For CIV - Identifies how the execution price LastPx (31) was calculated from the fund unit/share price(s) calculated at the fund valuation point.
Valid values are:
B = Bid price
C = Creation price
D = Creation price plus adjustment %
E = Creation price plus adjustment amount
O = Offer price
P = Offer price minus adjustment %
Q = Offer price minus adjustment amount
S = Single price
| Code | Meaning |
|---|---|
| B | Bid price |
| C | Creation price |
| D | Creation price plus adjustment % |
| E | Creation price plus adjustment amount |
| O | Offer price |
| P | Offer price minus adjustment % |
| Q | Offer price minus adjustment amount |
| S | Single price |