Code Set SettlmntTypCodeSet Scenario base

SYNOPSIS: Indicates order settlement period. Absence of this field is interpreted as Regular. Regular is defined as the default settlement period for the particular security on the exchange of execution.

ID Datatype
63char

Codes

ID Name Value Description Supported Added EP Updated EP Deprecated EP
63001Regular0SYNOPSIS: Regular
FIX.2.7
63002Cash1SYNOPSIS: Cash
FIX.2.7
63003NextDay2SYNOPSIS: Next Day
FIX.2.7
63004TPlus23SYNOPSIS: T+2
FIX.2.7
63005TPlus34SYNOPSIS: T+3
FIX.2.7
63006TPlus45SYNOPSIS: T+4
FIX.2.7
63007Future6SYNOPSIS: Future
FIX.2.7
63008WhenAndIfIssued7SYNOPSIS: When Issued
FIX.2.7
63009SellersOption8SYNOPSIS: Sellers Option
FIX.2.7
63010TPlus59SYNOPSIS: T+ 5
FIX.3.0