Home Technical Standards 2016 | Commission Implementing Regulation (EU) 2016/378 ANNEX Standards and formats of the submission of notifications to the Financial Conduct Authority according to Regulation (EU) No 596/2014
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ANNEX Standards and formats of the submission of notifications to the Financial Conduct Authority according to Regulation (EU) No 596/2014

ANNEX Standards and formats of the submission of notifications to the Financial Conduct Authority according to Regulation (EU) No 596/2014

01/01/2021EU

Table 1 Legend for Table 3

SYMBOLDATA TYPEDEFINITION
{ALPHANUM-n}Up to n alphanumerical charactersFree text field.
{CFI_CODE}6 charactersISO 10962 CFI code.
{COUNTRYCODE_2}2 alphanumerical characters2-letter country code, as defined by ISO 3166-1 alpha-2 country code.
{CURRENCYCODE_3}3 alphanumerical characters3-letter currency code, as defined by ISO 4217 currency codes
{DATE_TIME_FORMAT}ISO 8601 date and time format

 

  • Date and time in the following format:
  • YYYY-MM-DDThh:mm:ss.ddddddZ.
  • "YYYY" is the year;
  • "MM" is the month;
  • "DD" is the day;
  • "T" — means that the letter "T" shall be used
  • "hh" is the hour;
  • "mm" is the minute;
  • "ss.dddddd" is the second and its fraction of a second;
  • Z is UTC time.

 

Dates and times shall be reported in UTC.

{DATEFORMAT}ISO 8601 date format

Dates shall be formatted by the following format:

YYYY-MM-DD.

{DECIMAL-n/m}Decimal number of up to n digits in total of which up to m digits can be fraction digits

Numerical field for both positive and negative values.

  • decimal separator is "." (full stop);
  • negative numbers are prefixed with "-" (minus);

 

Values are rounded and not truncated.

{INDEX}4 alphabetic characters

"EONA" — EONIA

"EONS" — EONIA SWAP

"EURI" — EURIBOR

"EUUS" — EURODOLLAR

"EUCH" — EuroSwiss

"GCFR" — GCF REPO

"ISDA" — ISDAFIX

"LIBI" — LIBID

"LIBO" — LIBOR

"MAAA" — Muni AAA

"PFAN" — Pfandbriefe

"TIBO" — TIBOR

"STBO" — STIBOR

"BBSW" — BBSW

"JIBA" — JIBAR

"BUBO" — BUBOR

"CDOR" — CDOR

"CIBO" — CIBOR

"MOSP" — MOSPRIM

"NIBO" — NIBOR

"PRBO" — PRIBOR

"TLBO" — TELBOR

"WIBO" — WIBOR

"TREA" — Treasury

"SWAP" — SWAP

"FUSW" — Future SWAP

{INTEGER-n}Integer number of up to n digits in totalNumerical field for both positive and negative integer values.
{ISIN}12 alphanumerical charactersISIN code, as defined in ISO 6166.
{LEI}20 alphanumerical charactersLegal entity identifier as defined in ISO 17442.
{MIC}4 alphanumerical charactersMarket identifier as defined in ISO 10383.
{FISN}35 alphanumeric charactersFISN code as defined in ISO 18774.

Table 2 Classification of commodity and emission allowances derivatives for Table 3 (fields 35-37)

Base productSub productFurther sub product
"AGRI" — Agricultural"GROS" — Grains and Oil Seeds

"FWHT" — Feed Wheat

"SOYB" — Soybeans

"CORN" — Maize

"RPSD" — Rapeseed

"RICE" — Rice

"OTHR" — Other

"SOFT" — Softs

"CCOA" — Cocoa

"ROBU" — Robusta Coffee

"WHSG" — White Sugar

"BRWN" — Raw Sugar

"OTHR" — Other

"POTA" — Potato 
"OOLI" — Olive oil"LAMP" — Lampante'
"DIRY" — Dairy 
"FRST" — Forestry 
"SEAF" — Seafood 
"LSTK" — Livestock 
"GRIN" — Grain"MWHT" — Milling Wheat
"NRGY" — Energy"ELEC" -Electricity

"BSLD" — Base load

"FITR" — Financial Transmission Rights

"PKLD" — Peak load

"OFFP" — Off-peak

"OTHR" — Other

"NGAS" — Natural Gas

"GASP" — GASPOOL

"LNGG" — LNG

"NBPG" — NBP

"NCGG" — NCG

"TTFG" — TTF

"OILP" — Oil

"BAKK" — Bakken

"BDSL" — Biodiesel

"BRNT" — Brent

"BRNX" — Brent NX

"CNDA" — Canadian

"COND" — Condensate

"DSEL" — Diesel

"DUBA" — Dubai

"ESPO" — ESPO

"ETHA" — Ethanol

"FUEL" — Fuel

"FOIL" — Fuel Oil

"GOIL" — Gasoil

"GSLN" — Gasoline

"HEAT" — Heating Oil

"JTFL" — Jet Fuel

"KERO" — Kerosene

"LLSO" — Light Louisiana Sweet (LLS)

"MARS" — Mars

"NAPH" — Naptha

"NGLO" — NGL

"TAPI" — Tapis

"URAL" — Urals

"WTIO" — WTI

"COAL" — Coal

"INRG" — Inter Energy

"RNNG" — Renewable energy

"LGHT" — Light ends

"DIST" — Distillates

 
"ENVR" — Environmental"EMIS" — Emissions

"CERE" — CER

"ERUE" — ERU

"EUAE" — EUA

"EUAA" — EUAA

"OTHR" — Other

"WTHR" — Weather

"CRBR" — Carbon-related'

 
"FRGT" — "Freight""WETF" — Wet"TNKR" -Tankers
"DRYF" — Dry"DBCR" -Dry bulk carriers
"CSHP" — Container ships 
"FRTL" — "Fertilizer"

"AMMO" — Ammonia

"DAPH" — DAP (Diammonium Phosphate)

"PTSH" — Potash

"SLPH" — Sulphur

"UREA" — Urea

"UAAN" — UAN (urea and ammonium nitrate)

 
"INDP" — Industrial products'

"CSTR" — Construction

"MFTG" — Manufacturing

 
"METL" — Metals'"NPRM" — Non-Precious

"ALUM" — Aluminium

"ALUA" — Aluminium Alloy

"CBLT" — Cobalt

"COPR" — Copper

"IRON" — Iron ore

"LEAD" — Lead

"MOLY" — Molybdenum

"NASC" — NASAAC

"NICK" — Nickel

"STEL" — Steel

"TINN" — Tin

"ZINC" — Zinc

"OTHR" — Other

"PRME" — Precious

"GOLD" — Gold

"SLVR" — Silver

"PTNM" — Platinum

"PLDM" — Palladium

"OTHR" — Other

"MCEX" — Multi Commodity Exotic'  
"PAPR" — Paper

"CBRD" — Containerboard

"NSPT" — Newsprint

"PULP" — Pulp

"RCVP" — Recovered paper

 
"POLY" — Polypropylene"PLST" — Plastic 
"INFL" — Inflation  
"OEST" — Official economic statistics'  
"OTHC" — Other C10 "as defined in Table 10.1 Section 10 of Annex III to Commission Delegated Regulation (EU) 2017/583 supplementing Regulation (EU) No 600/2014 of the European Parliament and of the Council with regard to regulatory technical standards on transparency requirements for trading venues and investment firms in respect of bonds, structured finance products, emission allowances and derivatives.

'DLVR" — Deliverable

"NDLV" — Non-deliverable

 
"OTHR" — Other  

Table 3 Standards and formats to be used in the notifications to be submitted in accordance with Article 4(1) of Regulation (EU) No 596/2014

N.FIELDSTANDARDS AND FORMATS TO BE USED FOR REPORTING
General Fields
1Instrument identification code{ISIN}
2Instrument full name{ALPHANUM-350}
3Instrument classification{CFI_CODE}
4Commodities derivative indicator

"true" — Yes

"false" — No

Issuer related fields
5Issuer or operator of the trading venue identifier{LEI}
Venue related fields
6Trading venue{MIC}
7Financial instrument short name{FISN}
8Request for admission to trading by issuer

"true" — Yes

"false" — No

9Date of approval of the admission to trading{DATE_TIME_FORMAT}
10Date of request for admission to trading{DATE_TIME_FORMAT}
11Date of admission to trading or date of first trade{DATE_TIME_FORMAT}
12Termination date{DATE_TIME_FORMAT}
Notional related fields
13Notional currency 1{CURRENCYCODE_3}
Bonds or other forms of securitised debt related fields
14Total issued nominal amount{DECIMAL-18/5}
15Maturity date{DATEFORMAT}
16Currency of nominal value{CURRENCYCODE_3}
17Nominal value per unit/minimum traded value{DECIMAL-18/5}
18Fixed rate

{DECIMAL-11/10}

Expressed as a percentage (e.g. 7.0 means 7 % and 0.3 means 0,3 %)

19Identifier of the index/benchmark of a floating rate bond{ISIN}
20Name of the index/benchmark of a floating rate bond

{INDEX}

Or

{ALPHANUM-25} — if the index name is not included in the {INDEX} list

21Term of the index/benchmark of a floating rate bond.

{INTEGER-3}+"DAYS" — days

{INTEGER-3}+"WEEK" — weeks

{INTEGER-3}+"MNTH" — months

{INTEGER-3}+"YEAR" — years

22Base Point Spread of the index/benchmark of a floating rate bond{INTEGER-5}
23Seniority of the bond

"SNDB" — Senior Debt

"MZZD" — Mezzanine

"SBOD" — Subordinated Debt

"JUND" — Junior Debt

Derivatives and Securitised Derivatives related fields
24Expiry date{DATEFORMAT}
25Price multiplier{DECIMAL-18/17}
26Underlying instrument code{ISIN}
27Underlying issuer{LEI}
28Underlying index name

{INDEX}

Or

{ALPHANUM-25} — if the index name is not included in the {INDEX} list

29Term of the underlying index

{INTEGER-3}+"DAYS" — days

{INTEGER-3}+"WEEK" — weeks

{INTEGER-3}+"MNTH" — months

{INTEGER-3}+"YEAR" — years

30Option type

"PUTO" — Put

"CALL" — Call

"OTHR" — where it cannot be determined whether it is a call or a put

31Strike price

{DECIMAL-18/13} in case the price is expressed as monetary value

{DECIMAL-11/10} in case the price is expressed as percentage or yield

{DECIMAL-18/17} in case the price is expressed as basis points

"PNDG" in case the price is not available

32Strike price currency{CURRENCYCODE_3}
33Option exercise style

"EURO" — European

"AMER" — American

"ASIA" — Asian

"BERM" — Bermudan

"OTHR" — Any other type

34Delivery type

"PHYS" — Physically Settled

"CASH" — Cash settled

"OPTN" — Optional for counterparty or when determined by a third party

Commodity and emission allowances derivatives
35Base productOnly values in the "Base product" column of the classification of commodities and emission allowances derivatives table are allowed.
36Sub productOnly values in the "Sub product" column of the classification of commodities and emission allowances derivatives table are allowed.
37Further sub productOnly values in the "Further sub product" of the classification of commodities and emission allowances derivatives table are allowed.
38Transaction type

"FUTR" — Futures

"OPTN" — Options

"TAPO" — TAPOS

"SWAP" — SWAPS

"MINI" — Minis

"OTCT" — OTC

"ORIT" — Outright

"CRCK" — Crack

"DIFF" — Differential

"OTHR" — Other

39Final price type

"ARGM" — Argus/McCloskey

"BLTC" — Baltic

"EXOF" — Exchange

"GBCL" — GlobalCOAL

"IHSM" — IHS McCloskey

"PLAT" — Platts

"OTHR" — Other

Interest rate derivatives

 

  • (—

    The fields in this section should only be populated for instruments that have non-financial instrument of type interest rates as underlying.

 

40Reference rate

{INDEX}

Or

{ALPHANUM-25}- if the reference rate is not included in the {INDEX} list

41IR Term of contract

{INTEGER-3}+"DAYS" — days

{INTEGER-3}+"WEEK" — weeks

{INTEGER-3}+"MNTH" — months

{INTEGER-3}+"YEAR" — years

42Notional currency 2{CURRENCYCODE_3}
43Fixed rate of leg 1

{DECIMAL -11/10}

Expressed as a percentage (e.g. 7.0 means 7 % and 0.3 means 0,3 %)

44Fixed rate of leg 2

{DECIMAL -11/10}

Expressed as a percentage (e.g. 7.0 means 7 % and 0.3 means 0,3 %)

45Floating rate of leg 2

{INDEX}

Or

{ALPHANUM-25} — if the reference rate is not included in the {INDEX} list

46IR Term of contract of leg 2

{INTEGER-3}+"DAYS" — days

{INTEGER-3}+"WEEK" — weeks

{INTEGER-3}+"MNTH" — months

{INTEGER-3}+"YEAR" — years

Foreign exchange derivatives

 

  • (—

    The fields in this section should only be populated for instruments that have non-financial instrument of type foreign exchange as underlying.

 

47Notional currency 2{CURRENCYCODE_3}
48FX Type

"FXCR" — FX Cross Rates

"FXEM" — FX Emerging Markets

"FXMJ" — FX Majors