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.
Code | Meaning |
---|---|
0 | REGULAR |
1 | CASH |
2 | NEXT_DAY |
3 | T_PLUS_2 |
4 | T_PLUS_3 |
5 | T_PLUS_4 |
6 | FUTURE |
7 | WHEN_AND_IF_ISSUED |
8 | SELLERS_OPTION |
9 | T_PLUS_5 |
A | T_PLUS_1 |