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Indicates order settlement period. If present, FutSettDate (64) overrides this field. If both SettlmntTyp (63) and FutSettDate (64) are omitted, the default for SettlmntTyp (63) is 0 (Regular)
Regular is defined as the default settlement period for the particular security on the exchange of execution.
| 5 | = |
T+4
|
Added
FIX.2.7 | | [TPlus4] | | A | = |
T+1
|
Added
FIX.4.3 | | [T1] | | 6 | = |
Future
|
Added
FIX.2.7 | | [Future] | | 3 | = |
T+2
|
Added
FIX.2.7 | | [TPlus2] | | 2 | = |
Next Day
|
Added
FIX.2.7 | | [NextDay] | | 8 | = |
Sellers Option
|
Added
FIX.2.7 | | [SellersOption] | | 1 | = |
Cash
|
Added
FIX.2.7 | | [Cash] | | 7 | = |
When And If Issued
|
Added
FIX.2.7 | | [WhenAndIfIssued] | | 0 | = |
Regular
|
Added
FIX.2.7 | | [Regular] | | 9 | = |
T+ 5
|
Added
FIX.3.0 | | [TPlus5] | | 4 | = |
T+3
|
Added
FIX.2.7 | | [TPlus3] |
|