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SWIFT ISO15022 Norm
Detailansicht für Nachricht MT303 - Allokationsanweisung für eine Devisenoption

  Verwendung der Nachricht MT303

Instructs the allocation of a block trade (forex or currency option)

  Anwendungsfeld der Nachricht MT303

This message is sent by an instructing party, for example, a fund manager, or its authorised representative, to an executing broker to instruct the allocation of either a block foreign exchange trade or a block currency option.

The MT 303 contains both the terms of the block trade and the individual allocations.

The executing party will reply by sending separate MT 300 Foreign Exchange Confirmations confirming each individual allocation.

The message may be sent to

  • cancel and amend the block trade and the complete set of allocations
  • amend a number of individual allocations.

  Struktur der Nachricht MT303

Sequenz A - General information  [ obligatorisch, nicht wiederholend ]
No.
Tag
Option
Name
Status
1
15A
 
New Sequence
M
2
20 
 
Sender's Reference
M
3
21 
 
Related Reference
C
4
22A
 
Type of Operation
M
5
94A
 
Scope of Operation
M
6
22 
 
Common Reference
C
7
82a
A
Fund Manager
M
 
 
D
 
 
 
 
J
 
 
8
87a
A
Executing Broker
M
 
 
D
 
 
 
 
J
 
 
9
29A
 
Contact Information
O
10
72 
 
Sender to Receiver Information
O
Sequenz B - Forex Transaction Details  [ fakultativ, nicht wiederholend ]
No.
Tag
Option
Name
Status
11
15B
 
New Sequence
M
12
30T
 
Trade Date
M
13
30V
 
Value Date
M
14
36 
 
Exchange Rate
M
15
32B
 
Currency, Amount Bought
M
16
33B
 
Currency, Amount Sold
M
17
77D
 
Terms and Conditions
O
Sequenz C - Currency Option Details  [ fakultativ, nicht wiederholend ]
No.
Tag
Option
Name
Status
18
15C
 
New Sequence
M
19
23B
 
Identification of the Option
M
20
17A
 
Buy (Sell) Indicator
M
21
30T
 
Trade Date
M
22
30X
 
Earliest Exercise Date
C
23
30F
 
Final Settlement Date
O
24
29C
 
Expiry Location
M
25
13E
 
Expiry Date and Time
M
26
32B
 
Currency, Amount Bought
M
27
36A
 
Strike Price
M
28
33B
 
Currency, Amount Sold
M
29
39P
 
Premium Price
M
30
30P
 
Premium Payment Date
M
31
34B
 
Premium Currency and Amount
M
32
77D
 
Terms and Conditions
O
Sequenz D - Allocation Details  [ fakultativ, wiederholend ]
No.
Tag
Option
Name
Status
33
15D
 
New Sequence
M
34
28C
 
Entry Number, Page Number
M
35
21A
 
Reference of the Individual Allocation
M
36
83a
A
Fund
M
 
 
D
 
 
 
 
J
 
 
Sequenz D1 - Amount Bought  [ obligatorisch, nicht wiederholend ]
No.
Tag
Option
Name
Status
37
32B
 
Currency, Amount Bought
M
38
53a
A
Delivery Agent
O
 
 
D
 
 
 
 
J
 
 
39
56a
A
Intermediary
O
 
 
D
 
 
 
 
J
 
 
40
57a
A
Receiving Agent
M
 
 
D
 
 
 
 
J
 
 
Sequenz D2 - Amount Sold  [ obligatorisch, nicht wiederholend ]
No.
Tag
Option
Name
Status
41
33B
 
Currency, Amount Sold
M
42
53a
A
Delivery Agent
O
 
 
D
 
 
 
 
J
 
 
43
56a
A
Intermediary
O
 
 
D
 
 
 
 
J
 
 
44
57a
A
Receiving Agent
M
 
 
D
 
 
 
 
J
 
 
45
58a
A
Beneficiary Institution
O
 
 
D
 
 
 
 
J
 
 
Sequenz D3 - Premium  [ fakultativ, nicht wiederholend ]
No.
Tag
Option
Name
Status
46
34B
 
Premium Currency and Amount
M
47
53a
A
Delivery Agent
O
 
 
D
 
 
 
 
J
 
 
48
56a
A
Intermediary
O
 
 
D
 
 
 
 
J
 
 
49
57a
A
Receiving Agent
M
 
 
D
 
 
 
 
J
 
 
50
58a
A
Beneficiary Institution
O
 
 
D
 
 
 
 
J