Indicates order settlement period. If present, FutSettDate (64) overrides this field. If both SettlmntTyp (63) and FutSettDate (64) are omitted, the default for SettlmntTyp (63) is 0 (Regular).
Regular is defined as the default settlement period for the particular security on the exchange of execution.
Valid values:
| '0' | Regular |
| '1' | Cash |
| '2' | Next Day |
| '3' | T+2 |
| '4' | T+3 |
| '5' | T+4 |
| '6' | Future |
| '7' | When Issued |
| '8' | Sellers Option |
| '9' | T+5 |
| 'A' | T+1 |
Used in:
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