Indicates order settlement period. Absence of this field is interpreted as 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 | TPLUS2 | 
| 4 | TPLUS3 | 
| 5 | TPLUS4 | 
| 6 | FUTURE | 
| 7 | WHEN_ISSUED | 
| 8 | SELLERS_OPTION | 
| 9 | TPLUS5 |