Used to limit instrument scope to specified settlement type.
See SettlType (63) field for description.
| Code | Meaning | 
|---|---|
| 0 | Regular / FX Spot settlement (T+1 or T+2 depending on currency) | 
| 1 | Cash (TOD / T+0) | 
| 2 | Next Day (TOM / T+1) | 
| 3 | T+2 | 
| 4 | T+3 | 
| 5 | T+4 | 
| 6 | Future | 
| 7 | When And If Issued | 
| 8 | Sellers Option | 
| 9 | T+5 | 
| B | Broken date | 
| C | FX Spot Next settlement (Spot+1, aka next day) |