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Tag Number/Name | Required/Optional | Data Type | Notes | PACE Table | PACE Field | ||
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1076 – Update Mode Flag | Optional | CHAR | Used by the procedure to determine if it should check for an existing record or simply insert the record. Valid Values: | n/a | n/a | ||
55 – Event Type | Required | CHAR | Required – defaults on panel. Used by message stream for identification of the event. Must be UPLOAD_TRADE. | n/a | n/a | ||
1081 – Entity Translation Type | Optional | CHAR | Used to indicate that the entity cross reference or entity bank relationship is used to generate the entity identifier. Options include:
| n/a | n/a | ||
7233 – Entity Xref ID | Conditionally Required – used when tag 1081 is set to XREFERENCE and tag 1163 is NULL. | CHAR | Used for entity ID resolution. The value corresponds to the tag 1233 value used for entity cross reference lookup. | n/a | n/a | ||
7234 – Entity Xref ID Type | Conditionally Required – used when tag 1081 is set to XREFERENCE and tag 1163 is NULL. | CHAR | Used for entity ID resolution. The value corresponds to the tag 1234 value used for entity cross reference lookup. | n/a | n/a | ||
1102 – Source Name | Conditionally Required – tag 1168 is null | CHAR (15) | Used to resolve src_intfc_inst if tag 1168 is null | n/a | n/a | ||
7001 – Resolve in Panel Flag | Optional | CHAR | Used by message stream to determine if entity ID and security alias should be resolved in the panel or the procedure. Valid Values: 1 – Resolve All, 2 – Resolve Entity Only, 3 – Resolve None (resolve using the procedure). | n/a | n/a | ||
1233/14 – Security ID | Conditionally Required – tag 7001 = 1 or 2 | CHAR (100) | Xreference lookup to resolve security alias. | n/a | n/a | ||
1234 – Security ID Type | Conditionally Required – tag 7001 = 1 or 2 | CHAR (30) | Xreference lookup to resolve security alias. | n/a | n/a | ||
1952 – XID 1 | Conditionally Required – tag 7001 = 1 | CHAR (100) | Used to resolve security_alias. | n/a | n/a | ||
1953 – XID Type 1 | Optional | CHAR (30) | Used to resolve security_alias. | n/a | n/a | ||
1955 – XID 2 | Conditionally Required – tag 7001 = 3 | CHAR (100) | Used to resolve security_alias. | n/a | n/a | ||
1956 – XID Type 2 | Optional | CHAR (30) | Used to resolve security_alias. | n/a | n/a | ||
1958 – XID 3 | Conditionally Required – tag 7001 = 3 | CHAR (100) | Used to resolve security_alias. | n/a | n/a | ||
1959 – XID Type 3 | Optional | CHAR (30) | Used to resolve security_alias. | n/a | n/a | ||
1961 – XID 4 | Conditionally Required – tag 7001 = 3 | CHAR (100) | Used to resolve security_alias. | n/a | n/a | ||
1962 – XID Type 4 | Optional | CHAR (30) | Used to resolve security_alias. | n/a | n/a | ||
1964 – XID 5 | Conditionally Required – tag 7001 = 3 | CHAR | Used to resolve security_alias. | n/a | n/a | ||
1965 – XID Type 5 | Optional | CHAR | Used to resolve security_alias. | n/a | n/a | ||
1967 – XID 6 | Conditionally Required – tag 7001 = 3 | CHAR | Used to resolve security_alias. | n/a | n/a | ||
1968 – XID Type 6 | Optional | CHAR | Used to resolve security_alias. | n/a | n/a | ||
1970 – XID 7 | Conditionally Required – tag 7001 = 3 | CHAR | Used to resolve security_alias. | n/a | n/a | ||
1971 – XID Type 7 | Optional | CHAR | Used to resolve security_alias. | n/a | n/a | ||
7052 – CUSIP Xref – ID | Not used if tag 7001 = 3 | CHAR | Additional security identifier used to resolve security alias if tag 10 is null. Uses next tag to control xref ID type. Overrides the use of tags 1952 – 1980 for security resolution. | n/a | n/a | ||
7053 – Xref – ID Type for 7052 | Optional | CHAR | Xref ID type associated with tag 7052; defaults to CUSIP. | n/a | n/a | ||
7055 – ISIN Xref – ID | Not used if tag 7001 = 3 | CHAR | Additional security identifier used to resolve security alias if tag 10 is null. Uses next tag to control xref ID type. Overrides the use of tags 1952 – 1980 for security resolution. | n/a | n/a | ||
7056 – Xref – ID Type for 7055 | Optional | CHAR | Xref ID type associated with tag 7055; defaults to ISIN. | n/a | n/a | ||
7058 – SEDOL Xref – ID | Not used if tag 7001 = 3 | CHAR | Additional security identifier used to resolve security alias if tag 10 is null. Uses next tag to control xref ID type. Overrides the use of tags 1952 – 1980 for security resolution. | n/a | n/a | ||
7059 – Xref – ID Type for 7058 | Optional | CHAR | Xref ID type associated with tag 7058; defaults to SEDOL. | n/a | n/a | ||
7061 – REUTERS Xref – ID | Not used if tag 7001 = 3 | CHAR | Additional security identifier used to resolve security alias if tag 10 is null. Uses next tag to control xref ID type. Overrides the use of tags 1952 – 1980 for security resolution. | n/a | n/a | ||
7062 – Xref – ID Type for 7061 | Optional | CHAR | Xref ID type associated with tag 7061; defaults to RIC. | n/a | n/a | ||
7064 – BLOOMBERG Xref – ID | Not used if tag 7001 = 3 | CHAR | Additional security identifier used to resolve security alias if tag 10 is null. Uses next tag to control xref ID type. Overrides the use of tags 1952 – 1980 for security resolution. | n/a | n/a | ||
7065 – Xref – ID Type for 7064 | Optional | CHAR | Xref ID type associated with tag 7064; defaults to BBID. | n/a | n/a | ||
7067 – SICOVM Xref – ID | Not used if tag 7001 = 3 | CHAR | Additional security identifier used to resolve security alias if tag 10 is null. Uses next tag to control xref ID type. Overrides the use of tags 1952 – 1980 for security resolution. | n/a | n/a | ||
7068 – Xref – ID Type for 7067 | Optional | CHAR | Xref ID type associated with tag 7067; defaults to SICOVM. | n/a | n/a | ||
7070 – VALOREN Xref – ID | Not used if tag 7001 = 3 | CHAR | Additional security identifier used to resolve security alias if tag 10 is null. Uses next tag to control xref ID type. Overrides the use of tags 1952 – 1980 for security resolution. | n/a | n/a | ||
7071 – Xref – ID Type for 7070 | Optional | CHAR | Xref ID type associated with tag 7070; defaults to VALOREN. | n/a | n/a | ||
7073 – CEDEL Xref – ID | Not used if tag 7001 = 3 | CHAR | Additional security identifier used to resolve security alias if tag 10 is null. Uses next tag to control xref ID type. Overrides the use of tags 1952 – 1980 for security resolution. | n/a | n/a | ||
7074 – Xref – ID Type for 7073 | Optional | CHAR | Xref ID type associated with tag 7073; defaults to CEDEL. | n/a | n/a | ||
7076 – INTERNAL Xref – ID | Not used if tag 7001 = 3 | CHAR | Additional security identifier used to resolve security alias if tag 10 is null. Uses next tag to control xref ID type. Overrides the use of tags 1952 – 1980 for security resolution. |
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7077 – Xref – ID Type for 7076 | Optional | CHAR | Xref ID type associated with tag 7076; defaults to INTERNAL. |
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7079 – CINS Xref – ID | Not used if tag 7001 = 3 | CHAR | Additional security identifier used to resolve security alias if tag 10 is null. Uses next tag to control xref ID type. Overrides the use of tags 1952 – 1980 for security resolution. |
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| ||
7080 – Xref – ID Type for 7079 | Optional | CHAR | Xref ID type associated with tag 7079; defaults to CINS. |
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38 – Maturity Date | Optional | DATE | Date on which the security matures. Used by the Xref ID lookup to qualify security resolution. | n/a | n/a | ||
11043 – Inactive flag | Optional | VARCHAR2 (255) | Valid values are Y = Yes or N = No. Used by the Xref ID lookup to qualify security resolution. | n/a | n/a | ||
85 – Asset Currency | Optional | CHAR (30) | 3-character currency code – Code Value. Used by the Xref ID lookup to qualify security resolution. | TRADES TRADE | trade_currency/commission currency | ||
1981 – Xreference Exchange | Optional | CHAR (8) | Used by the Xref ID lookup to further qualify the security resolution. | n/a | n/a | ||
17 – Primary Exchange Code | Optional | CHAR (8) | Exchange on which the security is listed – Code Value. | n/a | n/a | ||
1168 – src_intfc_inst | Conditionally Required – if tag 1102 is null | INTEGER | TRADES TRADE | src_intfc_inst | |||
10 – security_alias | Conditionally Required – if tag 1102 is null | NUMBER | TRADES TRADE/TRADE_DETAIL | security_alias | |||
21– acct basis | Optional | VARCHAR2(5) | TRADES TRADE | acct_basis | |||
22 – cost method | Optional | VARCHAR2 (2) |
| TRADES TRADE | cost_method | ||
27 – lot_selection _method | Optional | VARCHAR2 (5) |
| TRADES TRADE | lot_selection_method | ||
86 – base_currency | Optional | CHAR (3) | TRADES TRADE | base_currency | |||
1163 – Entity ID | Conditionally Required – either tag 1163 or tag 1164 must be sent, unless tag 1081 set to BANK or XREFERENCE. | CHAR (8) | TRADES TRADE | entity_id | |||
1164 – Entity Name | Conditionally Required – either tag 1163 or tag 1164 must be sent, unless tag 1081 set to BANK or XREFERENCE. | CHAR (30) | n/a | n/a | |||
221 – Effective Date | Required | DATE | TRADES TRADE | effective_date | |||
15 – Long/Short Indicator | Optional | CHAR |
| TRADES TRADE | star_ls_ind | ||
15 – Long/Short Indicator | Optional | CHAR |
| TRADES TRADE_DETAIL | long_short_indicator | ||
35 – Trade Date | Optional | DATE | TRADES TRADE | trade_date | |||
36 – Accounting Date | Optional | DATE |
| TRADES TRADE | ledger_effective_date | ||
37 – Settlement Date | Optional | DATE |
| TRADES TRADE | settlement_date | ||
2283 – Event Type | Optional | CHAR |
| TRADES TRADE | trans_code | ||
761 – Trade Ticket Number | Conditionally Required – Updates to existing records or Deletes | VARCHAR2 (55) |
| TRADES TRADE | master_ticket_number | ||
944 – Update Source | Optional | VARCHAR2 (8) | TRADES TRADE | update_source | |||
N/a | Optional | #VALUE! | Current system date time | TRADES TRADE | update_date | ||
7 – Sell to Buy FX Rates | Optional | DEC | FX Rates between sell currency and purchase currency on a forward contract. | TRADES TRADE | sell_to_buy_fx_rate | ||
16 – Bank Alias | Optional | VARCHAR2 (25) | Instance assigned to a custodian bank relationship. | TRADES TRADE | bank_alias | ||
17 – Exchange Code | Optional | CHAR (8) | Code assigned to the exchange on which the transaction was processed. | TRADES TRADE | exchange_code | ||
24 – Cost Basis Type | Optional | CHAR | Contains a value defining the cost basis type provided on the transaction. | TRADES TRADE | cost_basis_type | ||
26 – Target Event ID | Optional | VARCHAR2(55) | Event ID of the open lot adjusted by the open adjustment. | TRADES TRADE | star_tag26/target_event_id | ||
28 – Link Event ID | Optional | CHAR | Links multiple open and close lots together. | TRADES TRADE | link_event_id | ||
30 – Post Date | Optional | DATE | Post date provided on the transaction. | TRADES TRADE | post_date | ||
43 – Settlement Location | Optional | CHAR | Settlement location for the trade. | TRADES TRADE | settlement_location | ||
46 – Tax Amount Local | Optional | MONEYL | Amount of taxes paid on the trade in local currency terms. | TRADES TRADE | taxes | ||
47 – Commission Amount Local | Optional | MONEYL | Amount of commission paid on the trade in local currency terms. | TRADES TRADE | local_commission_amount | ||
48 – Fee Amount Local | Optional | MONEYL | Amount of fees paid on the trade in local currency terms. | TRADES TRADE | exchange_fee | ||
49 – Accrued Interest | Optional | MONEYL | Amount of interest paid on the trade in local currency terms. | TRADES TRADE | accrued_interest | ||
50 – Net Amount Local | Optional | MONEYL | Net amount on the trade in local currency terms. | TRADES TRADE | net_cash | ||
51 – Stamp Duty Tax Local | Optional | MONEYL | Amount of stamp duty tax paid on the trade in local currency terms. | TRADES TRADE | other_fee | ||
53 – Cash Event Type | Optional | CHAR | Cash movement of the transaction. RECPT or DISB | TRADES TRADE_DETAIL | cash_type | ||
54 – Trade Status | Optional | VARCHAR2 (2) | Status of the transaction. TRADED or SETTLED | TRADES TRADE | trade_status | ||
56 – Transaction Notes | Optional | VARCHAR2(255) | Open text field where user can provide additional information about the trade. | TRADES TRADE_DETAIL | transaction_notes | ||
63 – Settlement Currency | Optional | CHAR (3) | Settlement currency of settlement amount on the trade. | TRADES TRADE | settlement_currency | ||
64 – Settlement Amount | Optional | MONEYS | Settlement amount provided on the transaction. | TRADES TRADE | settlement_amount | ||
75 – Amort Yield | Optional | DEC | Calculated amortization yield used to calculate daily amortization. | TRADES TRADE | yield | ||
78 – Implied Commission | Optional | CHAR (15) | Some transactions have implied commissions. The price on the trade reflects the price and the commission on the trade. | TRADES TRADE | commission_type_code | ||
79 – FX Rates Settle to Base | Optional | DEC | FX Rates between the settlement amount and the net amount base. | TRADES TRADE | settlement_exchange_rate | ||
87 – FX Rates Local to Base | Optional | DEC | FX Rates between local net amount and net amount base. | TRADES TRADE | fx_rate | ||
88 – Broker Code | Optional | CHAR (20) | Broker code on the trade. | TRADES TRADE | broker_code | ||
91 – Factor | Optional | NUMBER (28,12) | Factor at the time the trade was processed. | TRADES TRADE | factor | ||
109 – Original Face Value | Optional | DEC | Original face of the MBS purchased. | TRADES TRADE | original_face_value | ||
126 – Sequence Event | Optional | NUMBER(38) | TRADES TRADE | batch_instance/ event_sequence | |||
151 – Open Event ID | Optional | CHAR | TRADES TRADE | star_tag151 | |||
154 – Original Settlement Date | Optional | DATE | Original settlement date of the transaction. | TRADES TRADE | orig_settlement_date | ||
159 – Original Quantity | Optional | DEC | Quantity provided on the trade. | TRADES TRADE | par_or_shares | ||
160 – Unit Price Local | Optional | DEC | Price provided on the trade. | TRADES TRADE | price | ||
162 – Cost Local | Optional | MONEYL | Local cost for the transaction. | TRADES TRADE | cost_local | ||
164 – Open Holding Period Date | Optional | DATE | Holding period date of the transaction. | TRADES TRADE | holding_period_date | ||
165 – Principal Amount Local | Optional | MONEYL | Local principal value of the trade. | TRADES TRADE | principal | ||
166 – Cost Base | Optional | MONEYB | Base cost determined for the transaction. | TRADES TRADE | cost_base | ||
169 – Principal Amount Base | Optional | MONEYB | Base equivalent of the principal value of the trade. | TRADES TRADE | principal_base | ||
182 – Close Event ID | Optional | CHAR | Close Event ID assigned to the close trade. | TRADES TRADE | star_tag182 | ||
190 – Proceeds Local | Optional | MONEYL | Total proceeds on the trade. | TRADES TRADE | trade_amount | ||
191 – Proceeds Base | Optional | MONEYB | Proceeds base applied to the close trade. | TRADES TRADE_DETAIL | netsettleamt | ||
203 – Premium Amount Local | Optional | MONEYL | Amount of premium allocated in local currency terms. | TRADES TRADE | premium_allocated_local | ||
204 – Premium Amount | Optional | MONEYB | Amount of premium allocated in base currency terms. | TRADES TRADE | premium_allocated | ||
216 – Original Acquisition Date | Optional | DATE | Date on which transaction was originally acquired. This date may originate from another entity and carried forward for reporting purposes. | TRADES TRADE | orig_acq_date | ||
301 – To Account | Optional | CHAR | Receiving account of a two-sided transaction. | TRADES TRADE | to_account | ||
302 – To Asset ID | Optional | NUMBER | Receiving account asset ID of a two-sided transaction. | TRADES TRADE | to_security_alias | ||
305 – To Long Short | Optional | CHAR | Receiving account long/short indicator of a two-sided transaction. | TRADES TRADE | to_long_short_indicator | ||
311 – To Source System | Optional | CHAR | Receiving account source system of a two-sided transaction. | TRADES TRADE | to_source_system | ||
316 – To Transfer Quantity | Optional | NUMBER (28,12) | Receiving account quantity of a two-sided transaction. | TRADES TRADE | to_quantity | ||
317 – To Cost Basis Type | Optional | CHAR | Receiving account cost basis type of a two-sided transaction. | TRADES TRADE | to_cost_basis_type | ||
327 – To Transfer Amount Local | Optional | MONEYLC | Receiving account local amount of a two-sided transaction. | TRADES TRADE | to_amount_local | ||
328 – To Cash Event Type | Optional | CHAR | Receiving account cash event type of a two-sided transaction. | TRADES TRADE | to_cash_type | ||
334 – To Wash Sale Eligible | Optional | CHAR | Receiving account wash sale eligible of a two-sided transaction. | TRADES TRADE | to_wash_sale_elgbl_ind | ||
351 – From Account | Optional | CHAR | Source account of a two-sided transaction. | TRADES TRADE | from_account | ||
352 – From Asset ID | Optional | NUMBER | Source account asset ID of a two-sided transaction. | TRADES TRADE | from_security_alias | ||
355 – From Long Short | Optional | CHAR | Source account long/short indicator of a two-sided transaction. | TRADES TRADE | from_long_short_indicator | ||
361 – From Source System | Optional | CHAR | Source account source system of a two-sided transaction. | TRADES TRADE | from_source_system | ||
366 – From Transfer Quantity | Optional | DEC | Source account quantity of a two-sided transaction. | TRADES TRADE | from_quantity | ||
367 – From Cost Basis Type | Optional | CHAR | Source account cost basis type of a two-sided transaction. | TRADES TRADE | from_cost_basis_type | ||
377 – From Transfer Amount Local | Optional | MONEYLC | Source account local amount of a two-sided transaction. | TRADES TRADE | from_amount_local | ||
378 – From Cash Event Type | Optional | CHAR | Source account cash event type of a two-sided transaction. | TRADES TRADE | from_cash_type | ||
384 – From Wash Sale Eligible | Optional | CHAR | Source account wash sale eligible indicator of a two-sided transaction. | TRADES TRADE | from_wash_sale_elgbl_ind | ||
410 – To Quantity | Optional | DEC | Receiving account quantity of a two-sided transaction. The to_quantity is also stored on the adjustment rows in STAR. This value is required in PACE so the client can view the shares effected by the cost adjustment. | TRADES TRADE | target_quantity | ||
475 – Trade Interest Base | Optional | MONEYB | Amount of interest paid on the trade in base currency terms. | TRADES TRADE_DETAIL | baseinterestadj | ||
478 – Net Amount Base | Optional | MONEYB | Net amount on the trade in base currency terms. | TRADES TRADE | trade_base_amount | ||
479 - Settle Amount Base | Optional | MONEYB | The base equivalent of the settlement amount | TRADES TRADE_DETAIL | |||
501 – Cancel Event ID | Optional | VARCHAR2(55) | Event ID of the cancel transaction. | TRADES TRADE | cancel_event_id | ||
502 – Cancel Event Type | Optional | VARCHAR2(30) | Event type of the transaction that was canceled (BUY, SELL, etc.). | TRADES TRADE_DETAIL | trade_memo5 | ||
504 – Cancel Effective Date | Optional | DATE | Post date provided on the transaction. Map only if this record is a cancel transaction. | TRADES TRADE_DETAIL | cancel_effective_date | ||
506 – Cancel Linked Event ID | Optional | CHAR | Link event ID for the transaction. | TRADES TRADE | cancel_linked_event_id | ||
701 – Batch ID | Optional | VARCHAR2 (55) | STAR provides the ability to link transactions together for reporting and cancellation purposes. The user provides this value on the originating transaction. Can also be used when 1076 = D, to identify a batch of records to be deleted. | TRADES TRADE_DETAIL | batch_event_id | ||
751 – Cash Event Spawned | Optional | CHAR | Indicator to flag an event as having a cash event spawned from it. | TRADES TRADE | cash_event_spawned | ||
768 – Estimated vs. Actual | Optional | CHAR | Flag provided on the trade message for mutual fund processing. The flag defines the trade as having a final price or an estimated price. | TRADES TRADE | est_vs_act | ||
1146 – Custody Bank Name | Optional | CHAR | Name of the custodian bank. | TRADES TRADE | custody_bank_desc | ||
1237 – Clearing Broker Code | Optional | VARCHAR2 (12) | Code of the clearing broker. | TRADES TRADE_DETAIL | clearing_broker_code | ||
1240 – Custody Bank Code | Optional | CHAR | Code assigned to the custodian bank. | TRADES TRADE | custody_bank_code | ||
1632 – ClientID | Optional | CHAR (20) | Client ID for the given transaction. | TRADES TRADE | client_id | ||
1660 – Custody Bank Account Number | Optional | VARCHAR2 (30) | Custodian bank account number provided on the trade. | TRADES TRADE | custody_bank_acct_num | ||
1661 – Custody Bank Sub Account Number | Optional | VARCHAR2 (30) | Custodian bank sub-account number provided on the trade. | TRADES TRADE | custody_bank_sub_acct | ||
1728 – Corporate Action Type | Optional | VARCHAR2 (50) | Type of corporate action for which the event was processed. | TRADES TRADE | corp_action_type | ||
1887 – User_char1 | Optional | VARCHAR2(255) | User defined field | TRADES TRADE | user_char1 | ||
1888 – User_char2 | Optional | VARCHAR2(255) | User defined field | TRADES TRADE | user_char2 | ||
1889 – User_char3 | Optional | VARCHAR2(255) | User defined field | TRADES TRADE | user_char3 | ||
1890 – User_float1 | Optional | NUMBER(28,12) | User defined field | TRADES TRADE | user_float1 | ||
1891 – User_float2 | Optional | NUMBER(28,12) | User defined field | TRADES TRADE | user_float2 | ||
1892 – User_float3 | Optional | NUMBER(28,12) | User defined field | TRADES TRADE | user_float3 | ||
1897 – Settlement Instructions 1 | Optional | CHAR | User defined field | TRADES TRADE_DETAIL | settlement_instructions1 | ||
3710 – Trade Instructions Line 4 | Optional | CHAR | Will be defaulted to 1 in the panel. | TRADES TRADE | lot_number | ||
3715 – Accrued Interest Type | Optional | CHAR | Type of interest on the trade [ex or cum]. | TRADES TRADE | accrued_interest_type | ||
3717 – Scrub Type | Optional | CHAR | Scrub type for the given transaction. | TRADES TRADE | scrub_type | ||
3746 – Original Acquisition Cost Base | Optional | MONEYB | Base original cost. | TRADES TRADE | orig_acq_cost_base | ||
3747 – Original Acquisition Cost Local | Optional | MONEYL | Local original cost. | TRADES TRADE | orig_acq_cost_local | ||
3752 – Other Fees | Optional | MONEYL | Amount of other fees paid on the trade in local currency terms. | TRADES TRADE | sec_fees | ||
3766 – Close Cost Base | Optional | DEC | Base value of the original cost of the underlying trade. | TRADES TRADE_DETAIL | disp_book_value_gaap | ||
3767 – Close Cost Local | Optional | DEC | Local value of the original cost of the underlying trade. | TRADES TRADE_DETAIL | disp_book_value_stat | ||
3924 – Forward Close Eligible | Optional | VARCHAR2 (3) | TRADES TRADE_DETAIL | partflag | |||
4268 – Corporate Action Instance | Optional | INTEGER | STAR assigns a corporate action instance to all STAR corporate actions. This value is unique to each corporate action stored in the corporate action table in STAR. | TRADES TRADE_DETAIL | corporate_action_inst | ||
4483 – Index Weight | Optional | DEC | Index weight at the time the trade was processed. | TRADES TRADE | principal_factor | ||
4519 – Paydown Gain Loss Account | Optional | VARCHAR2 (15) | Paydown can be treated as CAPITAL, INCOME, or nothing. | TRADES TRADE_DETAIL | general_ledger_acct | ||
4597 – Performance Value | Optional | MONEYL | Specific events processed by STAR do not have a cost associated with them. Eagle Performance requires a value to accurately calculate the security's performance. | TRADES TRADE_DETAIL | performance_value | ||
4598 – Performance Price | Optional | DEC | Specific events processed by STAR do not have a cost associated with them. Eagle Performance requires a value to accurately calculate the security's performance. | TRADES TRADE_DETAIL | performance_price | ||
4601 – Book Value Local | Optional | MONEYL | Total amortized cost local for the open lot. Includes original cost, amortization, TIPS income, and OID income local. | TRADES TRADE_DETAIL | book_value_local | ||
4602 – Book Value | Optional | MONEYB | Total amortized cost local for the open lot. Includes original cost, amortization, TIPS income, and OID income local. | TRADES TRADE_DETAIL | book_value | ||
4733 – Month End Accounting Date | Optional | DATE | Month end accounting date provided on the transaction. | TRADES TRADE | month_end_date | ||
5685 – Total Amortization Local | Optional | MONEYL | Total Local Amortization Sold | TRADES TRADE_DETAIL | total_amort_local | ||
5686 – Total Amortization Base | Optional | MONEYB | Total Base Amortization Sold | TRADES TRADE_DETAIL | total_amort_base | ||
9430 – Trade Yield | Optional | DEC | Trade yield provided on the trade. | TRADES TRADE | trade_yield | ||
9761 – Current Built-In Gain/Loss – Security | Optional | DEC | Stores the portion of the built-in gain/loss solely attributed to fluctuations in market price. Contributed property may or may not have this kind of gain/loss. | TRADES TRADE | curr_builtin_gl_sec | ||
9762 – Current Built-In Gain/Loss – Security | Optional | DEC | Stores the portion of the built-in gain/loss solely attributed to fluctuations in market price. Contributed property may or may not have this kind of gain/loss. | TRADES TRADE | orig_builtin_gl_sec | ||
10049 – Currency Gain | Optional | CHAR | Currency gain on the trade. | TRADES TRADE_DETAIL | currency_gain | ||
10050 – Total Gain Local | Optional | CHAR | Total local gain on the trade. | TRADES TRADE_DETAIL | total_gain_local | ||
10051 – Security Gain | Optional | CHAR | Base security gain on the trade. | TRADES TRADE_DETAIL | security_gain | ||
10052 – Currency Loss | Optional | CHAR | Currency loss on the trade. | TRADES TRADE_DETAIL | currency_loss | ||
10053 – Total Loss Local | Optional | CHAR | Total local loss on the trade. | TRADES TRADE_DETAIL | total_loss_local | ||
10054 – Security Loss | Optional | CHAR | Base security loss on the trade. | TRADES TRADE_DETAIL | security_loss | ||
10057 – Total Gain | Optional | CHAR | Total base gain on the trade. | TRADES TRADE_DETAIL | total_gain | ||
10058 – Total Loss | Optional | CHAR | Total base loss on the trade. | TRADES TRADE_DETAIL | total_loss | ||
10674 – Reporting Replay Indicator | Optional | VARCHAR2 (4) | Flags the trade row as an accounting generated trade versus a true trade. | TRADES TRADE | replay_ind | ||
10705 – Future expense cost flag | Optional | VARCHAR2 (4) | Used to set the expense/capitalization option for futures trade commissions. | TRADES TRADE_DETAIL | changedflag | ||
10758 – Calculated Accrued Interest Local | Optional | VARCHAR2 (4) | Amount of interest paid on the trade in local currency terms. | TRADES TRADE | accrued_income_local | ||
10781 – Dirty Principal Local | Optional | CHAR | Local principal value of the trade plus any commission, fee, and tax. This value does not include accrued interest. | TRADES TRADE | dirty_principal | ||
10782 – Dirty Principal Base | Optional | CHAR | Principal value of the trade plus any commission, fee, and tax. This value does not include accrued interest. | TRADES TRADE | dirty_principal_base | ||
10906 – Original Trade Price | Optional | MONEYL | TRADES TRADE | orig_trade_price | |||
10912 – Original Built-In Gain/Loss – Currency | Optional | CHAR |
| TRADES TRADE | orig_builtin_gl_currency | ||
10913 – Original Built-In Gain/Loss – Deferred | Optional | CHAR | TRADES TRADE | orig_builtin_gl_deferred | |||
10914 – Original Built-In Gain/Loss – Original Issue Discount | Optional | CHAR | TRADES TRADE | orig_builtin_gl_oid | |||
10915 – Original Built-In Gain/Loss – Market Discount | Optional | CHAR |
| TRADES TRADE | orig_builtin_gl_mkt_disc | ||
10917 – Current Built-In Gain/Loss – Currency | Optional | CHAR | Stores the portion of the built-in gain/loss solely attributed to fluctuations in exchange rates. Contributed property may or may not have this kind of gain/loss. If issue currency (Tag 85) and base currency (Tag 86) are equal, this type of gain/loss does not exist. | TRADES TRADE | curr_builtin_gl_currency | ||
10918 – Current Built-In Gain/Loss – Deferred | Optional | CHAR | Stores the deferred gain/loss from a wash sale transaction. | TRADES TRADE | curr_builtin_gl_deferred | ||
10919 – Current Built-In Gain/Loss – Original Issue Discount | Optional | CHAR | Stores the portion of the built-in gain/loss originating from original issue discount on a fixed income security. Contributed property may or may not have this kind of gain/loss. If the security is not a fixed income security, this type of gain/loss does not exist. | TRADES TRADE | curr_builtin_gl_oid | ||
10920 – Current Built-In Gain/Loss – Market Discount | Optional | CHAR | Stores the portion of the built-in gain/loss originating from market discount on a fixed income security. Contributed property may or may not have this kind of gain/loss. If the security is not a fixed income security, this type of gain/loss does not exist. | TRADES TRADE | curr_builtin_gl_mkt_disc | ||
10045 – Cancel Flag | Optional | CHAR |
| TRADES TRADE_DETAIL | cancel_flag | ||
10046 – Cancel Status | Optional | CHAR | TRADES TRADE_DETAIL | cancel_status |
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