Skip to end of metadata
Go to start of metadata

You are viewing an old version of this page. View the current version.

Compare with Current View Page History

Version 1 Next »

Overview

Synthetic Cash securities are used in Eagle Enrichment to offset the full notional value of the single-leg derivatives such as Futures, Options, and Credit Swaps. This allows the full notional market value to be used in exposure-based analyses, which produce more meaningful returns. These securities are identified with Processing Security Type = SYNTHETIC.

Identifiers

We recommend not allowing an Xref Qualifier (9111) of Duplicate for Investment Type (11) = SYTH. Doing so can result in security resolution issues when booking trades via Message Center. This is defined as part of the Security Cross Reference Configuration. The Synthetic Cash security identifiers are concatenated as shown in the example below.

  • Issue Name = "Underlying Security " + Parent Security Issue Name
  • Primary Asset ID = Parent Security Primary Asset ID + "_S"

Parent SecuritySynthetic Cash
Issue NameE-Mini S&P 500 FutureSynthetic Cash E-Mini S&P 500 Future
Primary Asset IDEMINISP500EMINISP500_S

Setup

Synthetic Cash securities are typically created automatically during security setup by setting Create Synthetic CASH Security (2300) = Yes, but they can also be added manually using Issue Viewer or Reference Data Center (RDC).

If you set up a Synthetic Cash security manually, you must also link it to the parent security using Add Underlying Security with Underlying Type (916) = SYNTHETIC.

  • No labels