be captured in the structured elements and/or any other specific block."
    registrationStatus="Provisionally Registered"
    minOccurs="0"
    xmlTag="SplmtryData"
    complexType="_Qn0zC9p-Ed-ak6NoX_4Aeg_468227563" />
  <messageDefinitionIdentifier
    businessArea="sese"
    messageFunctionality="036"
    flavour="002"
    version="06" />
</messageDefinition>

ISO Building Blocks

The following items are used as building blocks to construct this message.