Home Technical Standards 2019 | Commission Implementing Regulation (EU) 2019/363 ANNEX I Formats to be used for reports on the details of securities financing transactions, as referred to in Article 4(1) and (5) of Regulation (EU) 2015/2365 Table 1 Counterparty Data Table 2 Loan and Collateral Data Table 3 Margin Data Table 4 Re-use, Cost Reinvestment and Funding Sources Data Table 5 Classification of Commodities
You are viewing ANNEX I Formats to be used for reports on the details of securities financing transactions, as referred to in Article 4(1) and (5) of Regulation (EU) 2015/2365 Table 1 Counterparty Data Table 2 Loan and Collateral Data Table 3 Margin Data Table 4 Re-use, Cost Reinvestment and Funding Sources Data Table 5 Classification of Commodities as of ANNEX I Formats to be used for reports on the details of securities financing transactions, as referred to in Article 4(1) and (5) of Regulation (EU) 2015/2365 Table 1 Counterparty Data Table 2 Loan and Collateral Data Table 3 Margin Data Table 4 Re-use, Cost Reinvestment and Funding Sources Data Table 5 Classification of Commodities was last updated on 01/01/2021.

ANNEX I Formats to be used for reports on the details of securities financing transactions, as referred to in Article 4(1) and (5) of Regulation (EU) 2015/2365 Table 1 Counterparty Data Table 2 Loan and Collateral Data Table 3 Margin Data Table 4 Re-use, Cost Reinvestment and Funding Sources Data Table 5 Classification of Commodities

ANNEX I Formats to be used for reports on the details of securities financing transactions, as referred to in Article 4(1) and (5) of Regulation (EU) 2015/2365 Table 1 Counterparty Data Table 2 Loan and Collateral Data Table 3 Margin Data Table 4 Re-use, Cost Reinvestment and Funding Sources Data Table 5 Classification of Commodities

01/01/2021EU

Table 1 Counterparty Data 

NoFieldFormat
1Reporting timestampISO 8601 date in the format and Coordinated Universal Time (UTC) time format, i.e. YYYY-MM-DDThh:mm:ssZ
2Report submitting entityISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
3Reporting counterpartyISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
4[deleted][deleted]
5Sector of the reporting counterparty

Taxonomy for Financial Counterparties:

"CDTI" - Credit institution which is a CRR firm (within the definition in Article 4(1)(2A) of the Capital Requirements Regulation) or a third country entity that would be such an entity if its registered office or, if it has no registered office, its head office, were in the United Kingdom.

"INVF" - Investment firm within the meaning given in Article 2(1A) of the MIFIR which:

(i) has its registered office or head office in the United Kingdom;

(ii) has permission under Part 4A of the FSMA to carry on regulated activities relating to investment services and activities (as defined in Article 2(1)(2) of the MIFIR) in the United Kingdom;

(iii) would require authorisation under Directive 2014/65/EU (as it had effect immediately before IP completion day) if it had its registered office (or if it does not have a registered office, its head offices) in an EEA state;

(iv) is not a firm which has permission under Part 4A of the FSMA to carry on regulated activities as an exempt investment firm, within the meaning of regulation 8 of the Financial Services and Markets Act 2000 (Markets in Financial Instruments) Regulations 2017;

or a third-country entity that would be such an entity if its registered office or head office were in the United Kingdom.

"INUN" - Insurance undertaking as defined in section 417 of the FSMA, or a third-country entity that would be such an entity if it had its head office in the United Kingdom.

"AIFD" - AIF (within the definition in regulation 3 of the Alternative Investment Fund Managers Regulations 2013) managed by AIFMs (within the definition in regulation 4 of those Regulations) authorized or registered in accordance with those Regulations, or a third- country entity which would require authorisation or registration in accordance with that legislative act but for the fact that it is a third country entity.

"ORPI" - Institution for occupational retirement provision within the meaning of section 1(1) of the Pension Schemes Act 1993 or a third-country entity which would come within that definition if its main administration were in the United Kingdom.

"CCPS" - Central counterparty authorized in accordance with Regulation (EU) No 648/2012 of the European Parliament and of the Council or a third-country entity which would require authorisation or registration in accordance with that legislative act

"REIN" - Reinsurance undertaking as defined in section 417 of the FSMA or a third-country entity which would come within that definition if it had its head office in the United Kingdom.

"CSDS" - Central securities depository authorized in accordance with Regulation (EU) No 909/2014 of the European Parliament and of the Council or a third-country entity which would require authorisation or registration in accordance with that legislative act

‘UCIT’ – UK UCITS (within the definition in section 237(3) of the FSMA) and its management company (within the definition in section 237(2) of the FSMA), authorized in accordance with Directive 2009/65/EC of the European Parliament and of the Council or a third- country entity which would require authorisation or registration in accordance with that legislative act if its management company were established in the United Kingdom.

6Additional sector classification

"ETFT" - ETF

"MMFT" - MMF

"REIT" - REIT

"OTHR" - Other

7Branch of the reporting counterpartyISO 3166-1 alpha-2 country code 2 alphabetic characters.
8Branch of the other counterpartyISO 3166-1 alpha-2 country code 2 alphabetic characters.
9Counterparty side

"TAKE" - Collateral taker

"GIVE" - Collateral provider

10Entity responsible for the reportISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
11Other counterparty

ISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.

Client code (up to 50 alphanumeric characters).

12Country of the other CounterpartyISO 3166-1 alpha-2 country code 2 alphabetic characters.
13Beneficiary

ISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.

Client code (up to 50 alphanumeric characters).

14Tri-party agentISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
15BrokerISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
16Clearing memberISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
17Central Securities Depository ("CSD") participant or indirect participantISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
18Agent lenderISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.

Table 2 Loan and Collateral Data 

NoFieldFormat
1Unique Trade Identifier (UTI)

Up to 52 alphanumeric character code including four special characters:

Only upper-case alphabetic characters A-Z and the digits 0-9, inclusive in both cases, are allowed.

2Report tracking number

Up to 52 alphanumeric character code including four special characters:

Only upper-case alphabetic characters A-Z and the digits 0-9, inclusive in both cases, are allowed.

3Event dateISO 8601 date in the format YYYY-MM-DD
4Type of SFT

"SLEB" - securities or commodities lending or securities or commodities borrowing

"SBSC" - buy-sell back transaction or sell-buy back transaction

"REPO" - repurchase transaction

"MGLD" - margin lending transaction

5Cleared

"true"

"false"

6Clearing timestampISO 8601 date in the format and Coordinated Universal Time (UTC) time format, i.e. YYYY-MM-DDThh:mm:ssZ
7CCPISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
8Trading venue

ISO 10383 Market Identifier Code (MIC), 4 alphanumeric characters.

Where segmental MICs exist for a trading venue, the segmental MIC shall be used.

9Master agreement type

"MRAA" - MRA

"GMRA" - GMRA

"MSLA" - MSLA

"GMSL" - GMSLA

"ISDA" - ISDA

"DERP" - Deutscher Rahmenvertrag für Wertpapierpensionsgeschäfte

"CNBR" - China Bond Repurchase Master Agreement,

"KRRA" - Korea Financial Investment Association (KOFIA) Standard Repurchase Agreement

"CARA" - Investment Industry Regulatory Organization of Canada (IIROC) Repurchase/Reverse Repurchase Transaction Agreement

"FRFB" - Convention-Cadre Relative aux Operations de Pensions Livrees,

"CHRA" -Swiss Master Repurchase Agreement

"DEMA" - German Master Agreement

"JPBR" - Japanese Master Agreement on the Transaction with Repurchase Agreement of the Bonds

"ESRA" - Contrato Marco de compraventa y Reporto de valores

"OSLA" - Overseas Securities Lending Agreement (OSLA)

"MEFI" - Master Equity and Fixed Interest Stock Lending Agreement (MEFISLA)

"GESL" - Gilt Edged Stock Lending Agreement (GESLA)

"KRSL" - Korean Securities Lending Agreement (KOSLA)

"DERD" - Deutscher Rahmenvertrag für Wertpapierdarlehen

"AUSL" - Australian Masters Securities Lending Agreement (AMSLA)

"JPBL" - Japanese Master Agreement on Lending Transaction of Bonds

"JPSL" - Japanese Master Agreement on the Borrowing and Lending Transactions of Share Certificates

"BIAG" - bilateral agreement

"CSDA" - CSD bilateral agreement

Or "OTHR" if the master agreement type is not included in the above list

10Other master agreement typeUp to 50 alphanumeric characters.
11Master agreement versionISO 8601 date in the format YYYY
12Execution timestampISO 8601 date in the format and Coordinated Universal Time (UTC) time format, i.e. YYYY-MM-DDThh:mm:ssZ
13Value date (Start date)ISO 8601 date in the format YYYY-MM-DD
14Maturity date (End date)ISO 8601 date in the format YYYY-MM-DD
15Termination dateISO 8601 date in the format YYYY-MM-DD
16Minimum notice periodInteger field up to 3 digits.
17Earliest call-back dateISO 8601 date in the format YYYY-MM-DD
18General collateral Indicator

"SPEC" - specific collateral

"GENE" - general collateral

19Delivery By Value ("DBV") indicator

"true"

"false"

20Method used to provide collateral

"TTCA"- title transfer collateral arrangement

"SICA"- securities financial collateral arrangement

"SIUR"- securities financial collateral arrangement with the right of use

21Open term

"true"

"false"

22Termination optionality

"EGRN" - evergreen

"ETSB" - extendable

"NOAP" - non applicable

In the case of margin lending, the attributes listed in fields 23-34 shall be repeated and completed for each currency used in the margin loan.
23Fixed rate

Up to 11 numeric characters including up to 10 decimals expressed as percentage where 100 % is represented as "100".

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

24Day count convention

The code representing day count convention:

"A001" - IC30360ISDAor30360AmericanBasicRule

"A002" - IC30365

"A003" - IC30Actual

"A004" - Actual360

"A005" - Actual365Fixed

"A006" - ActualActualICMA

"A007" - IC30E360orEuroBondBasismodel1

"A008" - ActualActualISDA

"A009" - Actual365LorActuActubasisRule

"A010" - ActualActualAFB

"A011" - IC30360ICMAor30360basicrule

"A012" - IC30E2360orEurobondbasismodel2

"A013" - IC30E3360orEurobondbasismodel3

"A014" - Actual365NL

Or up to 35 alphanumeric characters if the day count convention is not included in the above list.

25Floating rate

The code representing the floating rate index

"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

Or up to 25 alphanumeric characters if the reference rate is not included in the above list.

26Floating rate reference period - time period

Time period describing reference period, whereby the following abbreviations apply:

"YEAR" - Year

"MNTH" - Month

"WEEK" - Week

"DAYS" - Day

27Floating rate reference period - multiplier

Integer multiplier of the time period describing reference period of the floating rate.

Up to 3 numeric characters.

28Floating rate payment frequency - time period

Time period describing how often the counterparties exchange payments, whereby the following abbreviations apply:

"YEAR" - Year

"MNTH" - Month

"WEEK" - Week

"DAYS" - Day

29Floating rate payment frequency - multiplier

Integer multiplier of the time period describing how often the counterparties exchange payments.

Up to 3 numeric characters.

30Floating rate reset frequency - time period

Time period describing how often the counterparties reset the floating repo rate, whereby the following abbreviations apply:

"YEAR" - Year

"MNTH" - Month

"WEEK" - Week

"DAYS" - Day

31Floating rate reset frequency - multiplier

Integer multiplier of the time period describing how often the counterparties reset the floating repo rate.

Up to 3 numeric characters.

32SpreadUp to 5 numeric characters.
33Margin lending currency amount

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

34Margin lending currencyISO 4217 Currency Code, 3 alphabetic characters.
Fields 35-36 shall be repeated and completed for each floating rate adjustment.
35Adjusted rate

Up to 11 numeric characters including up to 10 decimals expressed as percentage where 100 % is represented as "100".

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

36Rate dateISO 8601 date in the format YYYY-MM-DD
37Principal amount on the value date

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

38Principal amount on the maturity date

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

39Principal amount currencyISO 4217 Currency Code, 3 alphabetic characters.
40Type of asset

"SECU" - Securities

"COMM" - Commodities

41Security identifierISO 6166 ISIN 12 character alphanumeric code.
42Classification of a securityISO 10692 CFI, 6 characters alphabetical code.
Where a commodity was lent or borrowed, the classification of that commodity shall be specified in fields 43, 44 and 45.
43Base productOnly values in the "Base product" column of the classification of commodities derivatives table are allowed.
44Sub - productOnly values in the "Sub - product" column of the classification of commodities derivatives table are allowed.
45Further sub - productOnly values in the "Further sub - product" of the classification of commodities derivatives table are allowed.
46Quantity or nominal amount

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

47Unit of measure"KILO" - Kilogram, "PIEC" - Piece, "TONS" - Ton, "METR" - Metre, "INCH" - Inch, "YARD" - Yard, "GBGA" - GBGallon, "GRAM" - Gram, "CMET" - Centimetre, "SMET" - SquareMetre, "FOOT" - Foot, "MILE" - Mile, "SQIN" - SquareInch, "SQFO" - SquareFoot, "SQMI" - SquareMile, "GBOU" - GBOunce, "USOU" - USOunce, "GBPI" - GBPint, "USPI" - USPint, "GBQA" - GBQuart, "USQA" - USQuart, "USGA" - USGallon, "MMET" - Millimetre, "KMET" - Kilometre, "SQYA" - SquareYard, "ACRE" - Acre, "ARES" - Are, "SMIL" - SquareMillimetre, "SCMT" - SquareCentimetre, "HECT" - Hectare, "SQKI" - SquareKilometre, "MILI" - MilliLitre, "CELI" - Centilitre, "LITR" - Litre, "PUND" - Pound, "ALOW" - Allowances, "ACCY" - AmountOfCurrency, "BARL" - Barrels, "BCUF" - BillionCubicFeet, "BDFT" - BoardFeet, "BUSL" - Bushels, "CEER" - CertifiedEmissionsReduction, "CLRT" - ClimateReserveTonnes, "CBME" - CubicMeters, "DAYS" - Days, "DMET" - DryMetricTons, "ENVC" - EnvironmentalCredit, "ENVO" - EnvironmentalOffset, "HUWG" - Hundredweight, "KWDC" - KilowattDayCapacity, "KWHO" - KilowattHours, "KWHC" - KilowattHoursCapacity, "KMOC" - KilowattMinuteCapacity, "KWMC" - KilowattMonthCapacity, "KWYC" - KilowattYearCapacity, "MWDC" - MegawattDayCapacity, "MWHO" - MegawattHours, "MWHC" - MegawattHoursCapacity, "MWMC" - MegawattMinuteCapacity, "MMOC" - MegawattMonthCapacity, "MWYC" - MegawattYearCapacity, "TONE" - MetricTons, "MIBA" - MillionBarrels, "MBTU" - OneMillionBTU, "OZTR" - TroyOunces, "UCWT" - USHundredweight, "IPNT" - IndexPoint, "PWRD" - PrincipalWithRelationToDebtInstrument, "DGEU" - DieselGallonEquivalent, "GGEU" - GasolineGallonEquivalent, "TOCD" - TonsOfCarbonDioxide.
48Currency of nominal amountISO 4217 Currency Code, 3 alphabetic characters.
49Security or commodity price

Up to 18 numeric characters including up to 5 decimals in case the price is expressed units.

Up to 11 numeric characters including up to 10 decimals in case the price is expressed as percentage or yield.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

50Price currencyISO 4217 Currency Code, 3 alphabetic characters.
51Security quality

"INVG" - Investment grade

"NIVG" - Non-investment grade

"NOTR" - Non-rated

"NOAP" - Not applicable

52Maturity of the securityISO 8601 date in the format YYYY-MM-DD
53Jurisdiction of the issuerISO 3166-1 alpha-2 country code, 2 alphabetic characters.
54LEI of the issuerISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
55Security type

"GOVS" - Government securities

"SUNS" - Supra-nationals and agencies securities

"FIDE" - Debt securities (including covered bonds) issued by banks and other financial institutions

"NFID" - Corporate debt securities (including covered bonds) issued by non-financial institutions

"SEPR" - Securitized products (including CDO, CMBS, ABCP)

"MEQU" - Main index equities (including convertible bonds)

"OEQU" - Other equities (including convertible bonds)

"OTHR"- Other assets (including shares in mutual funds)

56Loan value

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

57Market value

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

58Fixed rebate rate

Up to 11 numeric characters including up to 10 decimals expressed as percentage where 100 % is represented as "100".

The negative symbol, if populated, shall not be counted as a numerical character.

59Floating rebate rate

The code representing the floating rate index

"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

Or up to 25 alphanumeric characters if the reference rate is not included in the above list

60Floating rebate rate reference period - time period

Time period describing reference period, whereby the following abbreviations apply:

"YEAR" - Year

"MNTH" - Month

"WEEK" - Week

"DAYS" - Day

61Floating rebate rate reference period - multiplier

Integer multiplier of the time period describing reference period of the floating rebate rate.

Up to 3 numeric characters.

62Floating rebate rate payment frequency - time period

Time period describing how often the counterparties exchange payments, whereby the following abbreviations apply:

"YEAR" - Year

"MNTH" - Month

"WEEK" - Week

"DAYS" - Day

63Floating rebate rate payment frequency - multiplier

Integer multiplier of the time period describing how often the counterparties exchange payments.

Up to 3 numeric characters.

64Floating rebate rate reset frequency - time period

Time period describing how often the counterparties reset the floating rebate rate, whereby the following abbreviations apply:

"YEAR" - Year

"MNTH" - Month

"WEEK" - Week

"DAYS" - Day

65Floating rebate rate reset frequency - multiplier

Integer multiplier of the time period describing how often the counterparties reset the floating rebate rate.

Up to 3 numeric characters.

66Spread of the rebate rateUp to 5 numeric characters.
67Lending feeUp to 11 numeric characters including up to 10 decimals expressed as percentage where 100 % is represented as "100".
68Exclusive arrangements

"true"

"false"

69Outstanding margin loan

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

70Base currency of outstanding margin loanISO 4217 Currency Code, 3 alphabetic characters.
71Short market value

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

Collateral data
72Uncollateralised Securities Lending ("SL") flag

"true"

"false"

73Collateralisation of net exposure

"true"

"false"

74Value date of the collateralISO 8601 date in the format YYYY-MM-DD
Where specific collateral was used, fields 75 to 94 shall be repeated and completed for each component of collateral, where applicable.
75Type of collateral component

"SECU" - Securities

"COMM" - Commodities (only for repos, securities and commodities lending and borrowing and buy-sell backs)

"CASH" - Cash

Where cash was used as collateral, this shall be specified in fields 76 and 77.
76Cash collateral amount

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

77Cash collateral currencyISO 4217 Currency Code, 3 alphabetic characters.
78Identification of a security used as collateralISO 6166 ISIN 12 character alphanumeric code.
79Classification of a security used as collateralISO 10692 CFI, 6 characters alphabetical code.
Where a commodity was used as collateral, the classification of that commodity shall be specified in fields 80, 81 and 82.
80Base productOnly values in the "Base product" column of the classification of commodities derivatives table are allowed.
81Sub - productOnly values in the "Sub - product" column of the classification of commodities derivatives table are allowed.
82Further sub - productOnly values in the "Further sub - product" of the classification of commodities derivatives table are allowed.
83Collateral quantity or nominal amount

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

84Collateral unit of measure"KILO" - Kilogram, "PIEC" - Piece, "TONS" - Ton, "METR" - Metre, "INCH" - Inch, "YARD" - Yard, "GBGA" - GBGallon, "GRAM" - Gram, "CMET" - Centimetre, "SMET" - SquareMetre, "FOOT" - Foot, "MILE" - Mile, "SQIN" - SquareInch, "SQFO" - SquareFoot, "SQMI" - SquareMile, "GBOU" - GBOunce, "USOU" - USOunce, "GBPI" - GBPint, "USPI" - USPint, "GBQA" - GBQuart, "USQA" - USQuart, "USGA" - USGallon, "MMET" - Millimetre, "KMET" - Kilometre, "SQYA" - SquareYard, "ACRE" - Acre, "ARES" - Are, "SMIL" - SquareMillimetre, "SCMT" - SquareCentimetre, "HECT" - Hectare, "SQKI" - SquareKilometre, "MILI" - MilliLitre, "CELI" - Centilitre, "LITR" - Litre, "PUND" - Pound, "ALOW" - Allowances, "ACCY" - AmountOfCurrency, "BARL" - Barrels, "BCUF" - BillionCubicFeet, "BDFT" - BoardFeet, "BUSL" - Bushels, "CEER" - CertifiedEmissionsReduction, "CLRT" - ClimateReserveTonnes, "CBME" - CubicMeters, "DAYS" - Days, "DMET" - DryMetricTons, "ENVC" - EnvironmentalCredit, "ENVO" - EnvironmentalOffset, "HUWG" - Hundredweight, "KWDC" - KilowattDayCapacity, "KWHO" - KilowattHours, "KWHC" - KilowattHoursCapacity, "KMOC" - KilowattMinuteCapacity, "KWMC" - KilowattMonthCapacity, "KWYC" - KilowattYearCapacity, "MWDC" - MegawattDayCapacity, "MWHO" - MegawattHours, "MWHC" - MegawattHoursCapacity, "MWMC" - MegawattMinuteCapacity, "MMOC" - MegawattMonthCapacity, "MWYC" - MegawattYearCapacity, "TONE" - MetricTons, "MIBA" - MillionBarrels, "MBTU" - OneMillionBTU, "OZTR" - TroyOunces, "UCWT" - USHundredweight, "IPNT" - IndexPoint, "PWRD" - PrincipalWithRelationToDebtInstrument, "DGEU" - DieselGallonEquivalent, "GGEU" - GasolineGallonEquivalent, "TOCD" - TonsOfCarbonDioxide.
85Currency of collateral nominal amountISO 4217 Currency Code, 3 alphabetic characters.
86Price currencyISO 4217 Currency Code, 3 alphabetic characters.
87Price per unit

Up to 18 numeric characters including up to 5 decimals in case the price is expressed in units.

Up to 11 numeric characters including up to 10 decimals in case the price is expressed as percentage or yield.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

88Collateral market value

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

89Haircut or margin

Up to 11 numeric characters including up to 10 decimals expressed as percentage where 100 % is represented as "100".

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

90Collateral quality

"INVG" - Investment grade

"NIVG" - Non-investment grade

"NOTR" - Non-rated

"NOAP" - Not applicable

91Maturity date of the securityISO 8601 date in the format YYYY-MM-DD
92Jurisdiction of the issuerISO 3166-1 alpha-2 country code, 2 alphabetic characters.
93LEI of the issuerISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
94Collateral type

"GOVS" - Government securities

"SUNS" - Supra-nationals and agencies securities

"FIDE" - Debt securities (including covered bonds) issued by banks and other financial institutions

"NFID" - Corporate debt securities (including covered bonds) issued by non-financial institutions

"SEPR" - Securitized products (including CDO, CMBS, ABCP)

"MEQU" - Main index equities (including convertible bonds)

"OEQU" - Other equities (including convertible bonds)

"OTHR"- Other assets (including shares in mutual funds)

95Availability for collateral reuse

"true"

"false"

Field 96 shall be specified in the case where a collateral basket was used. The detailed allocation of collateral for SFTs transacted against a collateral pool shall be specified in fields 75 to 94 when available.
96Collateral basket identifier

ISO 6166 ISIN 12 character alphanumeric code, or

"NTAV"

97Portfolio code

52 alphanumeric character code including four special characters:

.- _.

Special characters are not allowed at the beginning and at the end of the code. No space allowed.

98Action type

"NEWT" - New

"MODI" - Modification

"VALU" - Valuation

"COLU" - Collateral update

"EROR" - Error

"CORR" - Correction

"ETRM" - Termination/Early Termination

"POSC" - Position component

99Level

"TCTN" - Transaction

"PSTN" - Position

Table 3 Margin Data 

NoFieldFormat
1Reporting timestampISO 8601 date in the format and Coordinated Universal Time (UTC) time format, i.e. YYYY-MM-DDThh:mm:ssZ
2Event dateISO 8601 date in the format YYYY-MM-DD
3Report submitting entityISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
4Reporting CounterpartyISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
5Entity responsible for the reportISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
6Other counterpartyISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
7Portfolio code

52 alphanumeric character code including four special characters:

.- _.

Special characters are not allowed at the beginning and at the end of the code. No space allowed.

8Initial margin posted

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

9Currency of the initial margin postedISO 4217 Currency Code, 3 alphabetic characters.
10Variation margin posted

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

11Currency of the variation margin postedISO 4217 Currency Code, 3 alphabetic characters.
12Initial margin received

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

13Currency of the initial margin receivedISO 4217 Currency Code, 3 alphabetic characters.
14Variation margin received

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

15Currency of the variation margin receivedISO 4217 Currency Code, 3 alphabetic characters.
16Excess collateral posted

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

17Currency of the excess collateral postedISO 4217 Currency Code, 3 alphabetic characters.
18Excess collateral received

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

19Currency of the excess collateral receivedISO 4217 Currency Code, 3 alphabetic characters.
20Action type

"NEWT" - New

"MARU" - Margin update

"EROR" - Error

"CORR" - Correction

Table 4 Re-use, Cash Reinvestment and Funding Sources Data 

NoFieldFormat
1Reporting timestampISO 8601 date in the format and UTC time format, i.e. YYYY-MM-DDThh:mm:ssZ
2Event dateISO 8601 date in the format YYYY-MM-DD
3Report submitting entityISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
4Reporting counterpartyISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
5Entity responsible for the reportISO 17442 Legal Entity Identifier (LEI) 20 alphanumeric character code.
Field 6 shall be repeated and completed for each collateral component.
6Type of collateral component

"SECU" - Securities

"CASH" - Cash

Fields 7, 8, 9 and 10 shall be repeated and completed for each security.
7Collateral componentISO 6166 ISIN 12 character alphanumeric code.
8Value of reused collateral

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

9Estimated reuse of collateral

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

10Reused collateral currencyISO 4217 Currency Code, 3 alphabetic characters.
11Reinvestment RateUp to 11 numeric characters including up to 10 decimals expressed as percentage where 100 % is represented as "100".
Fields 12, 13 and 14 shall be repeated and completed for each investment where cash collateral has been re-invested and in respect of each currency.
12Type of re-invested cash investment

"MMFT" - registered money market fund

"OCMP" - any other commingled pool

"REPM" - the repo market

"SDPU" - direct purchase of securities

"OTHR" - other

13Re-invested cash amount

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character. If populated, it shall be represented with a dot.

14Re-invested cash currencyISO 4217 Currency Code, 3 alphabetic characters.
In the case of margin lending transactions, the counterparty shall repeat and complete fields 15, 16 and 17 for each funding source and shall provide the information in these fields at entity level.
15Funding sources

"REPO" - repos or BSB

"SECL" - cash collateral from securities lending

"FREE" - free credits

"CSHS" - proceeds from customer short sales

"BSHS" - proceeds from broker short sales

"UBOR" - unsecured borrowing

"OTHR" - other

16Market value of the funding sources

Up to 18 numeric characters including up to 5 decimals.

The decimal mark is not counted as a numeric character.

If not possible, pro rata amount.

17Funding sources currencyISO 4217 Currency Code, 3 alphabetic characters.
18Action type

"NEWT" - New

"REUU" - reuse update

"EROR" - Error

"CORR" - Correction

Table 5 Classification of commodities 

Base productSub — productFurther sub — product
"AGRI" - Agricultural"GROS" - Grains 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"

"OTHR" - Other

"DIRY"- Dairy 
"FRST" - Forestry 
"SEAF" - Seafood 
"LSTK" - Livestock 
"GRIN" - Grain

"MWHT" - Milling Wheat

"OTHR" - Other

"OTHR" - Other 
"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

"OTHR" - Other

"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

"OTHR" - Other

"COAL"- Coal

"INRG" - Inter Energy

"RNNG" - Renewable energy

"LGHT" - Light ends

"DIST" – Distillates

"OTHR" - Other

 
"ENVR" - Environmental"EMIS" - Emissions

"CERE" - CER

"ERUE" - ERU

"EUAE" - EUA

"EUAA" - EUAA

"OTHR"- Other

"WTHR" - Weather

"CRBR" - Carbon related'

"OTHR" - Other

 
"FRGT" -"Freight""WETF" - Wet

"TNKR" - Tankers

"OTHR" - Other

"DRYF" - Dry

"DBCR" - Dry bulk carriers

"OTHR" - Other

"CSHP" - Containerships 
"OTHR" - Other 
"FRTL" -"Fertilizer"

"AMMO" - Ammonia

"DAPH" - DAP (Diammonium Phosphate)

"PTSH" - Potash

"SLPH" - Sulphur

"UREA" - Urea

"UAAN" - UAN (urea and ammonium nitrate)

"OTHR" - Other

 
"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

"OTHR" - Other

 
"POLY" - Polypropylene'

"PLST" – Plastic

"OTHR" - Other

 
"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  
"OTHR" - Other