Data Tables for Processing Impairments
This page is under construction.
This section describes the Impairments data fields and Noncredit Loss Adjustments data fields.
Data Table for Impairments
The following table describes the required and optional data fields for Impairments.
Tag # – Tag Name | Required/Optional | Data Type | Value/Description of Field |
---|---|---|---|
16147 – Impairment Processing Flag | Required | CHAR | Indicates whether impairment was processed for the Position (P) or Lot (L). |
7005 – Select Entity/Grouping | Optional | CHAR | Required when Impairment Processing Flag = Position. Options include:
|
86 – Base Currency | Required | CHAR (3) | Base currency. |
3914 – Conversion Status | Optional |  | Required when Impairment Processing Flag = Position and Select Entity/Grouping = Groups of Entities. |
16148 – Impair By Option | Required | CHAR | Options include:
|
1163 – Entity ID | Optional | CHAR (8) | Required if Entity Name (tag 1164) not available. |
1164 – Entity Name | Optional | CHAR (30) | Required if Entity ID (tag 1163) not available. |
21 – Accounting Basis | Required | VARCHAR2(5) | The accounting basis used for position. USTAX, USGAAP, IASGAAP. |
2921 – Impairment Reason | Optional | NUMBER(38,12) | Default value is None. |
221 – End Date | Optional | DATE | Defaults to today's date. |
7001 – Writeup/Writedown Switch | Optional | CHAR | Default value is Decrease Basis/Writedown |
15 – Long/Short Indicator | Optional | CHAR | Default value is Long. |
1234 – Xreference Type | Optional | CHAR (30) | Security resolution. |
1233 – Xreference ID | Optional | CHAR (100) | Security resolution. |
961 – Issue Name | Required | VARCHAR2 (255) | Security resolution. |
13 – Ticker | Optional | CHAR (100) | Security resolution. |
962 – Choose Open Lot | Required | VARCHAR2 (255) | Issue description. |
16149 – Lot Impairment Processing Flag | Optional | CHAR | Required when Impairment Processing Flag = Position. Options include:
|
35 – Effective Date | Optional | DATE | Defaults to today's date. |
36 – Accounting Date | Required | DATE | The date the event is to be reported. |
7350 – Local Cost Adjustment | Required | MONEYL (2) | Zero not allowed. |
7358 – Credit Loss Local Adjustment | Optional | MONEYL (2) | Credit loss local adjustment. |
7359 – Non-Credit Loss Local Adjustment | Optional | MONEYL (2) | Non-credit loss local adjustment. |
45 – FMV Price | Optional | DEC (8) | Required when Impair By Option = Price or Both Price and FX. |
16158 – Credit/Noncredit Loss Processing | Optional | CHAR | Indicates whether Credit/Noncredit Losses will be included for the impairment. Displayed when Impair By Option = Price or Both Price and FX. Options include Yes and No. |
16150 – Credit Price | Optional | DEC (8) | Price to be used for calculating credit/noncredit losses. Required when Credit/Noncredit Loss Processing = Yes. |
2714 – Maturity Price Override | Optional | DEC (12) | Maturity price to be used for amortization in place of the derived amortization price |
7351 – Base Cost Adjustment | Required | MONEYL (2) | Base cost adjustment. |
7360 – Credit Loss Base Adjustment | Optional | MONEYL (2) | Credit loss base adjustment. |
7361 – Non-Credit Loss Base Adjustment | Optional | MONEYL (2) | Non-credit loss base adjustment. |
761 – Original Trade Ticket Number | Optional | VARCHAR2 (55) | The source transaction code of an event. |
56 – Transaction Notes | Optional | VARCHAR2(255) | Open text field used to describe the event. |
1728 – Cost Offset Account | Required | VARCHAR2 (50) | The reason why a rate was set. |
1257 – Recalculate Yield | Optional | CHAR (30) | A field to indicate the type of corporate action such as "sdiv", "merg". |
 16157 – Prorata Noncredit Loss Flag |  | CHAR | This flag indicates whether any credit/noncredit loss will be reversed entirely or prorata. Only applicable to partial sells. |
26 – Target Event ID | Conditionally required for lot-level impairments (tag 16147 = L) – either tag 26 or tag 762 must be sent | VARCHAR2(55) | Event ID of the targeted transaction. Used to target the correct lot for impairment. |
762 – Original/Target Trade Ticket Number | Conditionally required for lot-level impairments (tag 16147 = L)  – either tag 26 or tag 762 must be sent | CHAR (4) | Contains the Trade Ticket # (tag 761) from the original transaction to be impaired. Used to target the correct lot for impairment. |
Data Table for Noncredit Loss Adjustments
Under construction.