SecuritiesSettlementTransactionAllegementNotification002V06

sese.028.002.06

Scope An account servicer sends a SecuritiesSettlementTransactionAllegementNotification to an account owner to advise the account owner that a counterparty has alleged an instruction against the account owner’s account at the account servicer and that the account servicer could not find the corresponding instruction of the account owner. The account servicer/owner relationship 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
%% SecuritiesSettlementTransactionAllegementNotification002V06 recursion level 0 with max 0
class SecuritiesSettlementTransactionAllegementNotification002V06{
    TransactionIdentification IsoRestrictedFINXMax16Text
}
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "1..1" SettlementTypeAndAdditionalParameters15 : SettlementTypeAndAdditionalParameters
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "0..1" Identification16 : MarketInfrastructureTransactionIdentification
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "1..1" SecuritiesTradeDetails60 : TradeDetails
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "1..1" SecurityIdentification20 : FinancialInstrumentIdentification
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "0..1" FinancialInstrumentAttributes78 : FinancialInstrumentAttributes
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "1..1" QuantityAndAccount58 : QuantityAndAccountDetails
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "0..1" SecuritiesFinancingTransactionDetails34 : SecuritiesFinancingDetails
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "1..1" SettlementDetails131 : SettlementParameters
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "0..1" SettlementParties44 : DeliveringSettlementParties
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "0..1" SettlementParties44 : ReceivingSettlementParties
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "0..1" CashParties32 : CashParties
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "0..1" AmountAndDirection71 : SettlementAmount
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "0..1" OtherAmounts36 : OtherAmounts
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "0..1" OtherParties31 : OtherBusinessParties
SecuritiesSettlementTransactionAllegementNotification002V06 *-- "0..1" SupplementaryData1 : SupplementaryData
  

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

TransactionIdentification building block

Unambiguous identification of the transaction as know by the instructing party. Specifies a character string with a maximum length of 16 characters. It has a pattern that disables the use of characters that is not part of the character set X, that is, that is not a-z A-Z / - ? : ( ) . , ‘ + , and disable the use of slash “/” at the beginning and end of line and double slash “//” within the line. For comparison, see the ISO20022 official specification This message is declared as RestrictedFINXMax16Text in the ISO specification. In our implementation, it is represented in source code as IsoRestrictedFINXMax16Text. Due to global using directives, it is treated as a System.String by the compiler and runtime.

SettlementTypeAndAdditionalParameters building block

Provides settlement type and identification information. Provides transaction type and identification information. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% SettlementTypeAndAdditionalParameters15 recursion level 0 with max 1
class SettlementTypeAndAdditionalParameters15{
    SecuritiesMovementType ReceiveDelivery1Code
    Payment DeliveryReceiptType2Code
    CommonIdentification IsoRestrictedFINXMax16Text
}
  

SettlementTypeAndAdditionalParameters15 members

Member name Description Data Type / Multiplicity
SecuritiesMovementType Specifies if the movement on a securities account results from a deliver or a receive instruction. ReceiveDelivery1Code - Required 1..1
Payment Specifies how the transaction is to be settled, for example, against payment. DeliveryReceiptType2Code - Required 1..1
CommonIdentification Unique reference agreed upon by the two trade counterparties to identify the trade. IsoRestrictedFINXMax16Text - Optional 0..1

MarketInfrastructureTransactionIdentification building block

Identification of a transaction assigned by a market infrastructure other than a central securities depository, for example, Target2-Securities. Unique identifier of a document, message or transaction. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% Identification16 recursion level 0 with max 1
class Identification16{
    Identification IsoRestrictedFINXMax16Text
}
  

Identification16 members

Member name Description Data Type / Multiplicity
Identification Unique identifier of a document, message or transaction. IsoRestrictedFINXMax16Text - Required 1..1

TradeDetails building block

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

classDiagram
   direction tb
%% SecuritiesTradeDetails60 recursion level 0 with max 1
class SecuritiesTradeDetails60{
    TradeIdentification IsoRestrictedFINXMax16Text
    CollateralTransactionIdentification IsoRestrictedFINXMax16Text
    AccountOwnerTransactionIdentification IsoRestrictedFINXMax16Text
    ProcessorTransactionIdentification IsoRestrictedFINXMax16Text
    NumberOfDaysAccrued IsoMax3Number
}
SecuritiesTradeDetails60 *-- "0..1" PlaceOfTradeIdentification2 : PlaceOfTrade
SecuritiesTradeDetails60 *-- "0..1" PlaceOfClearingIdentification1 : PlaceOfClearing
SecuritiesTradeDetails60 *-- "0..1" ITradeDate6Choice : TradeDate
SecuritiesTradeDetails60 *-- "1..1" ISettlementDate12Choice : SettlementDate
SecuritiesTradeDetails60 *-- "0..1" Price3 : DealPrice
SecuritiesTradeDetails60 *-- "0..0" ITradeTransactionCondition6Choice : TradeTransactionCondition
SecuritiesTradeDetails60 *-- "0..1" ITypeOfPrice32Choice : TypeOfPrice
%% PlaceOfTradeIdentification2 recursion level 1 with max 1
class PlaceOfTradeIdentification2{
    LEI IsoLEIIdentifier
}
PlaceOfTradeIdentification2 *-- "0..1" MarketIdentification90 : MarketTypeAndIdentification
%% PlaceOfClearingIdentification1 recursion level 1 with max 1
class PlaceOfClearingIdentification1{
    Identification IsoAnyBICIdentifier
    LEI IsoLEIIdentifier
}
%% ITradeDate6Choice recursion level 1 with max 1
%% ISettlementDate12Choice recursion level 1 with max 1
%% Price3 recursion level 1 with max 1
Price3 *-- "1..1" IYieldedOrValueType1Choice : Type
Price3 *-- "1..1" IPriceRateOrAmount1Choice : Value
%% ITradeTransactionCondition6Choice recursion level 1 with max 1
%% ITypeOfPrice32Choice recursion level 1 with max 1
  

SecuritiesTradeDetails60 members

Member name Description Data Type / Multiplicity
TradeIdentification Reference assigned to the trade by the investor or the trading party. This reference will be used throughout the trade life cycle to access/update the trade details. IsoRestrictedFINXMax16Text - Unknown 0..0
CollateralTransactionIdentification Unambiguous identification of a collateral transaction as assigned by the instructing party. IsoRestrictedFINXMax16Text - Unknown 0..0
AccountOwnerTransactionIdentification Identification of an account owner transaction that could potentially match with the allegement notified. IsoRestrictedFINXMax16Text - Unknown 0..0
ProcessorTransactionIdentification Identification of the transaction assigned by the processor of the instruction other than the account owner the account servicer and the market infrastructure. IsoRestrictedFINXMax16Text - Optional 0..1
PlaceOfTrade Market in which a trade transaction has been executed. PlaceOfTradeIdentification2 - Optional 0..1
PlaceOfClearing Infrastructure which may be a component of a clearing house and which facilitates clearing and settlement for its members by standing between the buyer and the seller. It may net transactions and it substitutes itself as settlement counterparty for each position. PlaceOfClearingIdentification1 - Optional 0..1
TradeDate Specifies the date/time on which the trade was executed. ITradeDate6Choice - Optional 0..1
SettlementDate Date and time at which the securities are to be delivered or received. ISettlementDate12Choice - Required 1..1
DealPrice Specifies the price of the traded financial instrument. This is the deal price of the individual trade transaction.
NumberOfDaysAccrued Number of days on which the interest rate accrues (daily accrual note). IsoMax3Number - Optional 0..1
TradeTransactionCondition Indicates the conditions under which the order/trade is to be/was executed. ITradeTransactionCondition6Choice - Unknown 0..0
TypeOfPrice Specifies the type of price and information about the price. ITypeOfPrice32Choice - 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

FinancialInstrumentAttributes building block

Elements characterising a financial instrument. Elements characterising a financial instrument. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% FinancialInstrumentAttributes78 recursion level 0 with max 1
class FinancialInstrumentAttributes78{
    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 IsoRestrictedFINXMax350Text
}
FinancialInstrumentAttributes78 *-- "0..1" IMarketIdentification4Choice : PlaceOfListing
FinancialInstrumentAttributes78 *-- "0..1" IInterestComputationMethodFormat5Choice : DayCountBasis
FinancialInstrumentAttributes78 *-- "0..1" IFormOfSecurity7Choice : RegistrationForm
FinancialInstrumentAttributes78 *-- "0..1" IFrequency27Choice : PaymentFrequency
FinancialInstrumentAttributes78 *-- "0..1" ISecuritiesPaymentStatus6Choice : PaymentStatus
FinancialInstrumentAttributes78 *-- "0..1" IFrequency27Choice : VariableRateChangeFrequency
FinancialInstrumentAttributes78 *-- "0..1" IClassificationType33Choice : ClassificationType
FinancialInstrumentAttributes78 *-- "0..1" IOptionStyle9Choice : OptionStyle
FinancialInstrumentAttributes78 *-- "0..1" IOptionType7Choice : OptionType
FinancialInstrumentAttributes78 *-- "0..1" INumber23Choice : CouponAttachedNumber
FinancialInstrumentAttributes78 *-- "0..1" GenericIdentification39 : PoolNumber
FinancialInstrumentAttributes78 *-- "0..1" IPriceType2Choice : MarketOrIndicativePrice
FinancialInstrumentAttributes78 *-- "0..1" Price3 : ExercisePrice
FinancialInstrumentAttributes78 *-- "0..1" Price3 : SubscriptionPrice
FinancialInstrumentAttributes78 *-- "0..1" Price3 : ConversionPrice
FinancialInstrumentAttributes78 *-- "0..1" Price3 : StrikePrice
FinancialInstrumentAttributes78 *-- "0..1" IFinancialInstrumentQuantity15Choice : MinimumNominalQuantity
FinancialInstrumentAttributes78 *-- "0..1" IFinancialInstrumentQuantity15Choice : ContractSize
FinancialInstrumentAttributes78 *-- "0..0" SecurityIdentification20 : UnderlyingFinancialInstrumentIdentification
%% IMarketIdentification4Choice recursion level 1 with max 1
%% IInterestComputationMethodFormat5Choice recursion level 1 with max 1
%% IFormOfSecurity7Choice recursion level 1 with max 1
%% IFrequency27Choice recursion level 1 with max 1
%% ISecuritiesPaymentStatus6Choice recursion level 1 with max 1
%% IFrequency27Choice recursion level 1 with max 1
%% IClassificationType33Choice recursion level 1 with max 1
%% IOptionStyle9Choice recursion level 1 with max 1
%% IOptionType7Choice recursion level 1 with max 1
%% INumber23Choice recursion level 1 with max 1
%% GenericIdentification39 recursion level 1 with max 1
class GenericIdentification39{
    Identification IsoRestrictedFINMax30Text
    Issuer IsoRestrictedFINMax8Text
}
%% IPriceType2Choice recursion level 1 with max 1
%% Price3 recursion level 1 with max 1
Price3 *-- "1..1" IYieldedOrValueType1Choice : Type
Price3 *-- "1..1" IPriceRateOrAmount1Choice : Value
%% Price3 recursion level 1 with max 1
Price3 *-- "1..1" IYieldedOrValueType1Choice : Type
Price3 *-- "1..1" IPriceRateOrAmount1Choice : Value
%% Price3 recursion level 1 with max 1
Price3 *-- "1..1" IYieldedOrValueType1Choice : Type
Price3 *-- "1..1" IPriceRateOrAmount1Choice : Value
%% Price3 recursion level 1 with max 1
Price3 *-- "1..1" IYieldedOrValueType1Choice : Type
Price3 *-- "1..1" IPriceRateOrAmount1Choice : Value
%% IFinancialInstrumentQuantity15Choice recursion level 1 with max 1
%% IFinancialInstrumentQuantity15Choice recursion level 1 with max 1
%% SecurityIdentification20 recursion level 1 with max 1
class SecurityIdentification20{
    ISIN IsoISINOct2015Identifier
    Description IsoRestrictedFINXMax140Text
}
SecurityIdentification20 *-- "0..0" OtherIdentification2 : OtherIdentification
  

FinancialInstrumentAttributes78 members

Member name Description Data Type / Multiplicity
PlaceOfListing Market(s) on which the security is listed. IMarketIdentification4Choice - Optional 0..1
DayCountBasis Specifies the computation method of (accrued) interest of the security. IInterestComputationMethodFormat5Choice - Optional 0..1
RegistrationForm Specifies the form, this is, ownership, of the security. IFormOfSecurity7Choice - Optional 0..1
PaymentFrequency Specifies the frequency of an interest payment. IFrequency27Choice - Optional 0..1
PaymentStatus Status of payment of a security at a particular time. ISecuritiesPaymentStatus6Choice - Optional 0..1
VariableRateChangeFrequency Specifies the frequency of change to the variable rate of an interest bearing instrument. IFrequency27Choice - Optional 0..1
ClassificationType Classification type of the financial instrument, as per the ISO Classification of Financial Instrument (CFI) codification, for example, common share with voting rights, fully paid, or registered. IClassificationType33Choice - Optional 0..1
OptionStyle Specifies how an option can be exercised (American, European, Bermudan). IOptionStyle9Choice - Optional 0..1
OptionType Specifies whether it is a Call option (right to purchase a specific underlying asset) or a Put option (right to sell a specific underlying asset). IOptionType7Choice - Optional 0..1
DenominationCurrency Currency in which a security is issued or redenominated. ActiveOrHistoricCurrencyCode - Optional 0..1
CouponDate Next payment date of an interest bearing financial instrument. IsoISODate - Optional 0..1
ExpiryDate Date on which a privilege expires. IsoISODate - Optional 0..1
FloatingRateFixingDate Date at which the interest rate of an interest bearing security will be calculated and reset, according to the terms of the issue. IsoISODate - Optional 0..1
MaturityDate Planned final repayment date at the time of issuance. IsoISODate - Optional 0..1
IssueDate Date at which the security was made available. IsoISODate - Optional 0..1
NextCallableDate Next date at which the issuer has the right to pay the security prior to maturity. IsoISODate - Optional 0..1
PutableDate Date at which the holder has the right to ask for redemption of the security prior to final maturity. IsoISODate - Optional 0..1
DatedDate First date at which a security begins to accrue interest. IsoISODate - Optional 0..1
FirstPaymentDate Date at which the first interest payment is due to holders of the security. IsoISODate - Optional 0..1
PreviousFactor Rate expressed as a decimal between 0 and 1 that was applicable before the current factor and defines the outstanding principal of the financial instrument (for factored securities). IsoBaseOneRate - Optional 0..1
CurrentFactor Rate expressed as a decimal between 0 and 1 defining the outstanding principal of the financial instrument (for factored securities). IsoBaseOneRate - Optional 0..1
NextFactor Rate expressed as a decimal between 0 and 1 that will be applicable as of the next factor date and defines the outstanding principal of the financial instrument (for factored securities). IsoBaseOneRate - Optional 0..1
InterestRate Per annum ratio of interest paid to the principal amount of the financial instrument for a specific period of time. IsoPercentageRate - Optional 0..1
YieldToMaturityRate Rate of return anticipated on a bond when held until maturity date. IsoPercentageRate - Optional 0..1
NextInterestRate Interest rate applicable to the next interest payment period in relation to variable rate instruments. IsoPercentageRate - Optional 0..1
IndexRateBasis Specifies the reference rate for fixed income instruments where the price of the instrument is indexed to the price of an underlying benchmark.
CouponAttachedNumber Number of the coupon attached to the physical security. INumber23Choice - Optional 0..1
PoolNumber Number identifying a group of underlying assets assigned by the issuer of a factored security. GenericIdentification39 - Optional 0..1
VariableRateIndicator Indicates whether the interest rate of an interest bearing instrument is reset periodically. IsoYesNoIndicator - Optional 0..1
CallableIndicator Indicates whether the issuer has the right to pay the security prior to maturity. Also called RetractableIndicator. IsoYesNoIndicator - Optional 0..1
PutableIndicator Indicates whether the holder has the right to ask for redemption of the security prior to final maturity. Also called RedeemableIndicator. IsoYesNoIndicator - Optional 0..1
MarketOrIndicativePrice Value of the price, for example, as a currency and value per unit or as a percentage. IPriceType2Choice - Optional 0..1
ExercisePrice Predetermined price at which the holder of a derivative will buy or sell the underlying instrument. Price3 - Optional 0..1
SubscriptionPrice Pre-determined price at which the holder of a right is entitled to buy the underlying instrument. Price3 - Optional 0..1
ConversionPrice Price of one target security in the conversion. Price3 - Optional 0..1
StrikePrice Predetermined price at which the holder will have to buy or sell the underlying instrument. Price3 - Optional 0..1
MinimumNominalQuantity Minimum nominal quantity of financial instrument. IFinancialInstrumentQuantity15Choice - Optional 0..1
ContractSize Ratio or multiplying factor used to convert one contract into a quantity. IFinancialInstrumentQuantity15Choice - Optional 0..1
UnderlyingFinancialInstrumentIdentification Identification of the underlying security. SecurityIdentification20 - Unknown 0..0
FinancialInstrumentAttributeAdditionalDetails Provides additional information about the financial instrument in narrative form. IsoRestrictedFINXMax350Text - 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
%% QuantityAndAccount58 recursion level 0 with max 1
class QuantityAndAccount58{
    DenominationChoice IsoRestrictedFINXMax210Text
}
QuantityAndAccount58 *-- "1..1" IFinancialInstrumentQuantity15Choice : SettlementQuantity
QuantityAndAccount58 *-- "0..1" PartyIdentification119 : AccountOwner
QuantityAndAccount58 *-- "1..1" SecuritiesAccount27 : SafekeepingAccount
QuantityAndAccount58 *-- "0..1" ICashAccountIdentification6Choice : CashAccount
QuantityAndAccount58 *-- "0..0" QuantityBreakdown38 : QuantityBreakdown
QuantityAndAccount58 *-- "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
%% SecuritiesAccount27 recursion level 1 with max 1
class SecuritiesAccount27{
    Identification IsoRestrictedFINXMax35Text
    Name IsoMax70Text
}
SecuritiesAccount27 *-- "0..1" GenericIdentification47 : Type
%% ICashAccountIdentification6Choice recursion level 1 with max 1
%% QuantityBreakdown38 recursion level 1 with max 1
QuantityBreakdown38 *-- "0..1" GenericIdentification39 : LotNumber
QuantityBreakdown38 *-- "0..1" IFinancialInstrumentQuantity15Choice : LotQuantity
QuantityBreakdown38 *-- "0..1" IDateAndDateTimeChoice : LotDateTime
QuantityBreakdown38 *-- "0..1" Price3 : LotPrice
QuantityBreakdown38 *-- "0..1" ITypeOfPrice32Choice : TypeOfPrice
%% SafeKeepingPlace2 recursion level 1 with max 1
class SafeKeepingPlace2{
    LEI IsoLEIIdentifier
}
SafeKeepingPlace2 *-- "0..1" ISafekeepingPlaceFormat17Choice : SafekeepingPlaceFormat
  

QuantityAndAccount58 members

Member name Description Data Type / Multiplicity
SettlementQuantity Total quantity of securities to be settled. IFinancialInstrumentQuantity15Choice - Required 1..1
DenominationChoice Denomination of the security to be received or delivered. IsoRestrictedFINXMax210Text - Optional 0..1
AccountOwner Party that legally owns the account. PartyIdentification119 - Optional 0..1
SafekeepingAccount Account to or from which a securities entry is made. SecuritiesAccount27 - Required 1..1
CashAccount Account to or from which a cash entry is made. ICashAccountIdentification6Choice - Optional 0..1
QuantityBreakdown Breakdown of a quantity into lots such as tax lots, instrument series, etc. QuantityBreakdown38 - Unknown 0..0
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

SecuritiesFinancingDetails 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
%% SecuritiesFinancingTransactionDetails34 recursion level 0 with max 1
class SecuritiesFinancingTransactionDetails34{
    SecuritiesFinancingTradeIdentification IsoRestrictedFINXMax16Text
    ClosingLegIdentification IsoRestrictedFINXMax16Text
    MaturityDateModification IsoYesNoIndicator
    InterestPayment IsoYesNoIndicator
    TransactionCallDelay IsoExact3NumericText
    SecondLegNarrative IsoRestrictedFINXMax140Text
}
SecuritiesFinancingTransactionDetails34 *-- "0..1" ITerminationDate5Choice : TerminationDate
SecuritiesFinancingTransactionDetails34 *-- "0..1" IRateType67Choice : RateType
SecuritiesFinancingTransactionDetails34 *-- "0..1" ILegalFramework4Choice : LegalFramework
SecuritiesFinancingTransactionDetails34 *-- "0..1" RateName2 : VariableRateSupport
SecuritiesFinancingTransactionDetails34 *-- "0..1" Rate2 : RepurchaseRate
SecuritiesFinancingTransactionDetails34 *-- "0..1" AmountAndDirection59 : AccruedInterestAmount
SecuritiesFinancingTransactionDetails34 *-- "0..1" AmountAndDirection59 : TerminationTransactionAmount
%% ITerminationDate5Choice recursion level 1 with max 1
%% IRateType67Choice recursion level 1 with max 1
%% ILegalFramework4Choice 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
}
%% 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
}
  

SecuritiesFinancingTransactionDetails34 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
RateType Specifies whether the rate is fixed or variable. IRateType67Choice - Optional 0..1
LegalFramework Legal framework of the transaction. ILegalFramework4Choice - 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
TransactionCallDelay Minimum number of days’ notice a counterparty needs for terminating the transaction. IsoExact3NumericText - Optional 0..1
AccruedInterestAmount Interest amount that has accrued in between coupon payment periods. 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
%% SettlementDetails131 recursion level 0 with max 1
class SettlementDetails131{
    HoldIndicator IsoYesNoIndicator
    PartialSettlementIndicator SettlementTransactionCondition5Code
}
SettlementDetails131 *-- "1..1" ISecuritiesTransactionType35Choice : SecuritiesTransactionType
SettlementDetails131 *-- "0..0" ISettlementTransactionCondition26Choice : SettlementTransactionCondition
SettlementDetails131 *-- "0..1" IBeneficialOwnership5Choice : BeneficialOwnership
SettlementDetails131 *-- "0..1" ICashSettlementSystem5Choice : CashClearingSystem
SettlementDetails131 *-- "0..1" IMarketClientSide5Choice : MarketClientSide
SettlementDetails131 *-- "0..1" IRegistration11Choice : Registration
SettlementDetails131 *-- "0..1" IRepurchaseType17Choice : RepurchaseType
SettlementDetails131 *-- "0..1" ISecuritiesRTGS5Choice : SecuritiesRTGS
SettlementDetails131 *-- "0..1" GenericIdentification47 : StampDutyTaxBasis
%% ISecuritiesTransactionType35Choice recursion level 1 with max 1
%% ISettlementTransactionCondition26Choice recursion level 1 with max 1
%% IBeneficialOwnership5Choice recursion level 1 with max 1
%% ICashSettlementSystem5Choice recursion level 1 with max 1
%% IMarketClientSide5Choice recursion level 1 with max 1
%% IRegistration11Choice recursion level 1 with max 1
%% IRepurchaseType17Choice recursion level 1 with max 1
%% ISecuritiesRTGS5Choice recursion level 1 with max 1
%% GenericIdentification47 recursion level 1 with max 1
class GenericIdentification47{
    Identification IsoExact4AlphaNumericText
    Issuer IsoMax4AlphaNumericText
    SchemeName IsoMax4AlphaNumericText
}
  

SettlementDetails131 members

Member name Description Data Type / Multiplicity
HoldIndicator Specifies whether the transaction is on hold/blocked/frozen. IsoYesNoIndicator - Optional 0..1
SecuritiesTransactionType Identifies the type of securities transaction. ISecuritiesTransactionType35Choice - Required 1..1
SettlementTransactionCondition Conditions under which the order/trade is to be settled. ISettlementTransactionCondition26Choice - Unknown 0..0
PartialSettlementIndicator Specifies whether partial settlement is allowed. SettlementTransactionCondition5Code - Optional 0..1
BeneficialOwnership Specifies whether there is change of beneficial ownership. IBeneficialOwnership5Choice - Optional 0..1
CashClearingSystem Specifies the category of cash clearing system, for example, cheque clearing. ICashSettlementSystem5Choice - Optional 0..1
MarketClientSide Specifies if an instruction is for a market side or a client side transaction. IMarketClientSide5Choice - Optional 0..1
Registration Specifies whether registration should occur upon receipt. IRegistration11Choice - Optional 0..1
RepurchaseType Specifies whether the rate is fixed, variable or a forfeit. IRepurchaseType17Choice - 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
StampDutyTaxBasis Specifies the stamp duty type or exemption reason applicable to the settlement transaction. GenericIdentification47 - 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

CashParties building block

Specifies cash parties in the framework of a corporate action event. Payment processes required to transfer cash from the debtor to the creditor. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% CashParties32 recursion level 0 with max 1
CashParties32 *-- "0..1" PartyIdentificationAndAccount133 : Debtor
CashParties32 *-- "0..1" PartyIdentificationAndAccount134 : DebtorAgent
CashParties32 *-- "0..1" PartyIdentificationAndAccount133 : Creditor
CashParties32 *-- "0..1" PartyIdentificationAndAccount134 : CreditorAgent
%% PartyIdentificationAndAccount133 recursion level 1 with max 1
class PartyIdentificationAndAccount133{
    LEI IsoLEIIdentifier
}
PartyIdentificationAndAccount133 *-- "1..1" IPartyIdentification104Choice : Identification
PartyIdentificationAndAccount133 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount133 *-- "0..1" ICashAccountIdentification6Choice : CashAccount
PartyIdentificationAndAccount133 *-- "0..1" ICashAccountIdentification6Choice : ChargesAccount
PartyIdentificationAndAccount133 *-- "0..1" ICashAccountIdentification6Choice : CommissionAccount
PartyIdentificationAndAccount133 *-- "0..1" ICashAccountIdentification6Choice : TaxAccount
PartyIdentificationAndAccount133 *-- "0..1" PartyTextInformation4 : AdditionalInformation
%% PartyIdentificationAndAccount134 recursion level 1 with max 1
class PartyIdentificationAndAccount134{
    LEI IsoLEIIdentifier
}
PartyIdentificationAndAccount134 *-- "1..1" IPartyIdentification113Choice : Identification
PartyIdentificationAndAccount134 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount134 *-- "0..1" ICashAccountIdentification6Choice : CashAccount
PartyIdentificationAndAccount134 *-- "0..1" ICashAccountIdentification6Choice : ChargesAccount
PartyIdentificationAndAccount134 *-- "0..1" ICashAccountIdentification6Choice : CommissionAccount
PartyIdentificationAndAccount134 *-- "0..1" ICashAccountIdentification6Choice : TaxAccount
PartyIdentificationAndAccount134 *-- "0..1" PartyTextInformation4 : AdditionalInformation
%% PartyIdentificationAndAccount133 recursion level 1 with max 1
class PartyIdentificationAndAccount133{
    LEI IsoLEIIdentifier
}
PartyIdentificationAndAccount133 *-- "1..1" IPartyIdentification104Choice : Identification
PartyIdentificationAndAccount133 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount133 *-- "0..1" ICashAccountIdentification6Choice : CashAccount
PartyIdentificationAndAccount133 *-- "0..1" ICashAccountIdentification6Choice : ChargesAccount
PartyIdentificationAndAccount133 *-- "0..1" ICashAccountIdentification6Choice : CommissionAccount
PartyIdentificationAndAccount133 *-- "0..1" ICashAccountIdentification6Choice : TaxAccount
PartyIdentificationAndAccount133 *-- "0..1" PartyTextInformation4 : AdditionalInformation
%% PartyIdentificationAndAccount134 recursion level 1 with max 1
class PartyIdentificationAndAccount134{
    LEI IsoLEIIdentifier
}
PartyIdentificationAndAccount134 *-- "1..1" IPartyIdentification113Choice : Identification
PartyIdentificationAndAccount134 *-- "0..1" AlternatePartyIdentification9 : AlternateIdentification
PartyIdentificationAndAccount134 *-- "0..1" ICashAccountIdentification6Choice : CashAccount
PartyIdentificationAndAccount134 *-- "0..1" ICashAccountIdentification6Choice : ChargesAccount
PartyIdentificationAndAccount134 *-- "0..1" ICashAccountIdentification6Choice : CommissionAccount
PartyIdentificationAndAccount134 *-- "0..1" ICashAccountIdentification6Choice : TaxAccount
PartyIdentificationAndAccount134 *-- "0..1" PartyTextInformation4 : AdditionalInformation
  

CashParties32 members

Member name Description Data Type / Multiplicity
Debtor Party that owes an amount of money to the (ultimate) creditor. PartyIdentificationAndAccount133 - Optional 0..1
DebtorAgent Financial institution servicing an account for the debtor. PartyIdentificationAndAccount134 - Optional 0..1
Creditor Party to which an amount of money is due. PartyIdentificationAndAccount133 - Optional 0..1
CreditorAgent Financial institution servicing an account for the creditor. PartyIdentificationAndAccount134 - Optional 0..1

SettlementAmount building block

Total amount of money to be paid or received in exchange for the securities. Posting of an item to a cash account, in the context of a cash transaction, that results in an increase or decrease to the balance of the account. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% AmountAndDirection71 recursion level 0 with max 1
class AmountAndDirection71{
    Amount IsoRestrictedFINActiveCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
    OriginalCurrencyAndOrderedAmount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
}
AmountAndDirection71 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
AmountAndDirection71 *-- "0..1" IDateAndDateTimeChoice : ValueDate
%% ForeignExchangeTerms27 recursion level 1 with max 1
class ForeignExchangeTerms27{
    UnitCurrency ActiveCurrencyCode
    QuotedCurrency ActiveCurrencyCode
    ExchangeRate IsoBaseOneRate
    ResultingAmount IsoRestrictedFINActiveCurrencyAndAmount
}
%% IDateAndDateTimeChoice recursion level 1 with max 1
  

AmountAndDirection71 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 - Required 1..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
ValueDate Date and time at which the cash is at the disposal of the credit account owner, or ceases to be at the disposal of the debit account owner. IDateAndDateTimeChoice - Optional 0..1

OtherAmounts building block

Other amounts than the settlement amount. Identifies other amounts pertaining to the transaction. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% OtherAmounts36 recursion level 0 with max 1
OtherAmounts36 *-- "0..1" AmountAndDirection72 : AccruedInterestAmount
OtherAmounts36 *-- "0..1" AmountAndDirection72 : ChargesFees
OtherAmounts36 *-- "0..1" AmountAndDirection72 : TradeAmount
OtherAmounts36 *-- "0..1" AmountAndDirection72 : ExecutingBrokerAmount
OtherAmounts36 *-- "0..1" AmountAndDirection72 : LocalTax
OtherAmounts36 *-- "0..1" AmountAndDirection72 : LocalBrokerCommission
OtherAmounts36 *-- "0..1" AmountAndDirection72 : Other
OtherAmounts36 *-- "0..1" AmountAndDirection72 : StampDuty
OtherAmounts36 *-- "0..1" AmountAndDirection72 : TransactionTax
OtherAmounts36 *-- "0..1" AmountAndDirection72 : WithholdingTax
OtherAmounts36 *-- "0..1" AmountAndDirection72 : ConsumptionTax
%% AmountAndDirection72 recursion level 1 with max 1
class AmountAndDirection72{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
AmountAndDirection72 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
%% AmountAndDirection72 recursion level 1 with max 1
class AmountAndDirection72{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
AmountAndDirection72 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
%% AmountAndDirection72 recursion level 1 with max 1
class AmountAndDirection72{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
AmountAndDirection72 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
%% AmountAndDirection72 recursion level 1 with max 1
class AmountAndDirection72{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
AmountAndDirection72 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
%% AmountAndDirection72 recursion level 1 with max 1
class AmountAndDirection72{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
AmountAndDirection72 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
%% AmountAndDirection72 recursion level 1 with max 1
class AmountAndDirection72{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
AmountAndDirection72 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
%% AmountAndDirection72 recursion level 1 with max 1
class AmountAndDirection72{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
AmountAndDirection72 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
%% AmountAndDirection72 recursion level 1 with max 1
class AmountAndDirection72{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
AmountAndDirection72 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
%% AmountAndDirection72 recursion level 1 with max 1
class AmountAndDirection72{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
AmountAndDirection72 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
%% AmountAndDirection72 recursion level 1 with max 1
class AmountAndDirection72{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
AmountAndDirection72 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
%% AmountAndDirection72 recursion level 1 with max 1
class AmountAndDirection72{
    Amount IsoRestrictedFINActiveOrHistoricCurrencyAndAmount
    CreditDebitIndicator CreditDebitCode
}
AmountAndDirection72 *-- "0..1" ForeignExchangeTerms27 : ForeignExchangeDetails
  

OtherAmounts36 members

Member name Description Data Type / Multiplicity
AccruedInterestAmount Interest amount that has accrued in between coupon payment periods. AmountAndDirection72 - Optional 0..1
ChargesFees Amount of money paid for the provision of financial services that cannot be categorised by another qualifier. AmountAndDirection72 - Optional 0..1
TradeAmount Principal amount of a trade (price multiplied by quantity). AmountAndDirection72 - Optional 0..1
ExecutingBrokerAmount Amount of money paid to an executing broker as a commission. AmountAndDirection72 - Optional 0..1
LocalTax Tax charged by the jurisdiction in which the financial instrument settles. AmountAndDirection72 - Optional 0..1
LocalBrokerCommission Amount of commission paid to a local broker. AmountAndDirection72 - Optional 0..1
Other An amount that is not indicated by a known business denomination. AmountAndDirection72 - Optional 0..1
StampDuty Amount of stamp duty. AmountAndDirection72 - Optional 0..1
TransactionTax Amount of transaction tax. AmountAndDirection72 - Optional 0..1
WithholdingTax Amount of money that will be withheld by a tax authority. AmountAndDirection72 - Optional 0..1
ConsumptionTax Amount of consumption tax. AmountAndDirection72 - Optional 0..1

OtherBusinessParties building block

Other business parties relevant to the transaction. Other parties information. For comparison, see the ISO20022 official specification

classDiagram
   direction tb
%% OtherParties31 recursion level 0 with max 1
OtherParties31 *-- "0..1" PartyIdentification110 : Investor
OtherParties31 *-- "0..1" PartyIdentification111 : QualifiedForeignIntermediary
OtherParties31 *-- "0..1" PartyIdentification111 : StockExchange
OtherParties31 *-- "0..1" PartyIdentification111 : TradeRegulator
OtherParties31 *-- "0..1" PartyIdentification111 : TripartyAgent
%% PartyIdentification110 recursion level 1 with max 1
class PartyIdentification110{
    LEI IsoLEIIdentifier
}
PartyIdentification110 *-- "1..1" IPartyIdentification115Choice : Identification
%% PartyIdentification111 recursion level 1 with max 1
class PartyIdentification111{
    LEI IsoLEIIdentifier
}
PartyIdentification111 *-- "1..1" IPartyIdentification104Choice : Identification
%% PartyIdentification111 recursion level 1 with max 1
class PartyIdentification111{
    LEI IsoLEIIdentifier
}
PartyIdentification111 *-- "1..1" IPartyIdentification104Choice : Identification
%% PartyIdentification111 recursion level 1 with max 1
class PartyIdentification111{
    LEI IsoLEIIdentifier
}
PartyIdentification111 *-- "1..1" IPartyIdentification104Choice : Identification
%% PartyIdentification111 recursion level 1 with max 1
class PartyIdentification111{
    LEI IsoLEIIdentifier
}
PartyIdentification111 *-- "1..1" IPartyIdentification104Choice : Identification
  

OtherParties31 members

Member name Description Data Type / Multiplicity
Investor Party, either an individual or organisation, whose assets are being invested. PartyIdentification110 - Optional 0..1
QualifiedForeignIntermediary Foreign Financial Institution which has been authorised by local authorities to act as account management institution in the country. PartyIdentification111 - Optional 0..1
StockExchange Identification of the stock exchange to which transaction reporting will be done. PartyIdentification111 - Optional 0..1
TradeRegulator Institution to which a trade must be reported. PartyIdentification111 - Optional 0..1
TripartyAgent Party responsible for the administration of a tri-party collateral transaction including collateral allocation, marking to market and substitution of collateral. PartyIdentification111 - 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 SecuritiesSettlementTransactionAllegementNotification002V06 implementation follows a specific implementaiton pattern. First of all, SecuritiesSettlementTransactionAllegementNotification002V06 impleemnts IOuterRecord indicating it is the outermost logical part of the message definition. Like all message wrappers, SecuritiesSettlementTransactionAllegementNotification002V06Document implements IOuterDocument. Because SecuritiesSettlementTransactionAllegementNotification002V06 implements IOuterDocument, it is a suitable template parameter for IOuterDocument, and causes the internal ‘Message’ to be of type SecuritiesSettlementTransactionAllegementNotification002V06.

classDiagram
    class IOuterRecord
    SecuritiesSettlementTransactionAllegementNotification002V06 --|> IOuterRecord : Implements
    SecuritiesSettlementTransactionAllegementNotification002V06Document --|> IOuterDocument~SecuritiesSettlementTransactionAllegementNotification002V06~ : Implements
    class IOuterDocument~SecuritiesSettlementTransactionAllegementNotification002V06~ {
        SecuritiesSettlementTransactionAllegementNotification002V06 Message
     }
  

Document wrapper for serialization

The only real purpose SecuritiesSettlementTransactionAllegementNotification002V06Document serves is to cause the document to be serialized into the ‘urn:iso:std:iso:20022:tech:xsd:sese.028.002.06’ namespace. Therefore, it will probably be the usual practice to build the message and construct this wrapper at the last minute using SecuritiesSettlementTransactionAllegementNotification002V06.ToDocument() method. The returned SecuritiesSettlementTransactionAllegementNotification002V06Document value will serialize correctly according to ISO 20022 standards.

classDiagram
    SecuritiesSettlementTransactionAllegementNotification002V06Document *-- SecuritiesSettlementTransactionAllegementNotification002V06 : 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.028.002.06">
    <SctiesSttlmTxAllgmtNtfctn>
        <TxId>
            <!-- TransactionIdentification inner content -->
        </TxId>
        <SttlmTpAndAddtlParams>
            <!-- SettlementTypeAndAdditionalParameters inner content -->
        </SttlmTpAndAddtlParams>
        <MktInfrstrctrTxId>
            <!-- MarketInfrastructureTransactionIdentification inner content -->
        </MktInfrstrctrTxId>
        <TradDtls>
            <!-- TradeDetails inner content -->
        </TradDtls>
        <FinInstrmId>
            <!-- FinancialInstrumentIdentification inner content -->
        </FinInstrmId>
        <FinInstrmAttrbts>
            <!-- FinancialInstrumentAttributes inner content -->
        </FinInstrmAttrbts>
        <QtyAndAcctDtls>
            <!-- QuantityAndAccountDetails inner content -->
        </QtyAndAcctDtls>
        <SctiesFincgDtls>
            <!-- SecuritiesFinancingDetails inner content -->
        </SctiesFincgDtls>
        <SttlmParams>
            <!-- SettlementParameters inner content -->
        </SttlmParams>
        <DlvrgSttlmPties>
            <!-- DeliveringSettlementParties inner content -->
        </DlvrgSttlmPties>
        <RcvgSttlmPties>
            <!-- ReceivingSettlementParties inner content -->
        </RcvgSttlmPties>
        <CshPties>
            <!-- CashParties inner content -->
        </CshPties>
        <SttlmAmt>
            <!-- SettlementAmount inner content -->
        </SttlmAmt>
        <OthrAmts>
            <!-- OtherAmounts inner content -->
        </OthrAmts>
        <OthrBizPties>
            <!-- OtherBusinessParties inner content -->
        </OthrBizPties>
        <SplmtryData>
            <!-- SupplementaryData inner content -->
        </SplmtryData>
    </SctiesSttlmTxAllgmtNtfctn>
</Document>

Data from ISO specification

This is the technical data from the specification document.

<messageDefinition
  xmi:id="_mJsrc5wzEeazcsnODTksnQ"
  nextVersions="_VKjf883zEee5nJBZsW8MFQ"
  previousVersion="_6IYWA5NLEeWGlc8L7oPDIg"
  name="SecuritiesSettlementTransactionAllegementNotification002V06"
  definition="Scope&#xD;&#xA;An account servicer sends a SecuritiesSettlementTransactionAllegementNotification to an account owner to advise the account owner that a counterparty has alleged an instruction against the account owner's account at the account servicer and that the account servicer could not find the corresponding instruction of the account owner.&#xD;&#xA;The account servicer/owner relationship may be:&#xD;&#xA;- a central securities depository or another settlement market infrastructure acting on behalf of their participants&#xD;&#xA;- an agent (sub-custodian) acting on behalf of their global custodian customer, or&#xD;&#xA;- a custodian acting on behalf of an investment management institution or a broker/dealer.&#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="SctiesSttlmTxAllgmtNtfctn"
  rootElement="Document"
  xmlns:xmi="http://www.omg.org/XMI">
  <constraint
    xmi:id="_mJsrdZwzEeazcsnODTksnQ"
    name="SettlementAmountRule"
    definition="If the instruction is against payment, then SettlementAmount must be present.&#xA;."
    registrationStatus="Provisionally Registered"
    expression="&lt;RuleDefinition xmlns:xsi=&quot;http://www.w3.org/2001/XMLSchema-instance&quot;&gt;&lt;ComplexRule 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;/SettlementAmount&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;/SettlementTypeAndAdditionalParameters/Payment&lt;/leftOperand&gt;&lt;rightOperand&gt;AgainstPaymentSettlement&lt;/rightOperand&gt;&lt;/BooleanRule&gt;&lt;/onCondition&gt;&lt;/ComplexRule&gt;&lt;/RuleDefinition&gt;&#xA;" />
  <constraint
    xmi:id="_mJsrd5wzEeazcsnODTksnQ"
    name="ReceivingParty1Rule"
    definition="If the instruction is a delivery, then ReceivingParty 1 must be present.&#xA;."
    registrationStatus="Provisionally Registered"
    expression="&lt;RuleDefinition xmlns:xsi=&quot;http://www.w3.org/2001/XMLSchema-instance&quot;&gt;&lt;ComplexRule 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;/ReceivingSettlementParties&lt;/leftOperand&gt;&lt;/BooleanRule&gt;&lt;BooleanRule xsi:type=&quot;Presence&quot;&gt;&lt;leftOperand&gt;/ReceivingSettlementParties/Party1&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;/SettlementTypeAndAdditionalParameters/SecuritiesMovementType&lt;/leftOperand&gt;&lt;rightOperand&gt;Delivery&lt;/rightOperand&gt;&lt;/BooleanRule&gt;&lt;/onCondition&gt;&lt;/ComplexRule&gt;&lt;/RuleDefinition&gt;&#xA;" />
  <constraint
    xmi:id="_mJsreZwzEeazcsnODTksnQ"
    name="DeliveringParty1Rule"
    definition="If the instruction is a receive, then DeliveringParty1 must be present."
    registrationStatus="Provisionally Registered"
    expression="&lt;RuleDefinition xmlns:xsi=&quot;http://www.w3.org/2001/XMLSchema-instance&quot;&gt;&lt;ComplexRule 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;/DeliveringSettlementParties&lt;/leftOperand&gt;&lt;/BooleanRule&gt;&lt;BooleanRule xsi:type=&quot;Presence&quot;&gt;&lt;leftOperand&gt;/DeliveringSettlementParties/Party1&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;/SettlementTypeAndAdditionalParameters/SecuritiesMovementType&lt;/leftOperand&gt;&lt;rightOperand&gt;Receive&lt;/rightOperand&gt;&lt;/BooleanRule&gt;&lt;/onCondition&gt;&lt;/ComplexRule&gt;&lt;/RuleDefinition&gt;&#xA;" />
  <constraint
    xmi:id="_mJsre5wzEeazcsnODTksnQ"
    name="SecuritiesMarketPracticeGroupGuideline"
    definition="The Securities Market Practice Group (SMPG) has published market practice recommendations on the use of this message.&#xD;&#xA;These market practices are available on www.smpg.info."
    registrationStatus="Provisionally Registered" />
  <constraint
    xmi:id="_mJsrfZwzEeazcsnODTksnQ"
    name="TwoLegTransactionOpeningClosing1Rule"
    definition="For settlement of two parts transactions (Securities Financing), the opening/initiation and closing/return of the transaction is alleged by sending the below combination of SettlementTypeAndAdditionalParameters/SecuritiesMovementType codes and SettlementParameters/SecuritiesTransactionType codes:&#xD;&#xA;&#xD;&#xA;Repo Opening&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Delivery (DELI)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: Repo (REPU)&#xD;&#xA;Repo Closing&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Receive (RECE)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: Repo (REPU)&#xD;&#xA;&#xD;&#xA;Reverse Repo Opening&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Receive (RECE)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: ReverseRepo (RVPO)&#xD;&#xA;Reverse Repo Closing&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Delivery (DELI) &#xD;&#xA;SettlementParameters/SecuritiesTransactionType: ReverseRepo (RVPO)&#xD;&#xA;&#xD;&#xA;TriParty Repo Opening&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Delivery (DELI)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: TriPartyRepo (TRPO)&#xD;&#xA;TriParty Repo Closing&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Receive (RECE)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: TriPartyRepo (TRPO)&#xD;&#xA;&#xD;&#xA;TriParty Reverse Repo Opening&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Receive (RECE)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: TriPartyReverseRepo (TRVO)&#xD;&#xA;TriParty Reverse Repo Closing&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Delivery (DELI) &#xD;&#xA;SettlementParameters/SecuritiesTransactionType: TriPartyReverseRepo (TRVO)&#xD;&#xA;&#xD;&#xA;Securities Lending Initiation&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Delivery (DELI)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: SecuritiesLending (SECL)&#xD;&#xA;Securities Lending Return&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Receive (RECE)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: SecuritiesLending (SECL)&#xD;&#xA;&#xD;&#xA;Securities Borrowing Initiation&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Receive (RECE)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: SecuritiesBorrowing (SECB)&#xD;&#xA;Securities Borrowing Return&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Delivery (DELI) &#xD;&#xA;SettlementParameters/SecuritiesTransactionType: SecuritiesBorrowing (SECB)."
    registrationStatus="Provisionally Registered" />
  <constraint
    xmi:id="_mJsrf5wzEeazcsnODTksnQ"
    name="TwoLegTransactionOpeningClosing2Rule"
    definition="For settlement of two parts transactions (buy-sell back, sell buy-back, collateral in and out), the opening/initiation and closing/return of the transaction is alleged by sending the below combination of SettlementTypeAndAdditionalParameters/SecuritiesMovementType codes and SettlementParameters/SecuritiesTransactionType codes:&#xD;&#xA;&#xD;&#xA;Sell-Buy Back: Sell&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Delivery (DELI)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: SellBuyBack (SBBK)&#xD;&#xA;Sell-Buy Back: Buy Back&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Receive (RECE)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: SellBuyBack (SBBK)&#xD;&#xA;&#xD;&#xA;Buy-Sell Back: Buy&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Receive (RECE)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: BuySellBack (BSBK)&#xD;&#xA;Buy-Sell Back: Sell Back&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Delivery (DELI) &#xD;&#xA;SettlementParameters/SecuritiesTransactionType: BuySellBack (BSBK)&#xD;&#xA;&#xD;&#xA;Collateral (giver) Out Initiation&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Delivery (DELI)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: CollateralOut (COLO)&#xD;&#xA;Collateral (giver) Out Return&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Receive (RECE)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: CollateralOut (COLO)&#xD;&#xA;&#xD;&#xA;Collateral (taker) In Initiation&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Receive (RECE)&#xD;&#xA;SettlementParameters/SecuritiesTransactionType: CollateralIn (COLI)&#xD;&#xA;Collateral (taker) In Return&#xD;&#xA;SettlementTypeAndAdditionalParameters/SecuritiesMovementType: Delivery (DELI) &#xD;&#xA;SettlementParameters/SecuritiesTransactionType: CollateralIn (COLI)."
    registrationStatus="Provisionally Registered" />
  <messageBuildingBlock
    xmi:id="_mJsrgZwzEeazcsnODTksnQ"
    name="TransactionIdentification"
    definition="Unambiguous identification of the transaction as know by the instructing party."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="1"
    xmlTag="TxId"
    simpleType="_XZJV2Np-Ed-ak6NoX_4Aeg_-1555155859" />
  <messageBuildingBlock
    xmi:id="_mJsrg5wzEeazcsnODTksnQ"
    name="SettlementTypeAndAdditionalParameters"
    definition="Provides settlement type and identification information."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="1"
    xmlTag="SttlmTpAndAddtlParams"
    complexType="_6IYWM5NLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_mJsrhZwzEeazcsnODTksnQ"
    name="MarketInfrastructureTransactionIdentification"
    definition="Identification of a transaction assigned by a market infrastructure other than a central securities depository, for example, Target2-Securities."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="MktInfrstrctrTxId"
    complexType="_5PaGvZNLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_mJsrh5wzEeazcsnODTksnQ"
    name="TradeDetails"
    definition="Details of the trade."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="1"
    xmlTag="TradDtls"
    complexType="_6IYWa5NLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_mJsriZwzEeazcsnODTksnQ"
    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="_mJsri5wzEeazcsnODTksnQ"
    name="FinancialInstrumentAttributes"
    definition="Elements characterising a financial instrument."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="FinInstrmAttrbts"
    complexType="_5TG65ZNLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_mJsrjZwzEeazcsnODTksnQ"
    name="QuantityAndAccountDetails"
    definition="Details related to the account and quantity involved in the transaction."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="1"
    xmlTag="QtyAndAcctDtls"
    complexType="_zKOqgaWfEeatOerspsHe_g" />
  <messageBuildingBlock
    xmi:id="_mJsrj5wzEeazcsnODTksnQ"
    name="SecuritiesFinancingDetails"
    definition="Details of the closing of the securities financing transaction."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="SctiesFincgDtls"
    complexType="_6IcBG5NLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_mJsrkZwzEeazcsnODTksnQ"
    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="1"
    xmlTag="SttlmParams"
    complexType="_D5OqAZwyEeazcsnODTksnQ" />
  <messageBuildingBlock
    xmi:id="_mJsrk5wzEeazcsnODTksnQ"
    name="DeliveringSettlementParties"
    definition="Identifies the chain of delivering settlement parties."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="DlvrgSttlmPties"
    complexType="_5TKlmZNLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_mJsrlZwzEeazcsnODTksnQ"
    name="ReceivingSettlementParties"
    definition="Identifies the chain of receiving settlement parties."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="RcvgSttlmPties"
    complexType="_5TKlmZNLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_mJsrl5wzEeazcsnODTksnQ"
    name="CashParties"
    definition="Specifies cash parties in the framework of a corporate action event."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="CshPties"
    complexType="_6Ikj5ZNLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_mJsrmZwzEeazcsnODTksnQ"
    name="SettlementAmount"
    definition="Total amount of money to be paid or received in exchange for the securities."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="SttlmAmt"
    complexType="_6InmsZNLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_mJsrm5wzEeazcsnODTksnQ"
    name="OtherAmounts"
    definition="Other amounts than the settlement amount."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="OthrAmts"
    complexType="_6InnD5NLEeWGlc8L7oPDIg" />
  <messageBuildingBlock
    xmi:id="_mJsrnZwzEeazcsnODTksnQ"
    name="OtherBusinessParties"
    definition="Other business parties relevant to the transaction."
    registrationStatus="Provisionally Registered"
    maxOccurs="1"
    minOccurs="0"
    xmlTag="OthrBizPties"
    complexType="_spFnoZjjEeWn2ur3BXxtdg" />
  <messageBuildingBlock
    xmi:id="_mJsrn5wzEeazcsnODTksnQ"
    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="028"
    flavour="002"
    version="06" />
</messageDefinition>

ISO Building Blocks

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