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Payment In Kind – Bond corporate action messages require Event Type (tag 55) set to PIKBOND for message routing to the correct XML processing rule. |
The following table describes the required and optional data fields for Payment in Kind Bonds.
Tag # – Tag Name | Required/Optional | Data Type | Value/Description of Field |
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1076 – Update Indicator | Required | CHAR | Y/N indicator used within message stream process. Valid values: |
55 – Event Type | Required – defaults on panel. Used by message stream for identification of the event. Must be PIKBOND | CHAR | Used for STAR processing. |
1432 – From XReference ID Type | Required | CHAR (30) | Security identifier type (CUSIP, ISIN, SEDOL) – Code Value. |
14 – From XReference ID | Required | CHAR (100) | Security identifier. |
4003 – Original Source | Optional | VARCHAR2 (15) | Original Source of the announcement. |
1695 – Client Specific ID | Optional | VARCHAR2 (50) | Client generated ID for corporate action event. |
1264 – From Pre Action Price | Optional | NUMBER (28,12) | Price pre spin-off for From Security. Used In the Fair Market Value Report. |
319 – From Post Action Price | Optional | NUMBER (28,12) | Price post spin-off for From Security. Used In the Fair Market Value Report |
1728 – Corporate Action Type | Required | VARCHAR2 (50) | PIK BOND. |
65 – Ex Date | Required | DATE | Event ex date. |
1694 – Record Date | Optional | DATE | Record date of the event. |
1260 – Announcement Date | Optional | DATE | Announcement date of the event. |
1275 – Pay Date | Required | DATE | Pay Date of the event. |
54 – Corporate Action Status | Required | VARCHAR2 (2) | Valid values: |
3961 – Corporate Action Sub Priority | Required | INTEGER | Defaults to 1. Priority used if there are multiple events on the same day. |
1734 – Mandatory / Voluntary Indicator | Required | CHAR (2) | Defaults to M. Mandatory or Voluntary event indicator. Valid values: |
1197 – Sweep Date | Optional | DATE | Ability to override message stream logic for setting a date. |
1740 – Corporate Action Notes | Optional | VARCHAR2 (255) | |
1001 – Baby Bond Rate | Optional | NUMBER (28,12) | Rate of Action. This rate is used to determine the amount of baby bond shares the holder will receive. |
8012 – Dividend Reclass | Optional | CHAR (10) | Valid Values: |
3965 – Treatment of Fractional Shares | Required | VARCHAR2 (3) | How Fractional Shares are to be handled. Valid values: |
1692 – Cash Rate | Optional | NUMBER (28,12) | Cash Rate. The rate to compare to the PIK bond coupon to determine the interest payment that is in cash. |
1705 – Baby Bond Price | Optional | NUMBER (28,12) | If the Baby Bond Rate is not zero or null, this field is required for a Mandatory CA. The Baby Bond Price field should not be entered for a Voluntary CA. |