Eurex
XML Report Reference Manual
Version V 3.1.3
05.04.2017
XML Report Tag Descriptions
Page 737
6.452 fullRebVol
Description
This field contains the fully rebated volume.
Format
numeric 15
CB169 MM Fee Refund
CB179 Monthly Rebate Report
CB187 Monthly Rebates Overview
6.453 fundingDays
Description
This field represents the Funding Days calculated as the calendar day
difference between the current and the previous Day Settlement date.
Format
numeric 2
TA115 Total Return Futures Parameters
6.454 fundingRate
Description
This field represents the Funding Rate entered on that business day
and used for the Daily Funding calculation, i.e. the periodic or the
overnight interest rate determined on the previous evening.
Format
numeric signed 12, 6
TA115 Total Return Futures Parameters
6.455 fundType
Description
This field contains the funding type (default fund, company capital).
Format
alphanumeric 15