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SWIFT ISO 15022 MESSAGES Corporate Actions relating to SWIFT Release 2012
December 2012
The information contained in this document may not be reproduced in any form without the express permission of BNP Paribas Securities Services and, in the case of such authorised use, care must be taken to ensure that this is a form which accurately reflects the information presented herein. Whilst BNP Paribas Securities Services believes that the information is correct at the date of issue, no warranty or representation is given to this effect and no responsibility can be accepted by BNP Paribas Securities Services to any intermediaries or end users for any action taken on the basis of the information.
TABLE OF CONTENTS:
1- INTRODUCTION .................................................................................................................................................................... 5
OVERVIEW OF THE MESSAGES DESCRIBED IN THIS USER GUIDE.................................................................................................................................................................................... 6
A. A. Mandatory Corporate Actions with securities movements: ......................................................................................................................... 8 Mandatory Corporate Actions with debit and credit securities movements ........................................................................................................................................... 8 Mandatory Corporate Actions with credit securities movements only .................................................................................................................................................. 17 B. B. Mandatory Corporate Actions with cash only: ............................................................................................................................................ 25 C. Mandatory Corporate Actions with cash & securities: ........................................................................................................................................................................ 35
2.2 - CORPORATE ACTIONS VOLUNTARY EVENTS ....................................................................................................................................................................................... 45
C. A. Voluntary Corporate actions with rights distribution or ex date ............................................................................................................... 45 Voluntary Corporate actions with rights distribution ............................................................................................................................................................................... 45
Payment with Cash Credit Only ................................................................................................................................................................................................................. 89 Payment with Securities movements ........................................................................................................................................................................................................ 94
1- INTRODUCTION
We are pleased to present our SWIFT ISO 15022 Messages Standard for Corporate Actions. This user guide provides some templates of corporate action SWIFT messages for the local custody product line of BNP Paribas. How to use this booklet: This booklet provides detailed templates of the MT 56X messages sent to you, sequence by sequence and field by field. It shows the mandatory or optional presence of the sequence or field. A sequence or a subsequence can be: 1) reported (Mandatory) or 2) reported in specific cases (Optional) or 3) never reported by BNP Paribas Securities Services (Not used) A field is considered as mandatory if this is a mandatory field for Swift or if an optional field has been made mandatory for BNP Paribas for processing purposes. The Following information is given for every field: - Qualifier (SWIFT standard) - Field definition (SWIFT definition) - Content (SWIFT description) - Example (SWIFT format, examples are related to BNP Paribas activity) - Comments (BNP Paribas): please read this column carefully, explanation, use and restrictions are detailed here. Should you need more information on the contents of this document, please contact us.
OVERVIEW OF THE MESSAGES DESCRIBED IN THIS USER GUIDE Messages are sent for each safekeeping custody account that you own with BNP Paribas, except for the pre-announcement where you have the choice to receive messages either for one account or for a set of your accounts (called client ID).
Message content Subscription Trigger Frequency
PRE-ANNOUNCEMENT (MT564)
For subscriptions only, with the following two options: - message sent on position only or systematic sending - message sent per safekeeping account or per client ID
Online
ANNOUNCEMENT (MT564)
For subscriptions only for Mandatory Corporate Actions NB: subscription is not needed for Voluntary Corporate Actions
Message sent for Voluntary Corporate Action for subscriptions only with the following option: - message sent on overnight batch or online
Sent when eligible positions are updated with eligible receipts or deliveries of securities concerned by the event
Reminder that all or part of eligible position is uninstructed for voluntary events
Sent at Day-2, Day-1 and Day of clients deadline date and as long as part of the eligible position is uninstructed
Message content
Subscription
Trigger Sent upon subscription either at D-3, D-2 or D-day before payable date.
Frequency
For subscriptions only with the following two options: - Offset of sending may be chosen at Day-3 or Day-2 or Day-1 of payment date - Re-sending of the message can be chosen: either the Pre advice is re-sent for any change on the message or the Pre advice is re-sent for any change except a position change
Depending of subscription option, the pre-advice is resent : - for any change on the message or - for any change except entitled position For clients with FOREX, one cash preadvice will be systematically resent on payable date morning Sent upon payment of the corporate action
Payment of the corporate action (cash amounts always in the event currency)
Additional information to the payment : Forex details and cash movements resulting from depository Forex or clients Forex
Systematic sending (subscription is not required) message linked to payment confirmation MT566
Sent online
Sent upon settlement of the trade (in addition to the clearing message)
Sent online
Sent when a blocking movement is triggered on old shares on the corporate action
2 - MT564 PRE-ANNOUNCE, ANNOUNCEMENT AND CASH PREADVICE 2.1 - CORPORATE ACTIONS MANDATORY
A. Mandatory Corporate Actions with securities movements:
Mandatory Corporate Actions with debit and credit securities movements Mandatory Corporate Actions such as: Assimilation (PARI), Stock Split (SPLF), Reverse Stock (DVSE), Merger (MRGR), Scrip DivIDend (DVSC), Conversion (CONV), Automatic warrants exercise (EXWA) and Redenomination (REDO) or ) or Credit Event (CREV), for which there is a debit of old securities and a credit of new securities will be announced according to the below template:
SEQUENCE A: Mandatory General Information
Field 16R BNP Paribas Status M Qualifier GENL Field Definition Start of the General Information block Corporate action reference Content Qualifier GENL Qualifier CORP followed by // Corporate Action Reference Qualifier SEME followed by // BNP Paribas Reference Qualifier NEWM when new first message Qualifier REPL when replacement message Qualifier WITH when cancellation by the market Qualifier CANC when cancellation by BNP Paribas :16R:GENL Example Comments
20C
CORP
:20C::CORP//16x
20C
Senders Reference Number NEWM : New notification REPL replacement of preliminary information previously sent WITH to cancel a notice already sent CANC to confirm a BNP Paribas cancellation
:20C::SEME//16x :23G:NEWM :23G:REPL :23G:WITH :23G:CANC Use of all message functions from NEWM to REPE Can be followed by the sub function: COPY This is a message sent simultaneously with the original message, as a copy.
23G
M WITH CANC
Field
Qualifier REPE
Content Qualifier REPE when cash Pre-advice Qualifier CAEV followed by // qualified generic field indicator Qualifier CAMV followed by // qualified MAND Qualifier PROC followed by // PREC for preliminary information or COMP for complete information or PREU for preliminary and unconfirmed information :23G:REPE
Example
Comments
22F
CAEV
22F
CAMV
25D
PROC
Processing status
OPTIONAL SUB SEQUENCE A1: Linkages: Subsequence used if in sequence A, field 23G is different from NEWM (Ex: REPL, CANC, WITH, or REPE)
Field 16R 22F BNP Paribas Status M O Qualifier LINK LINK Field Definition Start of the linkage block Linkage Type Indicator Content Qualifier LINK Qualifier LINK followed by // codeword INFO Qualifier LINK followed by // the type of transaction which is linked to this one Populated as564 when a MT564 has been previously sent Qualifier PREV followed by // the SEME of the previous message or in case of COPY message : the corporation action ID Qualifier LINK Qualifier GENL :16R:LINK :22F:LINK//INFO Example Comments
13A
LINK
:13A::LINK//564
M M M
Previous reference End of the linkage block End of the General Information block
SEQUENCE B: MANDATORY UNDERLYING SECURITIES: PARENTS SECURITY GENERATING THE CORPORATE ACTION
Field 16R BNP Paribas Status M Qualifier USECU Field Definition Start of Underlying Securities block Identification of Financial Instrument Content Qualifier USECU Example :16R:USECU Rare in case of several old shares: The ISIN code is the main ISIN code for the corporate action. For announce only: the ISIN codes of the other securities along with the details of their eligible position will be reported in tag 70E (ADTX) of sequence D. Comments
35B
10
OPTIONAL SUB SEQUENCE B1: FINANCIAL INSTRUMENT ATTRIBUTES: This sub-sequence will be activated only when the underlying security is a debt instrument
Field 16R 12A BNP Paribas Status M O Qualifier FIA CLAS Field Definition Start of FIA block Type of Financial Instrument Content Qualifier FIA Qualifier CLAS :16R:FIA :12A::CLAS Example Comments
Milan: Only the first and the second characters of the CFI category can be used.
94B
PLIS
Place of listing
O O O M
Qualifier PLIS followed by // EXCH (for Stock Exchange)/ MIC (Market identification Code of security) Qualifier DENO followed by // currency of debt instrument Qualifier MATU followed by // and the maturity date Qualifier ISSU followed by // and the issue date Qualifier FIA
:94B::PLIS//EXCH/ALXP Only for underlying securities Bonds or Notes :11A:: DENO//XXX :98A::MATU//YYYYMMDD :98A::ISSU//YYYYMMDD :16S:FIA
97A
SAFE
:97A::SAFE//GENR3893717
11
Field
Qualifier
Field Definition
Content
Example
Comments Rules about population of place types: CUST is followed by the BIC code of the depositary SHHE is used when no BIC code has been found for the depositary, it is followed by the ISO country code of the depositary ICSD is used for EUROCLEAR Luxembourg or CLEARSTREAM
94A
SAFE
Place of safekeeping
In option F : Qualifier SAFE followed by //Place Code and BIC code or In option B : Qualifier SAFE followed by//Place Code and depositary country
:94F::SAFE//CUST/PBESXXX or
:94B::SAFE//SHHE/ES or
:94F::SAFE//ICSD/CEDELULL
93A
ELIG
:93B::ELIG//FAMT/800, In option B : Qualifier ELIG followed by: //FAMT face amount :93B::ELIG//UNIT/800, or //UNIT number of shares Can be signed for negative position :93B::ELIG//UNIT/N1000 In option B : Qualifier SETT followed by: //FAMT face amount or //UNIT number of shares Can be signed for negative position In option B : Qualifier PEND followed by: //FAMT// face amount or //UNIT //number of shares This qualifier is never signed In option B : Qualifier PENR followed by: //FAMT// face amount or //UNIT //number of shares :93B::SETT//FAMT/1000, :93B::SETT//UNIT/1000, :93B::SETT//UNIT/N1000, :93B::PEND//FAMT/300, :93B::PEND//UNIT/300,
93A
SETT
93A
PEND
93A
PENR
:93B::PENR//FAMT/100,
93a 93a
O O
LOAN BORR
:93B::PENR//UNIT/100, This qualifier is never signed Qualifier LOAN followed by // and :93B::LOAN//UNIT/100, Eligible or non eligible quantity on loan Qualifier BORR followed by // and Eligible or non eligible quantity borrowed :93B::BORR//UNIT/100,
16S
ACCTINFO
:16S:ACCTINFO
12
Field 16S
Qualifier USECU
Example :16S:USECU
Comments
98A
XDTE
Ex-date
98A
EFFD
:98A::EFFD//YYYYMMDD
98A
RDTE
Record Date
:98A::RDTE//YYYYMMDD
98a
TSDT
In Option A: Qualifier TSDT followed by // and last trade date Or In Option B: Qualifier TSDT followed by OPENUKWN[SR2011]
:98A::TSDT//20070309 or :98B::TSDT//OPEN
13
Field Definition Meeting date/time Special Ex-date/time Result Publication Lottery date/Time Corporate Action event stage
Content Qualifier MEET followed by // and Shareholders Meeting date Qualifier SXDT followed by // and Special Ex-date/time Qualifier RESU followed by // and Result publication date Qualifier LOTO followed by // and date and/or time of lottery Qualifier ESTA followed by // and < code of CA event stage : SUAP or APPD or UNAC or WHOU >. Option E: Qualifier ADTX with the additional text Qualifier CADETL
Comments
For CA Type DRAW only ESTA//APPD Approved at the relevant meeting through consent or according to the terms of the event. ESTA//SUAP Subject to approval at the relevant meeting through consent or according to the terms of the CA event.
70 E 16S
O M
ADTX CADETL
:70E::ADTX// :16S:CADETL
14
Field
Qualifier
Field Definition
Content
Example
Comments Frankfurt: SECU, CASH and CASE Milan: CONV, for madatory conversion SECU FOR Increase, Decrease Athens : SECU Frankfurt: Yes Milan: Yes
22F
CAOP
CA option code
Qualifier CAOP followed by // SECU Qualifier DISF followed by // CINL, RDDN, RDUP, STAN, DIST, UKWN
:22F::CAOP//SECU
22F
DISF
Disposition of Fractions
17B
DFLT
22H
CRDB
Type of entries in order to specify Qualifier CRDB followed //DEBT either debit or credit
:22H::CRDB//DEBT
35B 16S
M M SECMOVE
Securities movements Start of subsequence Type of entries in order to specify Qualifier CRDB followed by//CRED either debit or credit
15
Qualifier TXAP
Field Definition
Content
Example :22H::TXAP//TXBL :35B:ISIN GB00B0D09R62 /HENDERSON GBL INVS/ :22F::DISF//RDDN or RDUP or CINL
Qualifier TXAP followed by // and Issuer/Offeror Taxability Indicator code TXBL Identification code of the rights or ISIN + ISIN code + Description of old securities Security
22F
DISF
Disposition of fractions
RDDN is used for rounding down to nearest integer , RDUP for rounding up to nearest integer CINL is used for take cash in lieu of fractions, Frankfurt : Yes Milan: No Athens: No
92A
NEWO
98A
PAYD
Payment date
Option D: Qualifier NEWO followed by the ratio or Option K: Qualifier NEWO followed by //OPEN (when ratio is unknown) Option A: Qualifier PAYD followed by the Payment date Options B: Qualifier PAYD followed by OPEN (when payment date is not determined) Option A: Qualifier DIVR followed by the coupon ranking date End of subsequence
:92D::NEWO//2,/1, :92K::NEWO//OPEN
:98A::PAYD//YYYYMMDD :98B::PAYD//OPEN
98A 16S
O M
DIVR SECMOVE
Date on which new securities will begin to accrue the value, or be entitled to a coupon Securities movements
:98A::DIVR//YYYYMMDD :16S:SECMOVE
70 E
COMP
95A 16S
O M
MERE ADDINFO
16
Mandatory Corporate Actions with credit securities movements only Mandatory Corporate Actions such as Bonus Issue (BONU), Spin Off (SOFF), Intermediate Securities Distribution (RHDI) or Credit Event (CREV) for which there is an only a credit of new securities will be announced according to the below template:
SEQUENCE A: M ANDATORY GENERAL INFORMATION
Field 16R 20C 20C BNP Paribas Status M M M Qualifier GENL CORP SEME NEWM REPL 23G M WITH CANC REPE 22F 22F M M CAEV CAMV Field Definition Start of the General Information block Corporate action reference Senders Reference Number NEWM : New notification Content Qualifier GENL Qualifier CORP followed by // Corporate Action Reference Qualifier SEME followed by // BNP Paribas Reference Qualifier NEWM when new first message :16R:GENL :20C::CORP//16x :20C::SEME//16x :23G:NEWM :23G:REPL :23G:WITH :23G:CANC :23G:REPE :22F::CAEV//xxxx :22F::CAMV//MAND :25D::PROC//PREC or :25D::PROC//COMP Or :25D::PROC//PREU Milan : not used Use of all message functions from NEWM to REPE Can be followed by the sub function: COPY This is a message sent simultaneously with the original message, as a copy. Example Comments
REPL replacement of preliminary Qualifier REPL when replacement information previously sent message WITH to cancel a notice already sent CANC to confirm a BNP Paribas cancellation REPE only for cash Pre-advice Corporate action event indicator Mandatory/ Voluntary indicator Qualifier WITH when cancellation by the market Qualifier CANC when cancellation by BNP Paribas Qualifier REPE when cash Preadvice Qualifier CAEV followed by // qualified generic field indicator Qualifier CAMV followed by // qualified MAND Qualifier PROC followed by // PREC for preliminary information or COMP for complete information PREU for preliminary and unconfirmed information
25D
PROC
Processing status
17
OPTIONAL SUBSEQUENCE A1: LINKAGES: SUBSEQUENCE USED IF, IN SEQUENCE A, FIELD 23G IS DIFFERENT TO NEWM.
Field 16R 22F BNP Paribas Status M O Qualifier LINK LINK Field Definition Start of the linkage block Linkage Type Indicator Content Qualifier LINK :16R:LINK :22F:LINK//INFO Example Comments
13A
LINK
M M M
Qualifier LINK followed by // codeword INFO Qualifier LINK followed by // the Number ID of the MT of the linked type of transaction which is linked to this one Populated as564 when transaction a MT564 has been previously sent Qualifier PREV followed by // the SEME of the previous message or Previous reference in case of COPY message : the corporation action ID Qualifier LINK End of the linkage block End of the General Information block Qualifier GENL
:13A::LINK//564
SEQUENCE B: MANDATORY UNDERLYING SECURITIES: PARENTS SECURITY GENERATING THE CORPORATE ACTION
Field 16R BNP Paribas Status M Qualifier USECU Field Definition Start of Underlying Securities block Identification of Financial Instrument Content Qualifier USECU Example :16R:USECU Rare in case of several old shares: The ISIN code is the main ISIN code for the corporate action. For announce only: the ISIN codes of the other securities along with the details of their eligible position will be reported in tag 70E (ADTX) of sequence D. Comments
35B
18
OPTIONAL SUB SEQUENCE B1: FINANCIAL INSTRUMENT ATTRIBUTES: This sub sequence will be activated only when the underlying security is a debt instrument
Field 16R 12A BNP Paribas Status M O Qualifier FIA CLAS Field Definition Start of FIA block Type of Financial Instrument Qualifier FIA Qualifier CLAS Qualifier PLIS followed by // EXCH (for Stock Exchange)/ MIC (Market identification Code of security) Qualifier DENO followed by // currency of debt instrument Qualifier MATU followed by // and the maturity date Qualifier ISSU followed by // and the issue date Qualifier FIA Content :16R:FIA Milan: :12A::CLAS Only the first and the second characters of the CFI category can be used. Only for underlying securities Bonds or Notes Example Comments
O O O O M
Place of listing Currency of Denomination Maturity date Issue date End of FIA block
97A
SAFE
:97A::SAFE//GENR3893717
19
Field
Qualifier
Field Definition
Content
Example
Comments Rules about population of place types: CUST is followed by the BIC code of the depositary SHHE is used when no BIC code has been found for the a depositary, it is followed by the ISO country code of the depositary ICSD is used for EUROCLEAR Luxembourg or CLEARSTREAM
94A
SAFE
Place of safekeeping.
In option F : Qualifier SAFE followed by //Place Code and BIC code or In option B : Qualifier SAFE followed by//Place Code and depositary country
93A
ELIG
93A
SETT
Pre-announcement case: if the client has subscribed to a GENR pre-announcement, balance will be the sum of all the safekeeping accounts under the client ID. Frankfurt: Current Settled position for Notification_information. Entitled Settled Position for Notification_entitlement and reminder Frankfurt: Current Pending Deliveries for Notification_information. Entitled Pending Deliveries for Notification_entitlement and reminde Not available for information schedules Frankfurt: Current Pending Receipts for Notification_information. Entitled Pending Receipts for Notification_entitlement and reminder Not available for information schedules
93A
PEND
:93B::PENR//FAMT/100,
93A
PENR
93a 93a
O O
LOAN BORR
:93B::PENR//UNIT/100, This qualifier is never signed Qualifier LOAN followed by // and :93B::LOAN//UNIT/100, Eligible or non eligible quantity on loan Qualifier BORR followed by // and Eligible or non eligible quantity borrowed Qualifier ACCTINFO :93B::BORR//UNIT/100,
16S
ACCTINFO
:16S:ACCTINFO
20
Field 16S
Qualifier USECU
Example :16S:USECU
Comments
Field
Qualifier
Field Definition
Content
Example
Comments
16R
CADETL
Qualifier CADETL
:16R: CADETL It will be populated only for RHDI CA event , as it will precise the CA event type of exercise of rights (e x: BONU or EXRI or MRGR ) Only used in event type RHDI. RHDI//BIDS Repurchase offer RHDI//DRIP Dividend reinvestment RHDI//DVOP Dividend option RHDI//EXOF Exchange offer RHDI//EXRI Subscription rights RHDI//MRGR Merger RHDI//PRIO Distribution of open offer rights
22F
RHDI
Example: Qualifier RHDI followed by // CAEV :22F:RHDI//EXRI code of the CA event with rights :22F:RHDI//MRGR
O O O O
Announcement date Effective date of detachment event Meeting date/time Corporate Action event stage
Qualifier ANOU followed by // the announcement date of event In Option A: Qualifier EFFD followed by // effective date Qualifier MEET followed by // and Shareholders Meeting date Qualifier ESTA followed by // and < code of CA event stage : SUAP or APPD or UNAC or WHOU >.
22F
ADDB
Qualifier ADDB followed by // then one or more of the following codes ACLA, ATXF, CNTR and NAMC
ADDB//ACLA
London: ESTA//APPD Approved at the relevant meeting through consent or according to the terms of the event. ESTA//SUAP Subject to approval at the relevant meeting through consent or according to the terms of the CA event. London: ADDB //ACLA - Automatic market claims ADDB //ATXF - Subject to transformation ADDB//CNTR - Cancel underlying trades ADDB//NAMC - No automatic market claims
22F
CHAN
:22F::CHAN// DECI
21
Field
Qualifier
Field Definition
Content Sub CA reporting qualifier DECI In Option A: Qualifier XDTE followed by // and ex date In Option A: Qualifier RDTE followed by // record date Option E: Qualifier ADTX with the additional text Qualifier CADETL
Example
Comments
17B 98A
M O
DFLT EXPI
:17B::DFLT//Y :98A::EXPI//21121029
Field Definition Securities movements Type of entries in order to specify either debit or credit Identification code of the parent securities Disposition of fractions
Content SECMOVE Qualifier CRDB followed by//CRED ISIN + ISIN code + Description of the old securities Qualifier DISF followed by// RDDN or RDUP or CINL
Example :16R:SECMOVE :22H::CRDB//CRED :35B:ISIN GB00B0D09R62 /HENDERSON GBL INVS/ :36B::DISF//RDDN or RDUP or CINL
Comments
This first part of subsequence E1 concerns new shares If new ISIN not known: /XX/ and description or ISIN of provisional security non negotiable. RDDN is used for rounding down to nearest integer RDUP for rounding up to nearest integer CINL is used for take cash in lieu of fractions
22
Field
Qualifier
Field Definition
Content
Example
Comments
92A
ADEX
98A
PAYD
Payment date
Option D: Qualifier ADEX followed by the ratio or Option K: Qualifier ADEX followed by //OPEN (when ratio is unknown) Option A: Qualifier PAYD followed by the Payment date Options B: Qualifier PAYD followed by OPEN (when payment date is not determined)
:92D::ADEX//1,/1, :92K::ADEX//OPEN
:98A::PAYD//YYYYMMDD :98A::PAYD//OPEN
98A 16S 70E 16S Field 70 E 70E 70E 70E 70E 16S Status O O O O O M
DIVR SECMOVE ADTX CAOPTN Message ALL ALL ALL ALL ALL ALL
Date on which new securities will begin to accrue the value, or be entitled to a coupon End of block Securities movements Additional text End of block Field Definition Additional text Certification breakdown Information to be compled with Information Conditions Narrative version End of block
Option A: Qualifier DIVR followed :98A::DIVR//YYYYMMDD by the coupon ranking date :16S:SECMOVE Qualifier ADTX followed by the additional information Qualifier CAOPTN Content ADTX follows by // CETI followed by // COMP followed by // INCO followed by // TXNR followed by // Qualifier CAOPTN :70E::ADTX// :16S:CAOPTN Example :70E::ADTX// :70E::CETI// :70 E::COMP// :70 E::INCO// :70E::TXNR// :16S:CAOPTN Comments 70E. all qualifiers to be reported as an optional field
23
Field
Qualifier
Field Definition Specific conditions linked to the CA that cannot be formatted Information to be complied with. (Used for information conditional to the account owner) Party which is the final destination of the message End of the block
Content Option E: Qualifier INCO with the additional text Option E: Qualifier COMP with the additional text In option Q: Qualifier MERE followed by //name of receiver of information Qualifier ADDINFO :70E::INCO//
Example
Comments
70 E
INCO
:70E::COMP//
70 E
COMP
95A 16S
O M
MERE ADDINFO
:16S:ADDINFO
24
20C
CORP
:20C::CORP//16x
20C
Senders Reference Number NEWM : New notification REPL replacement of preliminary information previously sent WITH to cancel a notice already sent
:20C::SEME//16x :23G:NEWM :23G:REPL :23G:WITH :23G:CANC :23G:REPE Use of all message functions from NEWM to REPE Can be followed by the sub function: COPY This is a message sent simultaneously with the original message, as a copy.
23G
CANC to confirm a BNP Paribas Qualifier CANC when cancellation cancellation by BNP Paribas REPE only for cash Pre-advice Qualifier REPE when cash Preadvice Qualifier CAEV followed by // qualified generic field indicator Qualifier CAMV followed by // qualified MAND Qualifier PROC followed by // PREC for preliminary information or COMP for complete information PREU for preliminary and unconfirmed information
22F
CAEV
:22F::CAEV//xxxx
22F
CAMV
25D
PROC
Processing status
25
OPTIONAL SUB SEQUENCE A1: LINKAGES: SUBSEQUENCE USED IF, IN SEQUENCE A, FIELD 23G IS DIFFERENT FROM NEWM.
Field 16R 22F BNP Paribas Status M O Qualifier LINK LINK Field Definition Start of the linkage block Linkage Type Indicator Content Qualifier LINK Qualifier LINK followed by // codeword INFO Qualifier LINK followed by // the type of transaction which is linked to this one Populated as564 when a MT564 has been previously sent Qualifier PREV followed by // the SEME of the previous message or in case of COPY message : the corporation action ID Qualifier LINK Qualifier GENL :16R:LINK :22F:LINK//INFO Example Comments
13A
LINK
:13A::LINK//564
20C
PREV
Previous reference
16S 16S
M M
LINK GENL
SEQUENCE B: MANDATORY UNDERLYING SECURITIES: PARENTS SECURITY GENERATING THE CORPORATE ACTION
Field 16R BNP Paribas Status M Qualifier USECU Field Definition Start of Underlying Securities block Identification of Financial Instrument Content Qualifier USECU Example :16R:USECU Rare in case of several old shares: The ISIN code is the main ISIN code for the corporate action. For announce only: the ISIN codes of the other securities along with the details of their eligible position will be reported in tag 70E (ADTX) of sequence D. Comments
35B
OPTIONAL SUB SEQUENCE B1: FINANCIAL INSTRUMENT ATTRIBUTES: This sub-sequence will be activated only when the underlying security is a debt instrument
26
Example
Comments
Milan: Only the first and the second characters of the CFI category can be used.
94B
PLIS
Place of listing
Qualifier PLIS followed by // EXCH (for Stock Exchange)/ MIC (Market identification Code of security) Qualifier DENO followed by // currency of debt instrument Qualifier MATU followed by // and the maturity date Qualifier ISSU followed by // and the issue date Qualifier FIA
11A
DENO
Currency of Denomination
:11A:: DENO//XXX
O O M
97A
SAFE
27
Field
Qualifier
Field Definition
Content
Example
94A
SAFE
Place of safekeeping.
In option F : Qualifier SAFE followed by //Place Code and BIC code or In option B : Qualifier SAFE followed by//Place Code and depositary country In option B : Qualifier ELIG followed by: //FAMT face amount or //UNIT number of shares Can be signed for negative position In option B : Qualifier SETT followed by: //FAMT face amount or //UNIT number of shares Can be signed for negative position In option B : Qualifier PEND followed by: //FAMT// face amount or //UNIT //number of shares This qualifier is never signed In option B : Qualifier PENR followed by: //FAMT// face amount or //UNIT //number of shares This qualifier is never signed Qualifier LOAN followed by // and Eligible or non eligible quantity on loan Qualifier BORR followed by // and Eligible or non eligible quantity borrowed Qualifier ACCTINFO
:94F::SAFE//CUST/PBESXXX or :94B::SAFE//SHHE/ES or :94F::SAFE//ICSD/CEDELULL :93B::ELIG//FAMT/800, 93B::ELIG//UNIT/800, :93B::ELIG//UNIT/N1000 :93B::SETT//FAMT/1000, :93B::SETT//UNIT/1000, :93B::SETT//UNIT/N1000, :93B::PEND//FAMT/300, :93B::PEND//UNIT/300,
CUST is followed by the BIC code of the depositary SHHE is used when no BIC code has been found for the a depositary, it is followed by the ISO country code of the depositary ICSD is used for EUROCLEAR Luxembourg or CLEARSTREAM
93A
ELIG
In Pre-announcement all the positions are reported except the ELIG one. Mandatory as from the announce Pre-announcement case: if the client has subscribed to a GENR pre-announcement, balance will be the sum of all the safekeeping accounts under the client ID. Frankfurt: Current Settled position for Notification_information. Entitled Settled Position for Notification_entitlement and reminder Frankfurt: Current Pending Deliveries for Notification_information. Entitled Pending Deliveries for Notification_entitlement and reminde Not available for information schedules
93A
SETT
93A
PEND
93A
PENR
Current Pending Receipts for Notification_information. Entitled Pending Receipts for Notification_entitlement and reminder If the postion is zero the system will not report it Not available for information schedules
93a
LOAN
On loan Balance
93a
BORR
Borrowed balance
:93B::BORR//UNIT/100,
16S
ACCTINFO
:16S:ACCTINFO
28
Field 16S
Qualifier USECU
Example :16S:USECU
Comments
Qualifier ANOU followed by // and the announcement date of :98A:ANOU//YYYYMMDD event In option A: Qualifier XDTE followed by // ex date of eventIn :98A::XDTE//YYYYMMDD option B: Qualifier XTDE followed by UKWN[SR2011]
Depending on the market practices, ex date, effective or record dates can be applicable to any above mandatory events Frankfurt : Yes
29
Field
Qualifier
Field Definition
Content
Example Milan :
98A
RDTE
Record Date
:98A::RDTE//YYYYMMDD
98a
TSDT
In Option A: Qualifier TSDT followed by // and last trade date Or In Option B: Qualifier TSDT followed by OPENUKWN[SR2011] In option A: Qualifier EFFD followed by // effective-date Qualifier MEET followed by // and Shareholders Meeting date Qualifier SXDT followed by // and Special Ex-date/time Qualifier ESTA followed by // and < code of CA event stage : SUAP or APPD or UNAC or WHOU >. Qualifier ADDB followed by // and code CAPA Qualifier ESTA followed by // and < code of CA event stage : SUAP or APPD or UNAC or WHOU >. Qualifier ADTX followed by the additional text Qualifier CADETL
:98A::TSDT//20070309 or :98B::TSDT//OPEN
Athens: Yes Depending on the market practices, ex date, effective or record dates can be applicable to any above mandatory events Frankfurt : No Milan : CONV: No INCR, DECR : yes Athens: REDO: No Last trading date from the schedule Frankfurt: Yes Milan: Yes
O O O O
Effective Date Meeting date/time Special Ex-date/time Corporate Action event stage
22F 22F
O O
ADDB ESTA
:22F::ADDB//CAPA :22F::ESTA//UNAC
70 E 16S
O M
ADTX CADETL
70E::ADTX// :16S:CADETL
30
Content Qualifier CAOPTN Qualifier CAON followed by // and the option number Qualifier CAOP followed by // CASH distribution of cash Qualifier DFLT followed by // Y
Comments
22F
CAOP
CA option code
:22F::CAOP//CASH
Frankfurt: SECU, CASH and CASE Milan: CONV, for mandatory conversion SECU for Increase and Decrease Athens: SECU
17B
DFLT
:17B::DFLT//Y
31
CASHMOVE Start and name of the block CRDB Indicator Credit/Debit indicator
97A
CASH
Cash account
97A:CASH//XXXXXXXXX :90A::OFFR
90A
OFFR
Price to receive
19A 98a
M M
ENTL PAYD
19A:ENTL//GBP10000, :98A::PAYD//YYYYMMDD
98a
VALU
Clients Value-date
98A::VALU//YYYYMMDD or :98B::VALU//UKWN :16R: CASHMOVE :16S: CASHMOVE This is the reversed cash amount in depositary currency before application of the clients FOREX. Sub qualifier DEBT if 22H/CRDB of previous E2 is CRED Sub qualifier CRED if 22H/DEBT of previous E2 is DEBT
16S 16R
M M
CASHMOVE End of the block CASHMOVE Start and name of the block
The two subsequences below are only activated in the case of clients Forex
22H
CRDB
:22H:CRDB//DEBT
97A 19A
M M
CASH ENTL
97A:CASH//XXXXXXXXX 19A:ENTL//GBP10000,
98a
PAYD
:98A::PAYD//YYYYMMDD
32
Option A: Qualifier VALU followed by payment clients value-date 98a M VALU Clients Value-date Option B: Qualifier VALU followed by UKWN (if payment is non contractual with recovery) Qualifier CASHMOVE Qualifier CASHMOVE Qualifier CRDB followed by CRED if amount to be credited and DEBT if amount to be debited Qualifier CASH followed by clients cash account Qualifier ENTL followed by clients entitlement amount in clients preferred currency Qualifier RESU followed by clients entitled amount after
FOREX
98A::VALU//YYYYMMDD or :98A::VALU//UKWN
16S 16R
CASHMOVE End and name of the block CASHMOVE Start and name of the block
:16S: CASHMOVE :16R: CASHMOVE :22H:CRDB//CRED This subsequence is only activated in case of clients Forex This corresponds to the cash amount in clients preferred currency.
22H
CRDB
97A
CASH
:97A:CASH//XXXXXXXXX :19A:ENTL//EUR15000, In this example, the client has asked to receive EUR instead of GBP. This is the resulting cash amount after clients Forex..
19A
Amount
:19A:RESU//EUR15000,
Qualifier NETT followed by clients entitled amount in schedule currency ( before clients FOREX Option B: Qualifier PAYD followed by date code KKWN Option B: Qualifier VALU followed by UKWN Option B: Qualifier EXCH followed by clients exchangerate Qualifier CASHMOVE Qualifier ADTX followed by the additional text Qualifier CAOPTN
:19A:NETT//GBP10000,
M M M M M M
CASHMOVE End and name of the block ADTX CAOPTN Additional text End of block
33
ADDINFO Start and name of the block ADTX INCO Additional text Specific conditions linked to the CA that cannot be formatted Information to be complied with. (Used for information conditional to the account owner) Party which is the final destination of the message
70 E
COMP
Option E: Qualifier COMP with the additional :70E::COMP// text In option Q: Qualifier MERE followed by //name of receiver of information Qualifier ADDINFO :95Q::MERE//corporate action dept :16S:ADDINFO
95a 16S
O M
MERE
34
Qualifier WITH when cancellation :23G:WITH by the market Qualifier CANC when cancellation by BNP Paribas Qualifier REPE when cash Preadvice Qualifier CAEV followed by // qualified generic field indicator Qualifier CAMV followed by // qualified MAND Qualifier PROC followed by // PREC for preliminary information or COMP for complete information PREU for preliminary and unconfirmed information :23G:CANC :23G:REPE :22F::CAEV//xxxx :22F::CAMV//MAND :25D::PROC//PREC or :25D::PROC//COMP Or :25D::PROC//PREU Milan: not used
25D
PROC
Processing status
35
OPTIONAL SUB SEQUENCE A1: LINKAGES: SUBSEQUENCE USED IF, IN SEQUENCE A, FIELD 23G IS DIFFERENT FROM NEWM.
Field 16R 22F BNP Paribas Status M O Qualifier LINK LINK Field Definition Start of the linkage block Linkage Type Indicator Qualifier LINK Content :16R:LINK :22F:LINK//INFO Example Comments
13A
LINK
M M M
Qualifier LINK followed by // codeword INFO Qualifier LINK followed by // the type Number ID of the MT of the linked of transaction which is linked to this one Populated as564 when a transaction MT564 has been previously sent Qualifier PREV followed by // SEME of the previous message or in case of Previous reference COPY message : the corporation action ID End of the linkage block End of the General Information block Qualifier LINK Qualifier GENL
:13A::LINK//564
Sequence B: Mandatory Underlying Securities: Parents security generating the corporate action
Field 16R BNP Paribas Status M Qualifier USECU Field Definition Start of Underlying Securities block Identification of Financial Instrument Content Qualifier USECU :16R:USECU Rare in case of several old shares: The ISIN code is the main ISIN code for the corporate action. For announce only: the ISIN codes of the other securities along with the details of their eligible position will be reported in tag 70E (ADTX) of sequence D. Example Comments
35B
OPTIONAL SUB SEQUENCE B1: FINANCIAL INSTRUMENT ATTRIBUTES: This sub-sequence will be activated only when the underlying security is a debt instrument
Field 16R 22F BNP Paribas Status M O Qualifier FIA MICO Field Definition Start of FIA block Type of Financial Instrument Content Qualifier FIA Qualifier MICO followed by the method of interest computation [CM 2659] if the accrual method is UNKNOWN or even another (for example value OAT) we report OTHR now [CM 2659] Qualifier CLAS Example :16R:FIA :22F::MICO//A001 [CM 2659] :22F::MICO//OTHR [CM 2659] Comments
Applicable to CA type event : redemption The values will be retrieved from Financial Instrument
12A
CLAS
Type of Financial
:12A::CLAS
Milan:
36
Field
Qualifier
Content
Example
Comments Only the first and the second characters of the CFI category can be used.
11A
O DENO
Currency of denomination Populated with the currency of the security only for the CA type Interest Collection. Current Poll factor
Qualifier DENO
:11A::DENO//EUR
92A
PRFC
Qualifier PRFC flowed by // and the pool factor Qualifier NWFC flowed by // and the pool factor
:92A::PRFC//0,5
Applicable to CA type event : redemption The values will be retrieved from the schedule Applicable to CA type event : redemption The values will be retrieved from the schedule
92A
NWFC
:92A::NWFC//0,5
94B
PLIS
Place of listing
O O O O M
Option style Currency of Denomination Maturity date Issue date End of FIA block
Qualifier PLIS followed by // EXCH (for Stock Exchange)/ MIC (Market :94B::PLIS//EXCH/ALXP identification Code of security) Qualifier OPST followed by // and 12a::OPST//AMER AMER (American style) Or EURO (European style) Qualifier DENO followed by // currency :11A:: DENO//XXX of debt instrument Qualifier MATU followed by // and the maturity date Qualifier ISSU followed by // and the issue date Qualifier FIA :98A::MATU//YYYYMMDD :98A::ISSU//YYYYMMDD :16S:FIA
37
Field
Qualifier
Field Definition
Content
Example
Comments If the client has subscribed for pre-announcement MT564 per client ID , then the field will be populated with the subqualifier GENR + client ID
97A
SAFE
In option A : Qualifier SAFE followed by // account number or :97A::SAFE//99999L Safekeeping Account of the client In option C : Qualifier SAFE (depending on its subscription) :97A::SAFE//GENR3893717 followed by // GENR and BNP Paribas Clients ID number
Otherwise this is the clients security account. Long code or short code depending on client subscription The client can subscrive for a reporting event Notification_information_consolidated For this messaeg the consolidated and not the detailed position will be reported. The qualifier GENR will be reported together with clientID. Rules about population of place types: CUST is followed by the BIC code of the depositary SHHE is used when no BIC code has been found for the a depositary, it is followed by the ISO country code of the depositary ICSD is used for EUROCLEAR Luxembourg or CLEARSTREAM
In option F : Qualifier SAFE followed by //Place Code and BIC code or 94A O SAFE Place of safekeeping. In option B : Qualifier SAFE followed by//Place Code and depositary country
:94FSAFE//CUST/PBESXXX or :94B::SAFE//SHHE/ES
:94F::SAFE//ICSD/CEDELULL
93A
ELIG
In option B : Qualifier ELIG followed by: //FAMT face amount or //UNIT number of shares Can be signed for negative position In option B : Qualifier SETT followed by: //FAMT face amount or //UNIT number of shares Can be signed for negative position In option B : Qualifier PEND followed by: //FAMT// face amount or //UNIT //number of shares This qualifier is never signed
93A
SETT
93A
PEND
38
Field
Qualifier
Field Definition
Content In option B : Qualifier PENR followed by: //FAMT// face amount or //UNIT //number of shares This qualifier is never signed Qualifier LOAN followed by // and Eligible or non eligible quantity on loan Qualifier BORR followed by // and Eligible or non eligible quantity borrowed
Example
Comments
93A
PENR
:93B::PENR//FAMT/100, :93B::PENR//UNIT/100, :93B::LOAN//UNIT/100, Only for MT564 announce, reminder and Cash Preadvice
93a
LOAN
On loan Balance
93a
BORR
Borrowed balance
:93B::BORR//UNIT/100,
16S 16S
M M
ACCTINFO USECU
End of Account Information Block Qualifier ACCTINFO End of Underlying Securities block Qualifier USECU
:16S:ACCTINFO :16S:USECU
O 98a
O 98a RDTE
Record Date
39
Field 98a
Qualifier TSDT
Content In Option A: Qualifier TSDT followed by // and last trade date Or In Option B: Qualifier TSDT followed by OPENUKWN[SR2011] Qualifier MEET followed by // and Shareholders Meeting date Qualifier BIDI followed by Bid Interval Rate
Comments Last trading date from the schedule Frankfurt: Yes Milan: Yes
98a 92a
O O
MEET BIDI
Meeting date/time
:98A::MEET//YYYYMMDD :92A::BIDI//15
Euronext market : Acceptable price increment used for submitting a bid. Used to report an offer price for Dutch auction
In MT564 cash preadvice only
22F 22F
O O
ADDB ESTA
70 E 16S
O M
ADTX CADETL
Qualifier ADDB followed by // and :22F::ADDB//CAPA code CAPA Qualifier ESTA followed by // and < :22F::ESTA//UNAC code of CA event stage : SUAP or APPD or UNAC or WHOU >. Qualifier ADTX followed by the :70E::ADTX// additional text Qualifier CADETL :16S:CADETL
Athens : SECU
17B M DFLT Default processing Flag Qualifier DFLT followed by //Y :17B::DFLT//Y
40
Type of entries in order to specify Qualifier CRDB followed by the either debit or credit code DEBT Identification code of the parent securities. ISIN + ISIN code + Description of Security Option A: Qualifier PAYD followed by payable date or Expected settlement date
98A 16S
M M
PAYD SECMOVE
:16S:SECMOVE
97A 19A
O O M
CASH ENTL
:97A:CASH//XXXXXXXXX :19A:ENTL//GBP10000, :98A::PAYD//YYYYMMDD Amount in depositary currency before clients Forex Frankfurt: Yes Milan: Yes Athens: No
98A
PAYD
92A
RATE
Applicable rate
:92A::RATE//16,962425099
41
Field
Qualifier
Content Option A: OFFR followed by// percentage Option B: OFFR followed by// currency code and price Option A: Qualifier VALU followed by // clients value-date Option B: Qualifier VALU followed by // UKWN Qualifier CASHMOVE Qualifier CASHMOVE Qualifier CRDB followed by CRED if amount to be credited and DEBT if amount to be debited Qualifier CASH followed by clients cash account Qualifier ENTL followed by clients entitlement amount ( paid on firm or pending position) Option A: Qualifier PAYD followed by payable date or Expected settlement date Option A: Qualifier VALU followed by payment clients value-date Option B: Qualifier VALU followed by UKWN ( if payment is non contractual with recovery) Qualifier CASHMOVE Qualifier CASHMOVE Qualifier CRDB followed by CRED if amount to be credited and DEBT if amount to be debited Qualifier CASH followed by clients cash account
Comments
90A
OFFR
98A
VALU
Clients Value-date
98A::VALU//YYYYMMDD or :98A::VALU//UKWN :16S: CASHMOVE :16R: CASHMOVE :22H:CRDB//DEBT This corresponds to the reversed cash amount in depositary currency before application of the clients FOREX Sub qualifier DEBT if 22H/CRDB of previous E2 is CRED Sub qualifier CRED if 22H/DEBT of previous E2 is DEBT
16S 16R
M M
CASHMOVE CASHMOVE
The two subsequences below are only activated in the case of clients Forex
22H
CRDB
97A 19A
M M
CASH ENTL
97A:CASH//XXXXXXXXX 19A:ENTL//GBP10000,
98A
PAYD
:98A::PAYD//YYYYMMDD
98A
VALU
Clients Value-date
98A::VALU//YYYYMMDD or :98A::VALU//UKWN
16S 16R
M M
CASHMOVE CASHMOVE
End and name of the block Start and name of the block
:16S: CASHMOVE :16R: CASHMOVE This subsequence is only activated in case of clients forex This corresponds to the cash amount in clients preferred currency.
22H
CRDB
:22H:CRDB//CRED
97A
CASH
Cash account
:97A:CASH//XXXXXXXXX
42
Cash amount
19A
Amount
Qualifier ENTL followed by clients entitlement amount in clients preferred currency Qualifier RESU followed by clients entitled amount after FOREX Qualifier NETT followed by clients entitled amount in schedule currency ( before clients FOREX) Option B: Qualifier PAYD followed by date code UKWN Option B: Qualifier VALU followed by UKWN ( if payment is non contractual with recovery) Option B: Qualifier EXCH followed by clients exchangerate Qualifier CASHMOVE Qualifier ADTX followed by the additional text Qualifier CAOPTN
:19A:ENTL//EUR15000,
In this example, the client has asked to receive EUR instead of GBP.
:19A:RESU//EUR15000,
:19A:NETT//GBP10000, :98A::PAYD//UKWN
98A
PAYD
98A
VALU
Clients Value-date
:98A::VALU//UKWN
M M M M
Exchange-rate End and name of the block Additional text End of block
70 E
COMP
Information to be complied with. Option E: (Used for information Qualifier COMP with the conditional to the account additional text owner)
:70E::COMP//
43
Field
Qualifier
Field Definition Party which is the final destination of the message End of the block
Content In option Q: Qualifier MERE followed by //name of receiver of information Qualifier ADDINFO
Comments
95A 16S
MERE ADDINFO
:16S:ADDINFO
44
23G
45
Content Qualifier CAEV followed by // qualified generic field indicator Qualifier CAMV followed by //qualified VOLU Qualifier PROC followed by // PREC for preliminary information or COMP for complete information PREU for preliminary and unconfirmed information
Comments
25D
PROC
Processing status
OPTIONAL SUB SEQUENCE A1: LINK LINKAGES: SUBSEQUENCE USED IF IN SEQUENCE A, FIELD 23G, IS DIFFERENT FROM NEWM.
Field 16R 22F BNP Paribas Status M O Qualifier LINK LINK Field Definition Start of the linkage block Linkage Type Indicator Content Qualifier LINK Qualifier LINK followed by //codeword INFO Qualifier LINK followed by //the type of transaction which is linked to this one Populated as564 when a MT564 has been previously sent Qualifier PREV followed by //the SEME of the previous message or in case of COPY message : the corporation action ID Qualifier CORP followed by // and the reference of linked event Qualifier LINK Qualifier GENL Example :16R:LINK :22F:LINK//INFO Comments
13A
LINK
20C
Previous reference
Corporate actions reference 16S 16S M M End of the linkage block End of the General Information block
46
SEQUENCE B: USECU M ANDATORY UNDERLYING SECURITIES: PARENTS SECURITY GENERATING THE CORPORATE ACTION
Field 16R 35B BNP Paribas Status M M Qualifier USECU Field Definition Start of Underlying Securities block Identification of Financial Instrument Content Qualifier USECU The ISIN code + security description Example :16R:USECU :35B::ISIN ES0178483139 SOGECABLE SA It is the ISIN of the rights Comments
97A
SAFE
In option A : Qualifier SAFE followed by //and account number Safekeeping Account of the client (depending on its In option C : Qualifier SAFE followed by subscription) //GENR and BNP Paribas Clients ID number
:97A::SAFE//99999L :97A::SAFE//GENR3893717
94A
SAFE
Place of safekeeping.
In option F : :94F::SAFE//CUST/PBESXXX Qualifier SAFE followed by //Place Code and BIC code :94B::SAFE//SHHE/ES In option B : :94F::SAFE//ICSD/CEDELULL Qualifier SAFE followed by//Place Code and depositary country In option B : Qualifier ELIG followed by: //FAMT face amount or //UNIT number of shares Can be signed for negative position
93A
ELIG
In Pre-announcement, firm and pending are reported except the ELIG position one. Mandatory as from the announce
47
Field
Qualifier
Content In option B : Qualifier SETT followed by://FAMT face amount or //UNIT number of shares Can be signed for negative position In option B : Qualifier PEND followed by: //FAMT/ face amount or //UNIT /number of shares In option C : Qualifier PEND followed by: //FAMT/face amount or //UNIT /number of shares This qualifier is never signed In option B : Qualifier PENR followed by: //FAMT/ face amount or //UNIT /number of shares This qualifier is never signed
Example
Comments
93A
SETT
Pre-announcement case: if the client has subscribed to a GENR pre-announcement, balance will be the sum of all the safekeeping accounts under the client ID.
:93B::PEND//FAMT/300, :93B::PEND//UNIT/300, :93C::PEND//UNIT/NELG/300, NELG : non eligible pending securities excluded from eligible position (if balance is negative)
93A
PEND
93A
PENR
:93B::PENR//FAMT/100, :93B::PENR//UNIT/100,
93a
LOAN
On loan Balance
93a
BORR
Borrowed balance
93a
UNBA
Uninstructed balance
Qualifier LOAN followed by // and Eligible or non eligible quantity on loan Qualifier BORR followed by // and Eligible or non eligible quantity borrowed In option B : Qualifier UNBA followed by: //FAMT/ face amount or //UNIT /number of shares In option B : Qualifier INBA followed by: //FAMT/ face amount or //UNIT /number of shares Qualifier ACCTINFO Qualifier USECU
:93B::LOAN//UNIT/100,
:93B::BORR//UNIT/100,
:93B::UNBA//UNIT/100,
93a
INBA
Instructed balance
:93B::INBA//UNIT/100,
16S 16S
M M
ACCTINFO USECU
:16S:ACCTINFO :16S:USECU
48
49
OPTIONAL SUBSEQUENCE C: INTSEC INTERMEDIATE SECURITIES: NOT USED Optional Sequence D: CADETL OPTIONAL CORPORATE ACTIONS DETAILS
BNP Paribas Status M O O O
Field
Qualifier
Field Definition Start of Corporate Action details block Announcement date Additional text Results publication
Content
Example
Comments
Qualifier CADETL Qualifier ANOU followed by //announcement date of event Option E: Qualifier ADTX with the additional text Qualifier RESU followed by // and Result publication date of event Qualifier MEET followed by // and Shareholders Meeting date Qualifier ETPD followed by // and Early third party deadline Qualifier ECPD followed by // and date of Election to Counterparty deadline Date/time that the account servicer has set as the deadline to respond, with instructions, to an outstanding event, giving the holder eligibility to incentives. This time is dependent on the reference time zone of the account servicer as specified in an SLA. Qualifier ADDB followed by // and code CAPA Qualifier ESTA followed by // and < code of CA event stage : SUAP or APPD or UNAC or WHOU >. Preliminary Advice of Payment - The message is a preliminary advice of payment Option A:
O O O
Meeting date/time Early third party deadline Election to Counterparty deadline Early response deadline Date/Time
:98A::MEET//YYYYMMDD :98A::ETPD/YYYYMMDD :98A::ECPD//YYYYMMDD Used to report to clients their earliest election counterparty. It is a specific clients deadline for their position on loan.
98C
EARD
:98a::EARD//YYYYMMDDhhmm Used to report an early response deadline of an option when there are two proposed different periods for a same option.
22F 22F
O O
ADDB ESTA
:22F::ADDB//CAPA :22F::ESTA//UNAC
22F 92a
O O
ADDB INTR
:22F::ADDB//CAPA :92A::INTR//6,75
CAPA is reported in all SWIFT Cash Preadvice to make the difference between an entitlement message and a pre-advice of payment This tag is applicable only for interest payments with or without
50
Field
Qualifier
Field Definition
Example
16S
CADETL
Qualifier CADETL
:16S:CADETL
98A
RDDT
98A
EARD
In Option C : Qualifier EARD followed by //Early :98C::EARD//YYYYMMDD response deadline date & time HHMMSS or In Option B : :98B::EARD//OPEN Qualifier EARD followed by //OPEN
51
Field
Qualifier
Field Definition
Content
Example
Comments
98A
MKDT
:98A::MKDT//YYYYMMDD
69A
PWAL
Exercise period
In option A : Qualifier PWAL followed by //beginning date/end date In option C : Qualifier PWAL followed by //beginning date/OPEN In option E : Qualifier PWAL followed by //OPEN/end date
:69A::PWAL//YYYYMMDD/YY YYMMDD
:69C::PWAL//YYYYMMDD/OP EN
69A
REVO
In option A : Qualifier REVO followed by //beginning date/end date Period in which a shareholder In option C : Qualifier REVO followed by can revoke, withdraw its instruction. //beginning date/OPEN In option E : Qualifier REVO followed by //OPEN/end date
:69A::REVO//YYYYMMDD/OP EN
:69A::REVO//OPEN/YYYYMM DD
52
36B
ENTL
92A
NEWO
:98A::PAYD//YYYYMMDD
:98A::PAYD//OPEN
98A
PAYD
Payment date
:98A::PAYD//ONGO
16S
SECMOVE
End of SECMOVE
:16S:SECMOVE
53
36B
ENTL
Entitled Quantity
Field reported only on cash pre-advice when client instruction has been processed in the system for this option.
98A
PAYD
Payment date
:98B::PAYD//OPEN
16S
SECMOVE
End of subsequence
:16S:SECMOVE
54
90B
PRPP
98A
PAYD
:98A::PAYD//YYYYMMDD
98A
VALU
Clients Value-date
The two subsequences below are only activated in the case of clients Forex
16R M CASHMOV E CRDB Start and name of the block Indicator Credit/Debit indicator Cash account Qualifier CASHMOVE :16R: CASHMOVE This is the reversed cash amount in depositary currency before application of the clients FOREX Sub qualifier DEBT if 22H/CRDB of previous E2 is CRED Sub qualifier CRED if 22H/DEBT of previous E2 is DEBT
22H
Qualifier CRDB followed by//CRED :22H:CRDB//CRED (amount to be credited) Qualifier CASH followed by clients cash account 97A:CASH//XXXXXXXXX
97A
CASH
55
19A
ENTL
Entitled amount
98A
PAYD
Qualifier ENTL followed by clients entitlement amount Option A: Qualifier PAYD followed by //payable date or Expected settlement date Option B: Qualifier PAYD followed by//UKWN Option A: Qualifier VALU followed by//payment clients value-date
:19A::ENTL//GBP10000,
:98A::PAYD//YYYYMMDD
:98A::VALU//YYYYMMDD
98A
VALU
Clients Value-date
Option B: Qualifier VALU followed by//UKWN Qualifier CASHMOVE Qualifier CASHMOVE Qualifier CRDB followed by //DEBT (amount to be debited) Qualifier CASH followed by clients cash account Qualifier ENTL followed by //clients entitlement amount in clients preferred currency Qualifier RESU followed by //clients entitled amount after
FOREX
:98A::VALU//UKWN
M M M M
End and name of the block Start and name of the block Indicator Credit/Debit indicator Cash account Cash amount
:16S: CASHMOVE :16R: CASHMOVE :22H::CRDB//DEBT :97A::CASH//XXXXXXXX :19A::ENTL//EUR 14825 In this example, client has asked to receive GBP instead of EUR. This is the resulting cash amount after clients forex. This sub-sequence is only activated in case of clients Forex. This is the cash amount in clients preferred currency
19A
Amount
:19A::RESU//EUR 14825,
98A
PAYD
Qualifier NETT followed by clients entitled amount in schedule currency (before clients FOREX) Option A: Qualifier PAYD followed by //payable date or Expected settlement date Option B: Qualifier PAYD followed by//UKWN Option A: Qualifier VALU followed by//payment clients value-date
:19A:NETT//GBP10000,
:98B::PAYD//UKWN
98A
VALU
Clients Value-date Option B: Qualifier VALU followed by//UKWN Option B: Qualifier EXCH followed by//clients exchange-rate
:98A::VALU//UKWN
92B
EXCH
Exchange-rate
92B:EXCH//GBP/EUR/1.48
56
16S 70 E 16S
M M M
Qualifier CASHMOVE Qualifier ADTX followed by the additional text Qualifier CAOPTN
REPETITIVE OPTIONAL SEQUENCE E: BUYA OPTION TO BUY ADDITIONAL BONUS RIGHTS TO ROUND UP ENTITLEMENT
Field 16R 13A 22F BNP Paribas Status M M M Qualifi Field Definition er CAOPT Start and name of the block N CAON CAOP CA option number CA option code Official Corporate action event reference Default processing Flag Content Qualifier CAOPTN Qualifier CAON followed by //option number Qualifier CAOP followed by //BUYA: buy additional rights to round up entitlement Qualifier COAF followed by // Official Corporate action event reference Qualifier DFLT followed by //Y or N In Option C: Qualifier RDDT followed by //response deadline date & time In Option B: Qualifier RDDT followed by //OPEN In Option C : Qualifier EARD followed by //Early response deadline date & time or In Option B : Qualifier EARD followed by //OPEN In Option A: Qualifier MKDT followed by //market deadline date :16R:CAOPTN :13A::CAON//002 :22F::CAOP//BUYA Example Comments
20C 17B
O O
COAF DFLT
This the official and unique reference assigned by the official central body/entity within each market at the beginning of a corporate action event.
98A
RDDT
:98C::RDDT//OPEN
98A
EARD
98A
MKDT
:98A::MKDT//YYYYMMDD
57
Qualifier
Field Definition
Content Qualifier SECMOVE Qualifier CRDB followed by the code DEBT ISIN + code + security description In option A: Qualifier TRDP followed by //beginning date/end date In option C: Qualifier TRDP followed by //beginning date/OPEN In option E: Qualifier TRDP followed by //OPEN/end date Options B : Qualifier PAYD followed by //ONGO (when the payment to be settled on going basis) Qualifier SECMOVE Qualifier ADTX followed by //the additional information Qualifier CAOPTN
Comments
SECMOVE Securities movements CRDB Type of entries in order to specify either debit or credit Identification code of the rights
:69A::TRDP//YYYYMMDD/OPEN
69A
TRDP
Trading period
:69A::TRDP//OPEN/YYYYMMDD
M M M M
PAYD
Payment date
98A
RDDT
:98C::RDDT//OPEN
58
Field
Qualifier
Field Definition
Content In Option C : Qualifier EARD followed by //Early response deadline date & time or In Option B : Qualifier EARD followed by //OPEN In Option A: Qualifier MKDT followed by //market deadline date Qualifier ADTX followed by the additional information Qualifier CAOPTN
Example
Comments
98A
EARD
O M M
Market Deadline Date Additional Information Start and name of the block
SECMOVE Securities movements CRDB Type of entries in order to specify either debit or credit Identification code of the rights
:69A::TRDP//YYYYMMDD/OPEN
69A
TRDP
Trading period
:69A::TRDP//OPEN/YYYYMMDD
M M M M
PAYD
Payment date
59
CAOPTN Start and name of the block CAON CAOP DFLT CA option number CA option code Default processing Flag
98A
RDDT
:98C::RDDT//OPEN
98A 16S
O M
MKDT CAOP
:98A::MKDT//YYYYMMDD :16R:CAOPTN
98A
RDDT
:98C::RDDT//OPEN
98A 70E
O O
MKDT ADTX
:98A::MKDT//YYYYMMDD :70E::ADTX//
60
Field 16S
Qualifier CAOPTN
Example :16R:CAOPTN
Comments
ADDINFO Start and name of the block ADTX INCO Additional text Specific conditions linked to the CA that cannot be formatted Information to be complied with. (Used for information conditional to the account owner) Party which is the final destination of the message
70 E
COMP
Option E: Qualifier COMP with the additional :70E::COMP// text In option Q: Qualifier MERE followed by //name of receiver of information Qualifier ADDINFO :95Q::MERE//corporate action dept :16S:ADDINFO
95A 16S
O M
MERE
61
BONUS ISSUE
SEQUENCE A: GENL M ANDATORY GENERAL INFORMATION
Field 16R 20C 20C BNP Paribas Status M M M Qualifier GENL CORP SEME NEWM REPL WITH CANC REPE RMDR 22F 22F M M CAEV CAMV Field Definition Start of the General Information block Corporate action reference Senders Reference Number NEWM : New notification REPL replacement of preliminary information previously sent WITH to cancel a notice already sent CANC to confirm a BNP Paribas cancellation REPE only for cash Preadvice RMDR Reminder sent for uninstructed positions Corporate action event indicator Mandatory/ Voluntary indicator Content Qualifier GENL Qualifier CORP followed by //Corporate Action Reference Qualifier SEME followed by //BNP Paribas Reference Qualifier NEWM when new first message Qualifier REPL when replacement message Qualifier WITH when cancellation by the market Qualifier CANC when cancellation by BNP Paribas Qualifier REPE when cash Preadvice Qualifier RMDR when there are some uninstructed positions Qualifier CAEV followed by // qualified generic field indicator Qualifier CAMV followed by //qualified VOLU Qualifier PROC followed by // PREC for preliminary information or COMP for complete information PREU for preliminary and unconfirmed information :16R:GENL :20C::CORP//16x :20C::SEME//16x :23G:NEWM :23G:REPL :23G:WITH :23G:CANC :23G:REPE :23G: RMDR :22F::CAEV//BONU :22F::CAMV/VOLU :25D::PROC//PREC or :25D::PROC//COMP Or :25D::PROC//PREU Use of all message functions from NEWM to REPE Can be followed by the sub function: COPY This is a message sent simultaneously with the original message, as a copy. Example Comments
23G
25D
PROC
Processing status
62
OPTIONAL SUBSEQUENCE A1: LINK LINKAGES: SUBSEQUENCE USED IF, IN SEQUENCE A, FIELD 23G IS DIFFERENT FROM NEWM
BNP Paribas Status M O
Content Qualifier LINK Qualifier LINK followed by //codeword INFO Qualifier LINK followed by //the type of transaction which is linked to this one Populated as564 when a MT564 has been previously sent Qualifier PREV followed by //the SEME of the previous message or in case of COPY message : the corporation action ID Qualifier CORP followed by // and the reference of linked event Qualifier LINK Qualifier GENL
Comments
13A
LINK
:13A::LINK//564
20C
Previous reference
Corporate actions reference 16S 16S M M End of the linkage block End of the General Information block
SEQUENCE B: USECU M ANDATORY UNDERLYING SECURITIES: PARENTS SECURITY GENERATING THE CORPORATE ACTION
Field 16R 35B BNP Paribas Status M M Qualifier USECU Field Definition Content Example :16R:USECU :35B:ISIN ES0178483139 SOGECABLE SA Comments
Start of Underlying Securities Qualifier USECU block Identification of Financial Instrument ISIN + code + security description.
63
97A
SAFE
:97A::SAFE//GENR3893717
94A
SAFE
Place of safekeeping.
:94B::SAFE//SHHE/ES :94F::SAFE//ICSD/CEDELULL
93A
ELIG
:93B::SETT//FAMT/1000, :93B::SETT//UNIT/1000, :93B::SETT//UNIT/N1000, Pre-announcement case: if the client has subscribed to a GENR pre-announcement, balance will be the sum of all the safekeeping accounts under the client ID.
93A
SETT
:93B::PEND//FAMT/300,
93A
PEND
:93B::PEND//UNIT/300,
:93C::PEND//UNIT/NELG/300,
NELG : non eligible pending securities excluded from eligible position (if Balance is negative)
64
Field
Qualifier
Field Definition
Content In option B : Qualifier PENR followed by: //FAMT/ face amount or //UNIT /number of shares This qualifier is never signed Qualifier LOAN followed by // and Eligible or non eligible quantity on loan Qualifier BORR followed by // and Eligible or non eligible quantity borrowed In option B : Qualifier UNBA followed by: //FAMT/ face amount or //UNIT /number of shares In option B : Qualifier INBA followed by: //FAMT/ face amount or //UNIT /number of shares Qualifier ACCTINFO Qualifier USECU
Example :93B::PENR//FAMT/100,
Comments
93A
PENR
:93B::PENR//UNIT/100,
93a
LOAN
On loan Balance
:93B::LOAN//UNIT/100,
93a
BORR
Borrowed balance
:93B::BORR//UNIT/100,
93a
UNBA
Uninstructed balance
:93B::UNBA//UNIT/100,
93a
INBA
Instructed balance
:93B::INBA//UNIT/100,
16S 16S
M M
ACCTINFO USECU
:16S:ACCTINFO :16S:USECU
OPTIONAL SUBSEQUENCE C: INTSEC INTERMEDIATE SECURITIES: SEQUENCE USED WHEN DETACHMENT OF RIGHTS : NOT USED AS WE ARE SENDING A RHDI EVENT FOR THE DISTRIBUTION OF RIGHTS FOLLOWED BY THE EXERCISE.
65
Field
Qualifier
Field Definition Start of Corporate Action details block Announcement date Results publication Meeting date/time Early third party deadline Election to Counterparty deadline
Content
Example
Comments
Qualifier CADETL Qualifier ANOU followed by //announcement date of event Qualifier RESU followed by // and Result publication date of event Qualifier MEET followed by // and Shareholders Meeting date Qualifier ETPT followed by // and Early third party deadline Qualifier ECPD followed by // and date of Election to Counterparty deadline Qualifier ESTA followed by // and < code of CA event stage : SUAP or APPD or UNAC or WHOU >. Option E: Qualifier OFFO followed by // and name of CAs Offeror Qualifier CADETL
22F
ESTA
:22F::ESTA//UNAC
70E 16S
O M
OFFO CADETL
:70E::OFFO//XXXXXXXXXX :16S:CADETL
66
17B
98A
RDDT
:98B::RDDT//OPEN
98A
EARD
98A
MKDT
:98A::MKDT//YYYYMMDD
:69A::PWAL//YYYYMMDD/YYYYMMDD
:69C::PWAL//YYYYMMDD/OPEN
69A
PWAL
Exercise period
:69E::PWAL//OPEN/YYYYMMDD
67
Field
Qualifier
Field Definition
Content In option A : Qualifier REVO followed by //beginning date/end date In option C : Qualifier REVO followed by //beginning date/OPEN In option E : Qualifier REVO followed by //OPEN/end date
Example :69A::REVO//YYYYMMDD/YYYYMMDD
Comments
69A
REVO
:69C::REVO//YYYYMMDD/OPEN
:69E::REVO//OPEN/YYYYMMDD
:98B::PAYD//OPEN
98A
PAYD
Payment date
:98B::PAYD//ONGO
16S
SECMOVE
End of subsequence
:16S:SECMOVE
68
92A
NEWO
98A
PAYD
Payment date
:98B::PAYD//OPEN :98B::PAYD//ONGO
M M M
ADTX
Additional Information
REPETITIVE OPTIONAL SEQUENCE E: BUYA OPTION TO BUY ADDITIONAL BONUS RIGHTS (TO ROUND UP ENTITLEMENT)
BNP Paribas Status M M M O O
Field Definition Start and name of the block CA option number CA option code Default processing Flag Response Deadline Date
Content Qualifier CAOPTN Qualifier CAON followed by //option number Qualifier CAOP followed by //BUYA: buy additional rights to round up entitlement Qualifier DFLT followed by//Yor N In Option C: Qualifier RDDT followed by //response deadline date & time
Comments
:17B::DFLT//N :98C::RDDT//YYYYMMDDhhmms s
69
Field
Qualifier
Field Definition
Content In Option B: Qualifier RDDT followed by //OPEN In Option C : Qualifier EARD followed by //Early response deadline date & time or In Option B : Qualifier EARD followed by //OPEN In Option A: Qualifier MKDT followed by //market deadline date
Comments
98A
EARD
98A
MKDT
:98A::MKDT//YYYYMMDD
SECMOVE Securities movements CRDB Type of entries in order to specify either debit or credit Identification code of the rights
:69A::TRDP//YYYYMMDD/OPEN
69A
TRDP
Trading period
:69A::TRDP//OPEN/YYYYMMDD
M M M M
PAYD
Payment date
70
98A
RDDT
:98C::RDDT//OPEN
98A
EARD
98A
MKDT
:98A::MKDT//YYYYMMDD
SECMOVE Securities movements CRDB Type of entries in order to specify either debit or credit Identification code of the rights
71
Field
Qualifier
Field Definition
Content In option A: Qualifier TRDP followed by //beginning date/end date In option C: Qualifier TRDP followed by //beginning date/OPEN In option E: Qualifier TRDP followed by //OPEN/end date Options B : Qualifier PAYD followed by //ONGO (when the payment to be settled on going basis) Qualifier SECMOVE Qualifier ADTX followed by //the additional information Qualifier CAOPTN
Example :69A::TRDP//YYYYMMDD/YYYYMMDD
Comments
:69A::TRDP//YYYYMMDD/OPEN
69A
TRDP
Trading period
:69A::TRDP//OPEN/YYYYMMDD
M M M M
PAYD
Payment date
98A
RDDT
::98C::RDDT//YYYYMMDDhhmmss or ::98C::RDDT//OPEN
O O M
72
98A
RDDT
:98C::RDDT//OPEN
O O M
Market Deadline Date Additional Information Start and name of the block
ADDINFO Start of the ADDINFO block ADTX INCO Additional text Specific conditions linked to the CA that cannot be formatted Information to be complied with. (Used for information conditional to the account owner) Party which is the final destination of the message
:70E::COMP//
95A 16S
O M
MERE
In option Q: Qualifier MERE followed by //name :95Q::MERE//corporate action dept. of receiver of information Qualifier ADDINFO :16S:ADDINFO
73
M 22F
INST
CAEV
74
OPTIONAL SUBSEQUENCE A1: LINKAGE USED WHEN A PREVIOUS MT567 HAS BEEN SENT
Field 16R 13A BNP Paribas Status M O 20C O 16S M PREV LINK End and name of the block Qualifier LINK Qualifier LINK LINK Field Definition Start and name of the block Number ID of the MT567 of the linked transaction Related Reference Content Qualifier LINK Qualifier LINK followed by //567 when a MT567 has been previously sent. Qualifier PREV Example :16R:LINK :13A::LINK//567 Comments
Only reported if the instruction was received in an MT565, MT568, MT599 If Reference of instruction is specified by the client, then it is populated. If not, this is the internal client reference (instruction ID).
20C
RELA
:20C::RELA// reference
Clients instructions reference (if specified by client) or BNP Paribas internal reference (instruction ID) Refers to SEME of the MTxxx received. If the instruction is manually input, it refers to the clients reference. If the instruction was generated automatically by the system (Standing instruction, default option), it refers to a reference created by the system.
16S
LINK
Qualifier LINK
:16S:LINK
75
Field Definition Start and name of the block Instruction processing status
Content Qualifier STAT Qualifier IPRC followed by //PACK when Client instruction is in accepted status Qualifier STAT Qualifier GENL :16R:STAT
Example
Comments
Start and name of the block End and name of the block
76
Field Definition Start and name of the block CA option number CA option code Safekeeping Account of the client (depending on its subscription) Identification of Financial Instrument
Content Qualifier CADETL Qualifier CAON followed by / the option number Qualifier CAOP followed by //CA option code In option A : Qualifier SAFE followed by //account number The ISIN code + security description In option B: Qualifier STAQ followed by //FAMT face amount or //UNIT number of shares In option B: Qualifier ELIG followed by://FAMT face amount or //UNIT number of shares In option B: Qualifier UNBA followed by: //FAMT face amount or //UNIT number of shares Qualifier CADETL
Comments
97A
SAFE
35B
36B
STAQ
Status Quantity
93a
ELIG
93a
UNBA
:93B::UNBA//UNIT/1000,
16S
CADETL
:16R:CADETL
77
REJECTED Status
SEQUENCE A: M ANDATORY GENERAL INFORMATION
Field 16R 20C 20C 23G M INST BNP Paribas Status M M M Qualifier GENL CORP SEME Field Definition Start and name of the block Corporate action reference Senders Reference Number Qualifier INST for a reply to an instruction Qualifier CAST for a reply to a cancellation request Qualifier INST Corporate action event indicator Content Qualifier GENL Qualifier CORP followed by //Corporate Action Reference Qualifier SEME followed by //BNP Paribas Reference Qualifier INST when message sent is a reply of a previously received client instruction. Qualifier INST when message sent is a reply of a previously received client instruction. Qualifier CAEV followed by // qualified generic field indicator Example :16R:GENL :20C::CORP//16x :20C::SEME//16x :23G:INST INST This is a reply to previously sent instruction CAST This is a reply to a request to cancel a previously sent instruction Comments
23G 22F
M M
INST CAEV
OPTIONAL SUBSEQUENCE A1: LINKAGE USED WHEN A PREVIOUS MT567 HAS BEEN SENT
Field 16R 13A 20C 16S BNP Paribas Status M O O M Qualifier LINK LINK RELA LINK Field Definition Start and name of the block Number ID of the MT567 of the linked transaction Related Reference End and name of the block Content Qualifier LINK Qualifier LINK followed by //567 when a MT567 has been previously sent. Qualifier RELA Qualifier LINK :16R:LINK :13A::LINK//567 :20C::RELA// reference of previous MT567 :16S:LINK Clients instructions reference (if specified by client) or BNP Paribas internal reference (instruction ID) Example Comments
78
Comments
24B
REJT
Rejection Reason
M M M
End and name of the block REAS End and name of the block STAT End and name of the block GENL
Qualifier REJT followed by //Reason narrative ADEA or LACK or NARR or CERT REJT: followed by // and code word New codes : :24B::REJT/LACK CANC, DCAN, DPRG, INIR and :24B::REJT/INTV INTV. OVER removed from the list. SR2010: New code CERT. or Qualifier CAND followed by // and code word Qualifier REAS followed by // and the 16S/REAS reason narrative Qualifier STAT Qualifier GENL :16R:STAT :16S:GENL
ADEA instruction received after deadline LACK insufficient securities to execute the instruction NARR followed by the field 70E REAS CERT used when user selects Incorrect/Missing Certification as a justification for a clients instructions rejection.
The cancellation narrative if retrieved from the the users cancellation comment
79
97A
SAFE
35B
36B
STAQ
Status Quantity
In option B: Qualifier STAQ followed by //FAMT face amount or //UNIT number of shares In option B: Qualifier ELIG followed by://FAMT face amount or //UNIT number of shares
:93B::STAQ//UNIT/800,
:93B::ELIG//UNIT/N1000 In option B: Qualifier UNBA followed by: Balance of uninstructed position //FAMT face amount or //UNIT number of shares End of the block Qualifier CADETL
93a
UNBA
:93B::UNBA//UNIT/1000,
16S
CADETL
:16R:CADETL
80
70E
ADTX
Additional text
:70E::ADTX//
95a 16S
M M
MERE ADDINFO
Party which is the final destination of the message End of the block
81
CANCELLED Status
SEQUENCE A: M ANDATORY GENERAL INFORMATION
Field 16R 20C 20C BNP Paribas Status M M M Qualifier GENL CORP SEME Field Definition Start and name of the block Content Example :16R:GENL :20C::CORP//16x :20C::SEME//16x INST This is a reply to a previously sent instruction CAST - This is a reply to a request to cancel a previously sent instruction. Comments
23G
CAST or INST
22F
CAEV
Qualifier GENL Qualifier CORP followed by Corporate action reference //Corporate Action Reference Qualifier SEME followed by //BNP Senders Reference Number Paribas Reference Qualifier CAST when message sent is a reply to a request to cancel a Qualifier CAST or INST previously sent instruction. Qualifier INST foer a reply to an instruction Qualifier CAEV followed by // Corporate action event indicator qualified generic field indicator
OPTIONAL SUBSEQUENCE A1: LINKAGE USED WHEN A PREVIOUS MT567 HAS BEEN SENT
Field 16R 13A BNP Paribas Status M O Qualifier LINK LINK Field Definition Start and name of the block Number ID of the MT567 of the linked transaction Content Qualifier LINK Qualifier LINK followed by //567 when a MT567 has been previously sent. :16R:LINK :13A::LINK//567 Only reported if the instruction was received in a MT565, MT568, MT599 Example Comments
20C
RELA
Related Reference
Qualifier RELA
16S
LINK
Qualifier LINK
Clients instructions reference (if specified by client) or BNP Paribas internal reference (instruction ID) Frankfurt :Refers to the SEME of the MTxxx received. :20C::RELA// reference of previous If the instruction is manual input, it refers to the clients reference MT567 If the instruction was generated automatically by the system (Standing instruction, default option), it refers to a reference created by the system :16S:LINK
82
Field Definition Start and name of the block Number ID of the MT565 of the linked transaction Previous reference End and name of the block
Content Qualifier LINK Qualifier LINK followed by //the type of transaction which is linked to this one Qualifier PREV followed by //the SEME Qualifier LINK :16R:LINK
Example
Comments When the instruction change of status and the message is to be reported a link with the previous 567 is active
20C 16S
O M
PREV LINK
83
35B
36B
STAQ
Status Quantity
:93B::ELIG//UNIT/800,
93a
ELIG
:93B::ELIG//UNIT/N1000 In option B: Qualifier UNBA followed by: //FAMT Balance of uninstructed position face amount or //UNIT number of shares End of the block Qualifier CADETL
93a
UNBA
:93B::UNBA//UNIT/1000,
16S
CADETL
:16R:CADETL
84
PENDING Status
SEQUENCE A: M ANDATORY GENERAL INFORMATION
Field 16R 20C 20C 23G 22F BNP Paribas Status M M M M M Qualifier GENL CORP SEME INST CAEV Field Definition Start and name of the block Content Example :16R:GENL :20C::CORP//16x :20C::SEME//16x Comments
Qualifier GENL Qualifier CORP followed by Corporate action reference //Corporate Action Reference Qualifier SEME followed by //BNP Senders Reference Number Paribas Reference Qualifier INST when message sent is Qualifier INST a reply of a previously received client instruction. Qualifier CAEV followed by // Corporate action event indicator qualified generic field indicator
OPTIONAL SUBSEQUENCE A1: LINKAGE USED WHEN A PREVIOUS MT567 HAS BEEN SENT
Field 16R 13A BNP Paribas Status M O Qualifier LINK LINK Field Definition Start and name of the block Number ID of the MT567 of the linked transaction Content Qualifier LINK Qualifier LINK followed by //567 when a MT567 has been previously sent. :16R:LINK :13A::LINK//567 Clients instructions reference (if specified by client) or BNP Paribas internal reference (instruction ID) Frankfurt: Refers to the SEME of the MTxxx received. :20C::RELA// reference of previous If the instruction is manual input, it refers to the clients MT567 reference If the instruction was generated automatically by the system (Standing instruction, default option), it refers to a reference created by the system :16S:LINK Example Comments
20C
RELA
Related Reference
Qualifier RELA
16S
LINK
Qualifier LINK
85
Field
Qualifier
Content of transaction which is linked to this one Qualifier PREV followed by //the SEME Qualifier LINK
Example
20C 16S
O M
PREV LINK
24B
PEND
Pending Reason
Qualifier PEND followed by //Reason narrative REJT: followed by // and code word New codes : CANC, DCAN, DPRG, INIR and :24B::PEND//NARR INTV, CERT. or Qualifier CAND followed by // and code word Qualifier REAS Qualifier STAT Qualifier GENL 16S/REAS :16R:STAT :16S:GENL
M M M
End and name of the block REAS End and name of the block STAT End and name of the block GENL
86
97A
SAFE
35B
36B
STAQ
Status Quantity
In option B: Qualifier STAQ followed by //FAMT face amount or //UNIT number of shares In option B: Qualifier ELIG followed by://FAMT face amount or //UNIT number of shares
:93B::STAQ//UNIT/800, :93B::ELIG//UNIT/800,
93a
ELIG
:93B::ELIG//UNIT/N1000 In option B: Qualifier UNBA followed by: //FAMT Balance of uninstructed position face amount or //UNIT number of shares End of the block Qualifier CADETL
93a
UNBA
:93B::UNBA//UNIT/1000,
16S
CADETL
:16R:CADETL
87
95a 16S MERE ADDINFO Party which is the In option Q: Qualifier MERE followed by final destination of //name of receiver of information the message Qualifier ADDINFO End of the block :95Q::MERE//corporate action dept :16S:ADDINFO
Instruction of forex is accepted but will go against your forex standing instruction Instruction processed on reasonable effort basis when depositary deadline not passed. The instruction has requested a forex For non standard instruction : Instruction quantity on old shares is <> if multi base Instruction quantity on new shares is <> if multi sec. Instruction quantity on cash amount is <.> if cash
88
Qualifier GENL :16R:GENL Qualifier CORP followed by // CA BNP :20C::CORP//16x Paribas Reference Qualifier COAF followed by // Official Corporate action event reference Qualifier SEME followed by // BNP Paribas Reference Qualifier NEWM for new confirmation Followed by sub-function COPY REVR for a cancelled payment confirmation Followed by sub-function COPY Qualifier CAEV followed by // qualified generic field indicator :20C::COAF//16x :20C::SEME//16x :23G:NEWM
Reference of CA which was initially on the MT564 This the official and unique reference assigned by the official central body/entity within each market at the beginning of a corporate action event.
Use of all message functions from NEWM to REPE Can be followed by the sub function: COPY This is a message sent simultaneously with the original message as a copy.
89
Field
Qualifier
Content transaction which is linked to this one Qualifier PREV followed by the linked message reference put in tag 20C SEME Qualifier LINK followed by the type of transaction which is linked to this one Qualifier PREV followed by the linked message reference put in tag 20C SEME Qualifier LINK followed by the type of transaction which is linked to this one Qualifier RELA followed by the Clearing clients instruction reference for CA on Qualifier LINK Qualifier GENL
Example
Comment
O O O
Previous reference Number ID of the MT of the linked transaction Previous reference Number ID of the MT of the linked transaction Previous reference End and name of the block End and name of the block
:20C::PREV//reference :13A:LINK//566 :20C::PREV//reference This link will always be activated ONLY for CA on flows of ( in case of NEWM or REVR- New message or Reversal message) - If known, with the reference - If not known with the code NONREF. This link will be activated for any cancellation message of payment (REVR)
13A
LINK
:13A:LINK//000
O M M
SEQUENCE B: M ANDATORY UNDERLYING SECURITIES (PARENTS SECURITY GENERATING THE CORPORATE ACTION)
Field 16R 97A BNP Paribas Status M M Qualifier USECU SAFE Field Definition Start of Underlying Securities Sequence Safekeeping Account Content Qualifier USECU Qualifier SAFE followed by // an account number In option F Qualifier SAFE followed by //Place type and BIC code 94a O SAFE Place of safekeeping , place where the securities are held. In option B Qualifier SAFE followed by//Place type and depositary country Example :16R: USECU :97A::SAFE//99999L Long code or short code depending on client subscription Rules about population of place types: CUST is followed by the BIC code of the depositary SHHE is used when no BIC code has been found for the a depositary, it is followed by the ISO country code of the depositary ICSD is used for EUROCLEAR Luxembourg or CLEARSTREAM ) Comments
35B 93b
M M CONB
The ISIN code + security description. In option B: Qualifier CONB followed by //UNIT or FAMT
90
Field 16S
Qualifier USECU
Example
Comments
22F
RHDI
:98A::RHDI/MRGR
16S
CADETL
Qualifier CADETL
:16S:CADETL
90B
MRKT
Price
:90::SUPR//ACTU/EUR10,
91
Qualifier
Field Definition
Content Qualifier CRDB followed by the code CRED Option A: Qualifier CASH followed by // and the cash account number Qualifier PSTA followed by // and the currency code and cash amount Qualifier GRSS followed by // and the currency code and cash amount Qualifier NETT followed by // and the currency code and cash amount Option F : Qualifier = OFFR followed by // unit price Option A: Qualifier POST followed by the posting date Option A: Qualifier VALU followed by the Value date
Comments
CASHMOVE Cash movements CRDB Type of entries in order to specify either debit or credit Cash account number which will be credited Cash Amount to be posted Gross amount Net amount Price to receive
M M M O O
98a
POST
Posting date
:98A::POST//yyyymmdd
98a 16S
M M
VALU CASHMOVE
Value date
92
16S
ADDINFO
All
Qualifier ADDINFO
:16S: ADDINFO
93
Payments for Corporate Actions such as Assimilation (PARI), Stock Split (SPLF), Reverse Stock Split (SPLR), Merger (MRGR), Scrip Dividend (DVSC), Conversion (CONV), Automatic warrants Exercise (EXWA) , Redenomination (REDO), Exchange offers (EXOF) and Bonus offers (BONU), for which there are only securities movements will be announced according to the template below. There might be debit of old shares and credit of new shares or credit of new shares only.
SEQUENCE A: M ANDATORY GENERAL INFORMATION
Field 16R 20C 20C 20C BNP Paribas Status M M O M Qualifier GENL CORP COAF SEME NEWM 23G M REVR 22F M CAEV Corporate action event indicator Function of the Message Field Definition Start and name of the block Corporate action reference Official Corporate action event reference Senders Reference Number Content Qualifier GENL Qualifier CORP followed by // CA BNP Paribas Reference Qualifier COAF followed by // Official Corporate action event reference Qualifier SEME followed by // BNP Paribas Reference Qualifier NEWM for new confirmation Followed by sub-function REVR for a cancelled payment confirmation Followed by sub-function COPY Qualifier CAEV followed by // qualified generic field indicator Example :16R:GENL :20C::CORP//16x :20C::COAF//16x :20C::SEME//16x :23G:NEWM Can be followed by the sub function: COPY This is a message sent simultaneously with the original message as a copy. Comment
Reference of CA which was initially on the MT564 This the official and unique reference assigned by the official central body/entity within each market at the beginning of a corporate action event.
94
Field Definition Number ID of the MT of the linked transaction Previous reference Number ID of the MT of the linked transaction Previous reference End and name of the block End and name of the block
Content Qualifier LINK followed by the type of transaction which is linked to this one Qualifier PREV followed by the linked message reference put in tag 20C SEME Qualifier LINK followed by the type of transaction which is linked to this one Qualifier RELA followed by the Clearing clients instruction reference for CA on Qualifier LINK Qualifier GENL
Comment This link will be activated for any cancellation message of payment (REVR)
This link will be activated for any payment ONLY for CA on flows ( NEWM or REVR) - If known, with the reference - If not known with the code NONREF.
SEQUENCE B: M ANDATORY UNDERLYING SECURITIES (PARENTS SECURITY GENERATING THE CORPORATE ACTION)
Field 16R 97A BNP Paribas Status M M Qualifier USECU SAFE Field Definition Start of Underlying Securities Sequence Safekeeping Account Content Qualifier USECU Qualifier SAFE followed by // an account number In option F Qualifier SAFE followed by //Place type and BIC code 94a O SAFE Place of safekeeping , place where the securities are held. In option B Qualifier SAFE followed by//Place type and depositary country Example :16R: USECU :97A::SAFE//99999L Long code or short code depending on client subscription Comments
Rules about population of places: ICSD is used for Euroclear Bank or Clearstream International CUST is used for BNP Paribas network of subcustodians SHHE is used when a BIC code is not available (e.g., for off-shore funds)
35B
Identification of Financial Instrument Quantity of securities for which payment is made End of block
The ISIN code + security description . In option B: Qualifier CONB followed by //UNIT or FAMT In option C : Qualifier USECU
93b
CONB
:93B::CONB//UNIT/2510,
Can be signed
16S
USECU
:16S:USECU
95
22F
RHDI
:98A::RHDI/MRGR
69a
BLOK
Date after which securities will be Option A: Qualifier BLOK followed by the blocked or not available. blocking date Option C: Qualifier BLOK followed by the blocking date and OPEN End of block Qualifier CADETL
16S
CADETL
:16S:CADETL
96
Field 22F
Qualifier CAOP
Example :22F::CAOP//SECU
Comments
22H
CRDB
Type of entries in order to specify Qualifier CRDB followed by the code either debit DEBT
:22H::CRDB//DEBT
35B 36B
M M PSTA
Identification code of the shares Quantity of securities that have been posted to safekeeping account Date of the posting to the account Value date Securities movements Securities movements
ISIN + ISIN code + Description of Security Qualifier PSTA followed by // UNIT or Qualifier PTSA followed by// AMT Option A: Qualifier POST followed by the posting date Option A: Qualifier VALU followed by the value date End of sub-sequence Start of sub-sequence :36B::PSTA//UNIT/2000,
98A
POST
:98A::POST//yyyymmdd
O M M
:98A::VALU//yyyymmdd :16S:SECMOVE :16R:SECMOVE This second subsequence E1 concerns new securities when there is a credit movement on new shares. The sense of the movement is given by the indicator CRDB: if the position is negative the indicator will be followed by the qualifier DEBT
22H
CRDB
Type of entries in order to specify Qualifier CRDB followed by the code either debit or credit CRED
:22H::CRDB//CRED
35B 36B
M M PSTA
Identification code of the new shares. Quantity of securities that have been posted to safekeeping account
ISIN + ISIN code + Description of Security Qualifier PSTA followed by // UNIT or Qualifier PTSA followed by// AMT
97
22F
DISF
Qualifier DISF followed by// RDDN or RDUP or BUYU Option D: Qualifier NEWO followed by the ratio (new to old) Qualifier ADEX followed by the ratio ( of additional new shares) Option A: Qualifier POST followed by the posting date Option A: Qualifier VALU followed by scrip value-date Option A: Qualifier DIVR followed by the divIdend ranking date Qualifier CACONF
RDDN is used for Rounding down to nearest integer , RDUP for Rounding up to nearest integer CINL is used for Take cash in lieu of fractions, BUYU is used for Buy up to next whole number
Rate: Quantity of new securities for a given quantity of underlying securities Date of the posting to the account Value date
98A
POST
:98A::POST//yyyymmdd
98A
VALU
:98A::VALU//yyyymmdd
O M M
98
Payments for Corporate Actions such as Final Redemptions (REDM), Early Redemption (MCAL), Partial Call (PCAL), Priority offers (PRIO), Tender or Repurchase offers (BIDS), for which there cash and securities movements will be announced according to the template below:
SEQUENCE A: M ANDATORY GENERAL INFORMATION
Field 16R 20C 20C 20C BNP Paribas Status M M O M Qualifier GENL CORP COAF SEME NEWM 23G M REVR 22F M CAEV Corporate action event indicator Function of the Message Field Definition Start and name of the block Corporate action reference Official Corporate action event reference Senders Reference Number Content Example Comment
Qualifier GENL :16R:GENL Qualifier CORP followed by // CA BNP :20C::CORP//16x Paribas Reference Qualifier COAF followed by // Official Corporate action event reference Qualifier SEME followed by // BNP Paribas Reference Qualifier NEWM for new confirmation Followed by sub-function COPY REVR for a cancelled payment confirmation Followed by sub-function COPY Qualifier CAEV followed by // qualified generic field indicator :20C::COAF//16x :20C::SEME//16x :23G:NEWM
Reference of CA which was initially on the MT564 This the official and unique reference assigned by the official central body/entity within each market at the beginning of a corporate action event.
Use of all message functions from NEWM to REPE Can be followed by the sub function: COPY This is a message sent simultaneously with the original message as a.
99
Field
Qualifier
Content
Example
Comment
O O M M
Number ID of the MT of the linked transaction Previous reference End and name of the block End and name of the block
Qualifier LINK followed by the type of transaction which is linked to this one Qualifier RELA followed by the Clearing clients instruction reference for CA on Qualifier LINK Qualifier GENL
This link will be activated for any payment ONLY for CA on flows ( NEWM or REVR) If known, with your reference If not known with the code NONREF
SEQUENCE B: M ANDATORY UNDERLYING SECURITIES (PARENTS SECURITY GENERATING THE CORPORATE ACTION)
Field 16R 97A BNP Paribas Status M M Qualifier USECU SAFE Field Definition Start of Underlying Securities Sequence Safekeeping Account Content Qualifier USECU Qualifier SAFE followed by // an account number In option F Qualifier SAFE followed by //Place type and BIC code In option B Qualifier SAFE followed by//Place type and depositary country ISIN followed by ISIN code + security description. In option B: Qualifier CONB followed by //UNIT or Qualifier CONB followed by //FAMT Qualifier USECU Example :16R: USECU :97A::SAFE//99999L Long code or short code depending on client subscription Rules about population of places: ICSD is used for Euroclear Bank or Clearstream International CUST is used for BNP Paribas network of subcustodians SHHE is used when a BIC code is not available (e.g., for off-shore funds) Comments
94a
SAFE
:94F::SAFE//NCSD/SICVFRPP or SAFE//ICSD/CEDELULL or SAFE//CUST/SGUSXXXX or SAFE//SHHE/MY :94B::SAFE//SHHE/MY :35B:ISIN GB00B0D09R62 /HENDERSON GBL INVS/ :93B::CONB//UNIT/2510, :16S:USECU
M M M CONB USECU
Identification of Financial Instrument Quantity of securities for which payment is made End of block
100
22F
RHDI
:98A::RHDI/MRGR
69a
BLOK
Option A: Qualifier BLOK followed by the blocking date Date after which securities will be Option C: blocked or not available. Qualifier BLOK followed by the blocking date and OPEN End of block Qualifier CADETL
16S
CADETL
:16S:CADETL
101
Content
Type of entries in order to specify Qualifier CRDB followed by the code either debit or credit DEBT Identification code of the OLD shares ISIN + ISIN code + Description of Security Qualifier PSTA followed by// quantity of securities that will be posted on safekeeping account In Option A: Qualifier POST followed by // and posting date In Option A: Qualifier VALU followed by // and scrip value date
PSTA
:98A::POST//YYYYMMDD
98a
POST
Posting date
:98A::VALU//YYYYMMDD
98a 16S
O M
VALU SECMOVE
Value-date
:16S:SECMOVE
CASHMOVE Cash movements CRDB Type of entries in order to specify Qualifier CRDB followed by the code either debit or credit CRED In Option A: Qualifier OFFR or PRPP followed by// percentage type code PRCT and price or In Option B: Followed by code ACTU / currency code/ price Option A: Cash account number which will Qualifier CASH followed by // and the be credited cash account number Qualifier PSTA followed by // and the Cash Amount to be posted currency code and cash amount Qualifier GRSS followed by // and the Gross amount currency code and cash amount Qualifier CHAR followed by // and the Commission amount currency code and commissions amount
:90A::OFFR//PRCT/115, or :90B::PRPP//ACTU/EUR115, :97A::CASH//xxxxxxxx :19A::PSTA//EURx, :19A:: GRSS //EURx, 19A::CHAR//EUR50 Field generated if there are charges on the redemption Contains the settlement amount Contains the trade amount OFFR used for credit of Cash (ex: BIDS) PRPP used for any debit of cash ( ex: PRIO)
90a
OFFR or PRPP
M M M O
102
Field 19A
Qualifier VATA
Content Qualifier VATA followed by // and the currency code and the value added tax amount Qualifier NETT followed by // and the currency code and cash amount Option A: Qualifier RSPR followed by //spread rate or Option K: Qualifier RSPR followed by //OPEN Option A: Qualifier POST followed by the posting date Option A: Qualifier VALU followed by the value date Qualifier CACONF
Example :19A::VATA//EUR10
19A
NETT
Net amount
92a
RSPR
Spread Rate
98a
POST
Posting date
:98A::POST//yyyymmdd
M M M
VALU
Value date
95a 16S
O M
MERE ADDINFO
Party which is the final destination of the message Start and name of the block
103
104
5 - MT568 MESSAGES
MT568 Corporate Actions on Flows of Creation:
This is a new message. A Corporate Action on Flows results from an eligible trade settled after the payable date of the Corporate Event, eg : bonus issue (BONU), spin off (SOFF). IF there is a distribution of new securities (a credit movement if pending trade is a purchase or a debit movement if it is a sale), this is a Corporate Action on Flows of Creation, as shown in the template below:
SEQUENCE A: MANDATORY GENERAL INFORMATION
Field 16R 20C BNP Paribas Status M M Qualifier GENL CORP Field Definition Start and name of the block Corporate action reference Official Corporate action event reference Senders Reference Number New notification Corporate action event indicator Content Qualifier GENL Qualifier CORP followed by // and Corporate Action Reference Qualifier COAF followed by // Official Corporate action event reference Qualifier SEME followed by // and BNP Paribas Reference Qualifier NEWM can be followed by COPY Qualifier CAEV followed by // and the qualified generic field indicator. :16R:GENL :20C::CORP//16x Same as MT564 This the official and unique reference assigned by the official central body/entity within each market at the beginning of a corporate action event. Different from SEME of MT564 COPY is a copy message Same as MT564 Same as MT564 Example Comment
20C
COAF
:20C::COAF//16x
M M M
:20C::SEME//16x :23G:NEWM
:22F::CAEV//BONU
105
13A
O O O O O
LINK
To indicate the link with the clearing message Clients trade reference in clearing message MT54X
O O O
This link with MT 568 is only activated in case of cancellation of the previous CA on flows This link with MT 568 is only activated only in case of cancellation of the previous CA on flows This tag should contain the SEME reference of the linked MT568, when the original MT568 needs to be split
O M M
Previous message End and name of the block End and name of the block
106
SEQUENCE B: MANDATORY UNDERLYING SECURITIES: PARENTS SECURITY GENERATING THE CORPORATE ACTION
Field 16R BNP Paribas Status M Qualifier USECU Field Definition Start of Underlying Securities Sequence Content Qualifier USECU In option A: Qualifier SAFE followed by // and account number Example :16R: USECU :97A::SAFE//99999L or Long code or short code depending on client subscription :97A::SAFE//GENRClientNu mber Of the old shares (which are detaching the rights). Comments
97A
SAFE
35B
93a
ELIG
ISIN followed by ISIN code + security description :35B:ISIN GB00B0D09R62 Of the old shares (which are detaching /HENDERSON GBL INVS/ the rights). Option B : Qualifier ELIG followed by // and :93B::CONB//UNIT/1000, UNIT (number of shares) FAMT (face amount) Qualifier USECU :16S: USECU
Quantity of old shares on which the clients entitlement will be calculated. Quantity may be signed
16S
USECU
70E
INCO
Additional text
:16R: ADDINFO :70E:ADTX// Additional information in INCO block Qualifier ADTX followed by the :70E:ADTX// Confirmation additional information of a CA on flows resulted from: Confirmation of a CA on flows resulted BONUS ISSUE from : CA details BONUS ISSUE XDTE//20030925 CA details : ADEX//3,/2, XDTE followed by the ex-date of CA CAOP//SECU event if present Security movement CRED RDTE followed by the record date of ID of new shares : ISIN CA event if present GB00B0D09R62
DEBT instead of CRED if initial trade on underlying securities is a sale. Depending on the length of the MT564, the narratives will be moved to the
107
Field
Qualifier
Field Definition
Content ADEX followed by the ratio new to old of the detachment CAOP followed by followed by the qualified generic field indicator Security movement CRED Credit ID of new shares : ISIN PSTA followed by posted quantity on disbursed quantity POST followed by the clients payment date VALU followed by scrip value date
Comments
16S
ADDINFO
Qualifier ADDINFO
:16S:ADDINFO
108
This is a new message. A Corporate Action on Flows results from an eligible trade settled after payable date of the Corporate Event, eg : Stock Split (SPLF: if debit and credit movement), Merger (MRGR), Pari-Passu (PARI). If there is a Debit of old securities and Credit of new securities (if the pending trade is a sale, there is a credit on old securities and a debit on new securities), this is a Corporate Action on Flows of Mutation, as shown in the template below:
Sequence A : Mandatory General Information
Field 16R 20C BNP Paribas Status M M Qualifier GENL CORP Field Definition Start and name of the block Corporate action reference Official Corporate action event reference Senders Reference Number New notofication Corporate action event indicator Content Qualifier GENL Qualifier CORP followed by // and Corporate Action Reference Qualifier COAF followed by // Official Corporate action event reference Qualifier SEME followed by // and BNP Paribas Reference Qualifier NEWM can be followed by COPY Qualifier CAEV followed by // and the qualified generic field indicator. :16R:GENL :20C::CORP//16x Same as MT564 This the official and unique reference assigned by the official central body/entity within each market at the beginning of a corporate action event. Different from SEME of MT564 Example Comments
20C
COAF
:20C::COAF//16x
20C
SEME
:20C::SEME//16x
23G
NEWM
:23G:NEWM
Same as MT564
22F
CAEV
:22F::CAEV//SPLF
Same as MT564
109
:13A:LINK//564
13A
LINK
Previous message
Qualifier PREV followed by SEME of previous message In case of CANC, only populate link with clearing trade and previous MT568 reference
:20C::PREV//16x
20C
PREV
M M O
End and name of the block Start and name of the block Linkage Type Indicator
Qualifier LINK Qualifier LINK Qualifier LINK followed by // and codeword INFO Qualifier LINK followed by // message type 000
13A
LINK
:13A:LINK//000
Qualifier RELA followed by // clients :20C::RELA//16x reference Qualifier LINK followed by // and codeword INFO :22F:LINK//INFO
110
Field 20C
Qualifier LINK
Field Definition
Comments This link with MT 568 is only activated only in case of cancellation of the previous Ca on flows This link with MT 568 is only activated only in case of cancellation of the previous Ca on flows
20C
PREV
Previous message
Qualifier PREV followed by // SEME of previous MT568 Qualifier LINK Qualifier GENL
:20C::SEME//16x
16S 16S
M M
LINK GENL
End and name of the block End and name of the block
:16S:LINK :16S:GENL
Sequence B : Mandatory Underlying Securities: Parents security generating the corporate action
Field 16R BNP Paribas Status M Qualifier USECU Field Definition Start of Underlying Securities Sequence Safekeeping Clients Account Content Qualifier USECU In option A: Qualifier SAFE followed by // and account number Example :16R: USECU :97A::SAFE//99999L Long code or short code depending on client subscription Comments
97A
SAFE
35B
Identification of Financial Instrument Eligible position of client in old shares on which the client will be paid
93A
ELIG
ISIN followed by ISIN code + security description :35B:ISIN GB00B0D09R62 Of the old shares (which are detaching /HENDERSON GBL INVS/ the rights). Option B : Qualifier ELIG followed by // and :93A::ELIG//UNIT/1000, UNIT (number of shares) FAMT (face amount) Qualifier ACCTINFO Qualifier USECU :16S: ACCTINFO :16S: USECU
Quantity of old shares on which the clients entitlement will be calculated. Quantity will be signed
16S 16S
M M
ACCTINF O USECU
111
CAOP followed by the option type 70E M INCO Additional text Security movement CRED Credit the new shares ID of new shares : ISIN PSTA followed by posted quantity POST followed by the clients payment date VALU followed by the scrip value date DEBT Debit the initial exercised quantity on base sec ID of old shares : ISIN PSTA followed by posting quantity POST followed by the clients payment date VALU followed by the scrip value date
:70E::INCO// Confirmation of a CA on flows resulted from STOCK SPLIT XDTE//20060625 RDTE//20060625 NEWO//3,/2, CAOP SECU CREDIT of new shares : ISIN GB00B0D09R62 /HENDERSON GBL INVS/ FR000125874 PSTA//UNIT 1000, POST//20060625 VALU//20060625 :70E::INCO// DEBIT of base sec GB00B0D09R62 PSTA/UNIT/500 POST 20060625 VALU 20060625
Is it necessary
16S
ADDINFO
Qualifier ADDINFO
:16S:ADDINFO
112
This is a new message and a Clients FOREX Confirmation, as shown in the below template:
Sequence A : Mandatory General Information
BNP Pari bas Statu s M M
Field
Qualifier
Field Definition
Content
Example
Comments
16R 20C
GENL CORP
Qualifier GENL Qualifier CORP followed by // and Corporate Action Reference Qualifier SEME followed by // and BNP Paribas Reference Qualifier NEWM or CANC can be followed by COPY. Qualifier CAEV followed by // and the qualified generic field indicator.
:16R:GENL :20C::CORP//16x
20C
SEME
:20C::SEME//16x CANC is used for a cancellation clients forex message :23G:NEWM or CANC COPY is a copy message
23G
NEWM CANC
22F
CAEV
:22F::CAEV//
113
Note : When sub-function is a COPY, PREV will be always :20C::PREV//REFERENC followed by the CA ID reference instead of the SEME of previous EMT568 MT 568 :16S:LINK :16S:GENL
114
SEQUENCE B: MANDATORY UNDERLYING SECURITIES: PARENTS SECURITY GENERATING THE CORPORATE ACTION
Field 16R BNP Paribas Status M Qualifier USECU Field Definition Start of Underlying Securities Sequence Safekeeping Clients Account Content Qualifier USECU In option A: Qualifier SAFE followed by // and account number ISIN followed by ISIN code + security description Option B : Qualifier CONB followed by // and UNIT (number of shares) FAMT (face amount) Qualifier USECU Example :16R: USECU :97A::SAFE//99999L Long code or short code depending on client subscription Comments
97A
SAFE
35B
Identification of Financial Instrument Entitled position of the client for which payment has been done End of Underlying Securities Sequence
93B
CONB
16S
USECU
:16S: USECU
115
70E
INCO
Complement of information
Qualifier INCO followed by the additional information about Clients Forex: Any information related to 1 is in depository currency Any information related to 2 is in clients currency
16S
ADDINFO
Qualifier ADDINFO
116
This is a new message and a Depository Forex Confirmation, as shown in the template below: SEQUENCE A: MANDATORY GENERAL INFORMATION
Field 16R 20C BNP Paribas Status M M Qualifier GENL CORP Field Definition Start and name of the block Corporate action reference Content Qualifier GENL Qualifier CORP followed by // and Corporate Action Reference Qualifier SEME followed by // and BNP Paribas Reference Qualifier NEWM or CANC can be followed by COPY Example :16R:GENL :20C::CORP//16x Comments
20C
SEME
:20C::SEME//16x CANC is used for a cancellation depositary Forex message :23G:NEWM or CANC COPY is a copy message
23G
NEWM CANC
CAEV 22F M
:22F::CAEV//
13A
LINK
117
Field
Qualifier
Field Definition
Content Qualifier PREV followed by // SEME of payment confirmation MT566 Qualifier LINK Qualifier GENL
Example
Comments When function of message is NEWM or CANC : This refers to the initial payment in exotic currency in exotic currency Note : in case of COPY message, this link will not be activated
SEME of previous MT566 End and name of the block End and name of the block
:20C::PREV//16x
:16S:LINK :16S:GENL
SEQUENCE B: MANDATORY UNDERLYING SECURITIES: PARENTS SECURITY GENERATING THE CORPORATE ACTION
Field 16R BNP Paribas Status M Qualifier USECU Field Definition Start of Underlying Securities Sequence Safekeeping Clients Account Content Qualifier USECU In option A: Qualifier SAFE followed by // and account number Example :16R: USECU :97A::SAFE//99999L Long code or short code depending on client subscription Comments
97A
SAFE
Field
Qualifier
Field Definition Identification of Financial Instrument Entitled position of the client for which payment has been done End of Underlying Securities Sequence
Content ISIN followed by ISIN code + security description Option B : Qualifier CONB followed by // and UNIT (number of shares) FAMT (face amount) and relevant balance Qualifier USECU
35B
93B
CONB
16S
USECU
:16S: USECU
118
In case of cancellation, a specific narrative will be displayed The depositorys Forex has been cancelled , following movements have to be reversed. CASH-ACC-1: Client cash account in currency SENS-1: credit/debit indicator of the cash movement in corporate action currency PSTA-AMOUNT-1: posting amount in CA currency POST-DATE-1: posting date of the amount in CA currency VALU-DATE-1: value date of the payment in CA currency CASH-ACC-2: client cash account in client currency SENS-2: credit/debit indicator of the cash movement in sub-custodian currency PSTA-AMOUNT-2: posting amount in sub-custodian currency POST-DATE-2: posting date of the amount in sub-custodian currency VALU-DATE-2: value date of the payment in sub-custodian currency NETT-AMOUNT: Net amount before Forex RESU-AMOUNT: Net amount after Forex EXCH-DEPO-RATE: Exchange rate CHAR-AMOUNT: Charges amount including VAT MSG-TYPE: Indicator of Forex (here FXDE for depositary Forex)
70E
INCO
Complement of information
Qualifier INCO followed by the additional information about Clients forex: Any information related to 1 is in exotic currency Any information related to 2 is in depository currency
16S
Qualifier ADDINFO
119
MT568 PREMIUM
This message is sent to inform the client of the fiscal amount to declare in the IFU report for relevant corporate actions. A cancellation premium message is sent when a payment is cancelled. SEQUENCE A: MANDATORY GENERAL INFORMATION
Field 16R 20C BNP Paribas Status M M Qualifier GENL CORP Field Definition Start and name of the block Corporate action reference Official Corporate action event reference Senders Reference Number Content Qualifier GENL Qualifier CORP followed by // and Corporate Action Reference Qualifier COAF followed by // Official Corporate action event reference Qualifier SEME followed by // and BNP Paribas Reference Qualifier NEWM or CANC for a cancelled payment confirmation can be followed by COPY Example :16R:GENL :20C::CORP//16x This the official and unique reference assigned by the official central body/entity within each market at the beginning of a corporate action event. Comments
20C
COAF
:20C::COAF//16x
20C
SEME
:20C::SEME//16x
23G
NEWM CANC
:23G:NEWM or CANC
22F
CAEV
:22F::CAEV//
20C 16S
M M
PREV GENL
User Guide - Corporate Action SWIFT Messages - SWIFT ISO 15022 - 120 -
SEQUENCE B: MANDATORY UNDERLYING SECURITIES: PARENTS SECURITY GENERATING THE CORPORATE ACTION
Field 16R BNP Paribas Status M Qualifier USECU Field Definition Start of Underlying Securities Sequence Safekeeping Clients Account Content Qualifier USECU In option A: Qualifier SAFE followed by // and account number ISIN followed by ISIN code + security description Option B : Qualifier CONB followed by // and UNIT (number of shares) FAMT (face amount) balance Qualifier USECU Example :16R: USECU :97A::SAFE//99999L Long code or short code depending on client subscription Comments
97A
SAFE
35B
93B
CONB
:93B::CONB//FAMT/1000 ,
Entitled position of the client for which payment has been done
16S
USECU
:16S: USECU
User Guide - Corporate Action SWIFT Messages - SWIFT ISO 15022 - 121 -
70E
ADTX
Additional text
:70E::ADTX//This is a fiscal Qualifier ADTX followed by the advice about premium. Further additional information information in INCO block
70E
INCO
Complement of information
:70E::INCO//TAX NOTICE OF CAPITAL GAIN FOLLOWING REDEMPTION : ISIN : GB0002799301 EX-DATE : 20060421 REDEMPTION PROCEEDS : GBP37368,00 ACQUISITON AMOUNT : UNKNOWN QUANTITY : UNIT2000, TAXABLE AMOUNT : EUR31140,00 WIITHHOLDING TAX RATE : FISCAL FOREX RATE : GBP/EUR0,833333 CASH ACCOUNT :
:70E::INCO//TAX NOTICE OF CAPITAL GAIN FOLLOWING : corporate action name ISIN : Isin of old shares of the corporate action EX-DATE : or Record or Effective date or Payment date (depending of the Eligibilite date of the corporate action) EVENT PROCEEDS : initial cash amount of the corporate action ACQUISITON AMOUNT : purchase amount of the shares if known QUANTITY : quantity of old shares of the corporate action TAXABLE AMOUNT : net amount of premium in EUR WIITHHOLDING TAX RATE : if withholding tax calculated FISCAL FOREX RATE : fiscal forex rate used for converting the initial cash amount into premium amount in EUR CASH ACCOUNT : client cash account
95Q 16S
O M
MERE
Fiscality contact
User Guide - Corporate Action SWIFT Messages - SWIFT ISO 15022 - 122 -
20C
SEME
:20C::SEME//16x
New notification
:23G:NEWM
CANC is used for a cancellation blocking message only (ex: cancellation of a clients instruction) COPY is a copy message
:23G:CANC
User Guide - Corporate Action SWIFT Messages - SWIFT ISO 15022 - 123 -
16R
Start of block Safekeeping Clients Account Quantity of financial instruments Identification of Financial Instrument AVAL SETT SPRO Available date when old shares will be unblocked Settlement date Settlement instruction processing narrative Type of balance from which the securities are moving
Qualifier INPOSDET In option A: Qualifier SAFE followed by // and account number Qualifier ESTT followed by //and : FAMT (face value) UNIT (number of shares) ISIN followed by ISIN code + security description of the old shares Qualifier AVAL followed by // and the available date Qualifier SETT followed by // and the blocking date Qualifier SPRO followed by // and the CA name Qualifier FROM followed by // and AVAI (if shares are available for any purpose) Or BLOK (if shares are blocked or unavailable for sale) Qualifier TOBA followed by // and BLOC (if shares are blocked or unavailable for sale) Or AVAI (if shares are available for any purpose) Qualifier ACCTINFO Qualifier INPOSDET
:16R:INPOSDET
97A
SAFE
:97A::SAFE//99999L
36B
ESTT
M O M O
93A
FROM
:93A::FROM//AVAI
AVAI is used to indicate that initially the shares were available BLOC is used to indicate that initially the shares were blocked
93A
TOBA
:93A::TOBA//BLOC
BLOC is used to indicate that the shares are blocked AVAI is used to indicate that the shares are available
16S 16S
M M
ACCTINFO
User Guide - Corporate Action SWIFT Messages - SWIFT ISO 15022 - 124 -
95Q
MERE
16S
ADDINFO
User Guide - Corporate Action SWIFT Messages - SWIFT ISO 15022 - 125 -