The ProvisionCashSettlValueDates component is a subcomponent within the ProvisionGrp component used to report the cash settlement value date and time defined in the provision.

Added in protocol FIX.5.0SP2 (EP 161)

Field or Component Name Description Is Required Added Is Deprecated
40114 ProvisionCashSettlValueTime FIX.5.0SP2 (EP 161)
40115 ProvisionCashSettlValueTimeBusinessCenter FIX.5.0SP2 (EP 161)
40116 ProvisionCashSettlValueDateBusinessDayConvention When specified, this overrides the business day convention defined in the DateAdjustment component in Instrument. The specified value would be specific to this instance of the provisional cash settlement value date. FIX.5.0SP2 (EP 161)
BlockRepeating ProvisionCashSettlValueDateBusinessCenterGrp When specified, this overrides the business centers defined in the DateAdjustment component in Instrument. The specified values would be specific to this instance of the provisional cash settlement value date. FIX.5.0SP2 (EP 161)
40118 ProvisionCashSettlValueDateRelativeTo FIX.5.0SP2 (EP 161)
40119 ProvisionCashSettlValueDateOffsetPeriod Conditionally required when ProvisionCashSettlValueDateOffsetUnit (40120) is specified. FIX.5.0SP2 (EP 161)
40120 ProvisionCashSettlValueDateOffsetUnit Conditionally required when ProvisionCashSettlValueDateOffsetPeriod (40119) is specified. FIX.5.0SP2 (EP 161)
40121 ProvisionCashSettlValueDateOffsetDayType FIX.5.0SP2 (EP 161)
40122 ProvisionCashSettlValueDateAdjusted FIX.5.0SP2 (EP 161)

Used in components