NATIONAL SECURITIES CLEARING CORPORATION LIMITED



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NATIONAL SECURITIES CLEARING CORPORATION LIMITED DEPARTMENT : CURRENCY DERIVATIVES MARKET Download No: NSE/CD/32008 Date : March 17, 2016 Circular Ref. No :743/2016 To All Members, Sub: Additional reports and changes in existing file formats Members are hereby requested to note that in view of SEBI Circular No. SEBI/HO/MRD/DP/CIR/P/2016/0000000038 dated March 09, 2016 on introduction of Cross Currency derivatives on Exchanges, the following reports shall additionally be made available to members and the date of introduction of the new reports will be communicated separately to members. Additional Reports 1. Additional Reports to be downloaded on all days Cross Currency Derivatives Position file for Trading Member (CCR_PS03) Cross Currency Derivatives Position file for Clearing Member (CCR_PS04) Cross Currency Derivatives Trades Report for Trading Member (CCR_TR01) Cross Currency Derivatives Trades Report for Clearing Member (CCR_TR02) 2. Additional Reports to be downloaded on the day of expiry of Cross Currency derivatives (in addition to the above reports) Provisional Cross Currency Position file for Trading Member on expiry (CCR_PS03_P) Provisional Cross Currency Position file for Clearing Member on expiry (CCR_PS04_P) 3. Cross Currency Daily Settlement Price A new file for daily settlement prices of Cross Currency Derivatives shall be provided on the website. This file shall provide the daily settlement prices of cross currency derivatives in terms of INR. Members should take note that the existing Daily Settlement price file shall contain prices for cross currency derivatives in terms of quoted currency. Report structure There shall be no change in the structure of the existing reports and the additional reports shall have a structure similar to existing reports unless specified otherwise. The detailed file structure for additional reports is provided in Annexure I. The members may take note that the strike price of contracts in various reports shall have a precision of up to four decimals. This will be applicable for the non-cross Currency as well as Cross Currency contracts. Regd. Office : Exchange Plaza, Bandra Kurla Complex, Bandra (E), Mumbai 400 051 Page 1 of 8

The schedule for download of reports The schedule for download of daily reports shall be as under: 1. Reports downloaded as per the existing schedule CUR_TR01, CUR_TR02, IRF_TR01, IRF_TR02, IRT_TR01, IRT_TR02 CUR_PS03, CUR_PS04, IRF_PS03, IRF_PS04 CUR_MG12, CUR_MG13, IRF_MG12, IRF_MG13 X_CN01 2. Reports downloaded after the trading hours of Cross Currency derivatives CCR_TR01, CCR_TR02, X_TR01,X_TR02 CCR_PS03, CCR_PS04, X_PS03, X_PS04 X_MG12, X_MG13, X_MG18 X_CN01_1 MG09, MG10, MG11 BK01, BK02, BK03 CL01 3. Expiry related reports shall be downloaded after the expiry of the contracts as per the current schedule X_PS03_P, X_PS04_P, IRT_PS03_P, IRT_PS04_P, CCR_PS03_P, CCR_PS04_P EX01, EX02, AS01, AS02 Further, in continuation to NSCCL Circular reference number 1425/2012 and Download reference number 20977, members using the risk parameter files may note the changes in the format of tags in the risk parameter file. Element Tag Description Data Type Current Format Possible s Revised Possible phypf, strikedl Strike Decimal int 2 4 futpf, ooppf Locator ooppf pricedl Price Decimal Locator Int 2 4 Members are further advised to use latest PC-SPAN version available on CME website. Members are advised to take note of the above and for any further clarifications; please contact the NSCCL helpdesk number 18002660057. For and on behalf of National Securities Clearing Corporation Ltd Anil Suvarna Manager SPAN is a registered trademark of the Chicago Mercantile Exchange, used herein under License. The Chicago Mercantile Exchange assumes no liability in connection with the use of SPAN by any person or entity. Telephone No Fax No Email id 18002660057 +91-22-26598294 cds_clearing@nse.co.in Regd. Office : Exchange Plaza, Bandra Kurla Complex, Bandra (E), Mumbai 400 051 Page 2 of 8

Annexure 1 1. Detailed Trade Report for trading members (TR01) and detailed Trade Report for clearing members (TR02) i. Cross Currency Futures Trades Report for Trading Member (CCR_TR01) ii. Cross Currency Futures Trades Report for Clearing Member (CCR_TR02) Naming Convention File Path File Format CCR_TR01_<MEMBER CODE>_DDMMYYYY.CSV.gz CCR_TR02_<MEMBER CODE>_DDMMYYYY.CSV.gz directory /CDSFTP/X<MEMBER CODE>/REPORTS comma separated file format (CSV) Column No Headers Field Characteristics Details 1 Trade Number Trade Number 2 Trade Date DATE Format DD-MMM-YY 3 Activity Type Default - 2 4 Market Type N - Normal Market Type 5 Instrument Type FUTCUR - Currency Futures OPTCUR - Currency Options 6 Symbol EURUSD EUR-USD Contract GBPUSD GBP-USD Contract USDJPY USD JPY Contract 7 Last Trading Date DATE Format DD-MMM-YY 8 Strike Price Strike Price of Options 9 Option Type CE - Call Option Default is '0' (Zero) for Futures Contracts PE - Put Option FF - Futures Contracts 10 Corporate Action level Default value is '0' (Zero). No corporate action in currency derivatives 11 Buy Broker Buy TM Code Regd. Office : Exchange Plaza, Bandra Kurla Complex, Bandra (E), Mumbai 400 051 Page 3 of 8

12 Sell Broker Sell TM Code 13 Trade Price Traded Price of the contract 14 Trade Date Time DATE Format mm/dd/yyyy hh:mm:ss PM 15 Trade Volume Number of Contracts traded today 16 Trade Token No Token no of Contract 17 Trade Buy Branch Branch no of user 18 Buy CM Code Clearing Member Code 19 Sell CM Code Clearing Member Code 20 Trade Sell Branch Branch no of user 21 Buy Custodial Participant CP Code 22 Buy Side Confirmation Confirmation Flag of CP Trades 23 Sell Custodial Participant CP Code 24 Sell Side Confirmation Confirmation Flag of CP Trades 25 Buy Covered Uncovered Flag 26 Sell Covered Uncovered Flag 27 Buy Old Custodial Participant Default - 'U' Default - 'U' No Data 28 Buy Old CM Code No Data 29 Sell Old Custodial Participant No Data 30 Sell Old CM Code No Data 31 Trade Buyer User ID 32 Trade Seller User ID 33 Buy Order No Trade Number 34 Sell Order No Trade Number 35 Buy Account No Client Code 36 Sell Account No Client Code 37 Buy Remarks No Data 38 Sell Remarks No Data Regd. Office : Exchange Plaza, Bandra Kurla Complex, Bandra (E), Mumbai 400 051 Page 4 of 8

39 Buy Position Default - 'O' 40 Sell Position Default - 'O' 41 Buy Proprietor Client Flag 42 Sell Proprietor Client Flag C - Client P - Proprietary C Client P - Proprietary 43 Control Flag Default - N 44 Trade Execution Date Time DATE Format mm/dd/yyyy hh:mm:ss PM 2. Detailed Position file for trading members (PS03) and detailed Position file for clearing members (PS04) All Days: Cross Currency Futures Position file for Trading Member CCR_PS03 Cross Currency Futures Position file for Clearing Member CCR_PS04 Expiry Day: Provisional Cross Currency Position file for Trading Member on expiry (CCR_PS03_P) Provisional Cross Currency Position file for Clearing Member on expiry (CCR_PS04_P) Naming Convention File Path File Format CCR_PS03_<MEMBER CODE>_DDMMYYYY.CSV.gz CCR_PS04_<MEMBER CODE>_DDMMYYYY.CSV.gz CCR_PS03_P_<MEMBER CODE>_DDMMYYYY.CSV CCR_PS04_P_<MEMBER CODE>_DDMMYYYY.CSV directory /CDSFTP/X<MEMBER CODE>/REPORTS comma separated file format (CSV) Column No Headers Field Characteristics Details 1 Position Date DATE Format DD-MMM-YY 2 Segment Indicator X - Currency Segment 3 Settlement Type E Futures C Options 4 Clearing Member Code Clearing Member Code 5 Member Type M for Trading Member Regd. Office : Exchange Plaza, Bandra Kurla Complex, Bandra (E), Mumbai 400 051 Page 5 of 8

6 Trading Member Code Trading Member Code 7 Account Type P proprietary C Client 8 Client Account / Code Default value is '0' (Zero) 9 Instrument Type FUTCUR - Currency Futures OPTCUR - Currency Options 10 Symbol EURUSD EUR-USD Contract GBPUSD GBP-USD Contract USDJPY USD JPY Contract 11 Last Trading Date DATE Format DD-MMM-YY 12 Strike Price Strike Price for options 0' (Zero) for Futures Contracts 13 Option Type CE - Call Option PE - Put Option FF - Futures Contracts 14 CA Level Default value is '0' (Zero). No corporate action in currency derivatives 15 Brought Forward Long 16 Brought Forward Long 17 Brought Forward Short 18 Brought Forward Short Brought Forward Number of contracts Long Brought Forward Long in INR Brought Forward Number of contracts Short Brought Forward Short in INR 19 Day Buy Open Number of contracts purchased today 20 Day Buy Open of the purchased quantity in INR 21 Day Sell Open Number of contracts sold today 22 Day Sell Open of the sold quantity in INR 23 Pre Ex / Assgn Long Number of contracts Regd. Office : Exchange Plaza, Bandra Kurla Complex, Bandra (E), Mumbai 400 051 Page 6 of 8

24 Pre Ex / Assgn Long 25 Pre Ex / Assgn Short 26 Pre Ex / Assgn Short Amount in INR (Negative) Number of contracts Amount in INR 27 Exercised Number of options contracts exercised 28 Assigned Number of options contracts assigned 29 Post Ex / Assgn Long 30 Post Ex / Assgn Long 31 Post Ex / Assgn Short 32 Post Ex / Assgn Short Number of contracts Amount in INR (Negative) Number of contracts Amount in INR (Positive) 33 Settlement Price 1 in INR 34 Net Premium Amount in INR 35 Daily MTM Settlement 36 Futures Final Settlement 37 Exercised / Assigned 2 in INR 3 in INR 4 in INR 3. Cross Currency Daily Settlement Prices Naming Convention File Path File Format CCRSett_prce_DDMMYYYY.csv Website Products Currency Derivatives Current Market Reports View all daily reports comma separated file format (CSV) Regd. Office : Exchange Plaza, Bandra Kurla Complex, Bandra (E), Mumbai 400 051 Page 7 of 8

Column No Headers Comments 1 Date Format DD-MMM-YYYY 2 Instrument FUTCUR/OPTCUR 3 Underlying 4 Expiry Date Format DD-MMM-YYYY 5 Cross Currency Price Cross currency rate (in quoted currency) 6 RBI Reference Rate Relevant RBI reference rate used for conversion in INR 7 MTM Settlement Price Daily settlement price in INR Regd. Office : Exchange Plaza, Bandra Kurla Complex, Bandra (E), Mumbai 400 051 Page 8 of 8