Eurex
XML Report Reference Manual
Version V 3.1.3
05.04.2017
XML Report Tag Descriptions
Page 666
6.265 cshQty
Description
This field contains the quantity of the cash leg (equities) resulting from
a volatility strategy trade in equity options entered as a TES block
trade.
Format
numeric signed 8
CE070 Exercise And Assign Summary
CE770 Exercise And Assign Overview
6.266 cshRcvPayAmnt
Description
This field contains the cash amount receivable/payable of a physically
settled delivery per account and futures contract.
Format
numeric signed 12, 2
6.267 cshRefCod
Description
This field contains the cash reference code for the transaction in the
cash account.
Format
alphanumeric 15
CD010 Daily Cash Account CM
CD011 Daily Cash Account AH
CD012 Daily Cash Account NCM / RC
CD015 Detailed Account Statement
CD070 Monthly Cash Account CM
CD071 Monthly Cash Account AH
CD072 Monthly Cash Account NCM / RC