MT
|
MT Name
|
Purpose
|
500
|
Instruction to Register
|
Instructs the registration, deregistration or re-registration of a financial instrument at the registration provider
|
501
|
Confirmation of Registration or Modification
|
Confirms the registration, deregistration or re-registration of a beneficial owner or shareholder with the registration provider
|
502
|
Order to Buy or Sell
|
Instructs the purchase or sale of a given quantity of a specified financial instrument under specified conditions
|
503
|
Collateral Claim
|
Requests new or additional collateral, or the return or recall of collateral
|
504
|
Collateral Proposal
|
Proposes new or additional collateral
|
505
|
Collateral Substitution
|
Proposes or requests the substitution of collateral held
|
506
|
Collateral and Exposure Statement
|
Provides the details of the valuation of both the collateral and the exposure
|
507
|
Collateral Status and Processing Advice
|
Advises the status of a collateral claim, a collateral proposal, or a proposal/request for collateral substitution
|
508
|
Intra-Position Advice
|
Reports on the movement of securities within the holding
|
509
|
Trade Status Message
|
Provides information on the status of a previously executed trade
|
510
|
Registration Status and Processing Advice
|
Advises the status of a registration instruction or modification
|
513
|
Client Advice of Execution
|
Provides brief and early information about a securities deal, e.g., a block trade that is to be allocated before final confirmation
|
514
|
Trade Allocation Instruction
|
Instructs the allocation of a block trade
|
515
|
Client Confirmation of Purchase or Sale
|
Provides a detailed accounting of financial instruments purchased or sold by the Sender on behalf or the Receiver or its client. It may also convey the payment details of the purchase or sale. It may also be sent by, or via an ETC service provider
|
516
|
Securities Loan Confirmation
|
Confirms the details of a securities loan, including collateral arrangements. It may also confirm the details of a partial recall or return of securities previously out on loan
|
517
|
Trade Confirmation Affirmation
|
Positively affirms the details of a previously received confirmation/contract note
|
518
|
Market-Side Securities Trade Confirmation
|
Confirms the details of a trade and where necessary, its settlement to a trading counterparty
|
519
|
Modification of Client Details
|
Instructs the modification of client details at the registration provider
|
524
|
Intra-Position Instruction
|
Instructs the movement of securities within the holding
|
526
|
General Securities Lending/Borrowing Message
|
Requests the borrowing of securities or notifies the return or recall of securities previously out on loan. It may also be used to list securities available for lending
|
527
|
Triparty Collateral Instruction
|
Performs a specific action on a collateral management transaction
|
528
|
ETC Client-Side Settlement Instruction
|
Sent by an ETC service provider, it communicates early settlement information to a custodian or clearing agent about a client-side trade
|
529
|
ETC Market-Side Settlement Instruction
|
Sent by ETC service provider, it communicates early settlement information to a custodian or clearing agent about a market-side trade
|
530
|
Transaction Processing Command
|
Requests the modification of a processing indicator or other non-matching information.
|
535
|
Statement of Holdings
|
Reports at a specified time, the quantity and identification of securities and other holdings which the account servicer holds for the account owner
|
536
|
Statement of Transactions
|
Provides details of increases and decreases of holdings which occurred during a specified period
|
537
|
Statement of Pending Transaction
|
Provides details of pending increases and decreases of holdings at a specified time
|
538
|
Statement of Intra-Position Advices
|
Provides details of increases and decreases in securities within the holding during a specified period
|
540
|
Receive Free
|
Instructs a receipt of financial instruments free of payment. It may also be used to request a cancellation or pre-advise an instruction
|
541
|
Receive Against Payment
|
Instructs a receipt of financial instruments against payment. It may also be used to request a cancellation or pre-advise an instruction
|
542
|
Deliver Free
|
Instructs a delivery of financial instruments free of payment. It may also be used to request a cancellation or pre-advise an instruction
|
543
|
Deliver Against Payment
|
Instructs a delivery of financial instruments against payment. It may also be used to request a cancellation or pre-advise an instruction
|
544
|
Receive Free Confirmation
|
Confirms a receipt of financial instruments free of payment. It may also be used to cancel or reverse a confirmation
|
545
|
Receive Against Payment Confirmation
|
Confirms a receipt of financial instruments against payment. It may also be used to cancel or reverse a confirmation
|
546
|
Deliver Free Confirmation
|
Confirms a delivery of financial instruments free of payment. It may also be used to cancel or reverse a confirmation
|
547
|
Deliver Against Payment Confirmation
|
Confirms a delivery of financial instruments against payment. It may also be used to cancel or reverse a confirmation
|
548
|
Settlement Status and Processing Advice
|
Advises the status of a settlement instruction or replies to a cancellation request
|
549
|
Request for Settlement/Status Advice
|
Requests a statement or a status message
|
558
|
Triparty Collateral Status and Processing Advice
|
Provides validation results and status advice re collateral instructions and proposed collateral movements
|
559
|
Paying Agent’s Claim
|
Claims reimbursement of income or redemption proceeds, or a combination of both
|
564
|
Corporate Action Notification
|
Provides an account owner with details of a corporate action event and the choices available to the account owner. It also provides the account owner with details on the impact a corporate action event will have on a safekeeping or cash account, eg, entitlement calculation
|
565
|
Corporate Action Instruction
|
Instructs the custodian on the investment decision made by an account owner relative to a corporate action event
|
566
|
Corporate Action Confirmation
|
Confirms to the account owner that securities and/or cash have been credited/debited to an account as a result of a corporate action event
|
567
|
Corporate Action Status and Processing Advice
|
Indicates the status, or a change in status, of a corporate action-related transaction previously instructed by, or executed on behalf of, the account owner
|
568
|
Corporate Action Narrative
|
Provides complex instructions or narrative details relating to a corporate action event
|
569
|
Triparty Collateral and Exposure Statement
|
Provides the details of the valuation of both the collateral and the exposure
|
574
|
IRS 1441 NRA-IRS Beneficial Owners’ List
|
Provides owner or pooled income information for a period of time arranged between the intermediary and the withholding agent
|
574
|
IRS 1441 NRA-Form W8-BEN
|
Certifies the foreign status of a beneficial owner for United States tax withholding
|
575
|
Report of Combined Activity
|
Reports on all securities and cash activity for a given combination of safekeeping and cash accounts
|
576
|
Statement of Open Orders
|
Provides details of orders to buy or to sell financial instruments, as at a specified date, which have been accepted by the Sender, but which have not yet been executed
|
577
|
Statement of Numbers
|
Provides certificates numbers of securities
|
578
|
Settlement Allegement
|
Advises the account owner that a counterparty has alleged a settlement instruction on the account owner’s account
|
579
|
Certificate Numbers
|
Replaces or supplements the ‘certificate numbers’ field in a primary message, eg, MT 577
|
581
|
Collateral Adjustment Message
|
Claims or notifies a change in the amount of collateral held against securities out on loan or for other reasons
|
582
|
Reimbursements Claim or Advice
|
Claims reimbursement of funds paid on behalf of the Receiver or of securities received which are due to the Sender. It may also advise that funds and/or securities have or will be remitted by the Sender in favour of the Receiver
|
584
|
Statement of ETC Pending Trades
|
Provides statuses and details of executed trades which are not yet matched nor affirmed
|
586
|
Statement of Settlement Allegements
|
Provides details of pending settlement allegements
|
587
|
Depositary Receipt Instruction
|
Instructs the issuance or release of a depositary receipt from/to ordinary shares, or the conversion from one type of depositary receipt to another
|
588
|
Depositary Receipt Confirmation
|
Confirms the issuance or release of a depositary receipt from/to ordinary shares, or the conversion from one type of depositary receipt to another
|
589
|
Depositary Receipt Status and Processing Advice
|
Advises the status, or change in status, of a depositary receipt
|