NSD’s trade repository messages specifications

Current specification

ExchangeTradedContract

FieldTypeDescriptionPrint form titleFFSM titlePropertiesConditions
@idxsd:ID1-1
instrumentIdInstrumentIdIdentification of the underlying asset, using public and/or private identifiers.Asset identifier.Underlying asset code.0-∞, mre, mfr
descriptionxsd:stringLong name of the underlying asset.Asset description.0-1, afr
currencyIdentifiedCurr​encyTrading currency of the underlyer when transacted as a cash instrument.Trading currency of the asset.0-1, ncf
exchangeIdExchangeIdIdentification of the exchange on which this asset is transacted for the purposes of calculating a contractural payoff. The term "Exchange" is assumed to have the meaning as defined in the ISDA 2002 Equity Derivatives Definitions. Identification of the exchange.0-1, ncf
clearanceSystemClearanceSystemIdentification of the clearance system associated with the transaction exchange.Identification of the clearance system.0-1, ncf
definitionProductReferen​ceAn optional reference to a full FpML product that defines the simple product in greater detail. In case of inconsistency between the terms of the simple product and those of the detailed definition, the values in the simple product override those in the detailed definition. Reference to a detailed product description.0-1, ncfAt the first stage this element is not used in the repository messages.
relatedExchang​eIdExchangeIdA short form unique identifier for a related exchange. If the element is not present then the exchange shall be the primary exchange on which listed futures and options on the underlying are listed. The term "Exchange" is assumed to have the meaning as defined in the ISDA 2002 Equity Derivatives Definitions. Related exchange identifier.0-∞, ncfAt the first stage this element is not used in the repository messages.
optionsExchang​eIdExchangeIdA short form unique identifier for an exchange on which the reference option contract is listed. This is to address the case where the reference exchange for the future is different than the one for the option. The options Exchange is referenced on share options when Merger Elections are selected as Options Exchange Adjustment. Options exchange identifier.0-∞, ncfAt the first stage this element is not used in the repository messages.
specifiedExcha​ngeIdExchangeIdA short form unique identifier for a specified exchange. If the element is not present then the exchange shall be default terms as defined in the MCA; unless otherwise specified in the Transaction Supplement. Exchange identifier.0-∞, ncfAt the first stage this element is not used in the repository messages.
multiplierxsd:positiveIn​teger0-1
contractRefere​ncexsd:string0-1
expirationDateAdjustableOrRe​lativeDate0-1
ExchangeTradedContract