NSD’s trade repository messages specifications

Current specification

FxOptionPremium

A type that specifies the premium exchanged for a single option trade or option strategy.

FieldTypeDescriptionPrint form titleFFSM titlePropertiesConditions
@idxsd:ID1-1, ncf
payerPartyRefe​rencePartyReferenceA reference to the party responsible for making the payments defined by this structure.Payer.Party code.0-1, mre, mfr
payerAccountRe​ferenceAccountReferen​ceA reference to the account of the payer party (specified by payerPartyReference) responsible for making the payments defined by this structure. Payer's account.Party's client.0-1, ncfAt the first stage this element is not used in the repository messages.
receiverPartyR​eferencePartyReferenceA reference to the party that receives the payments corresponding to this structure.Receiver.Party code.0-1, mre, mfr
receiverAccoun​tReferenceAccountReferen​ceA reference to the account of the receiver party (specified by receiverPartyReference) that receives the payments corresponding to this structure. Receiver's account.Party's client.0-1, ncfAt the first stage this element is not used in the repository messages.
paymentDateAdjustableOrRe​lativeDateThe payment date, which can be expressed as either an adjustable or relative date.Payment date.Payment date.0-1, ncf
paymentAmountNonNegativeMon​eyNon negative payment amount.Payment amount.1-1, mre
settlementInfo​rmationSettlementInfo​rmationThe information required to settle a currency payment that results from a trade.Settlement information.0-1, ncfThis is not used in messages to the repository.
quotePremiumQuoteThis is the option premium as quoted. It is expected to be consistent with the premiumAmount and is for information only. Premium quote.0-1, ncf
FxOptionPremium