Data & Reports Download
The following reports are downloaded to members on a daily basis:
Settlement Reports
Detailed Position File for Trading Members (PS03) (.doc)
Detail Position File for Clearing Member (PS04) (.doc)
Detailed Trades Report for Trading Member (TR01) (.doc)
Detailed Trades Report for Clearing Member (TR02) (.doc)
Detailed Contracts Reports (CN01) (.doc)
Bank Report for Next Day Obligations (BK01) (.doc)
Bank Summary Report for Clearing Member (BK02) (.doc)
Bank Transaction Report for Clearing Member (BK03) (.doc)
Trade report for futures on 91 Day T-Bill for Trading Members(IRT_TR01) (.doc)
Trade report for futures on 91 Day T-Bill for Clearing Members (IRT_TR02) (.doc)
Margin Reports (with details)
Naming convention: - X_MG09_<MEMBER CODE>_DDMMYYYY.LIS.gz
File location: /CDSFTP/X<MEMBER CODE>/REPORTS
File details and format:
Sr. No
TM/CP Code
Initial Margin
Premium Margin
Total Margin
Futures Final Settlement margin
This report gives margin summary for the clearing member code across all his Trading Members /CPs.
Naming convention: - X_MG10_<MEMBER CODE>_DDMMYYYY.LIS.gz
File location: /CDSFTP/X<MEMBER CODE>/REPORTS
File details and format:
Sr. No
Proprietary/ Client
Initial Margin
Premium Margin
Total Margin
This report gives margin summary for the TM/CP code across with his account types.
Naming convention - X_MG11_<MEMBER CODE>_DDMMYYYY.LIS.gz
File location: /CDSFTP/X<MEMBER CODE>/REPORTS
File details and format:
A. Capital
- Total Cash Capital
- Total Non-Cash Capital
- Total Capital (A1 + A2)
- Cash Component Required (%)
- Effective Deposits [Min (A1/A4, A3)]
- Non-usable Non-cash Capital (A3 - A5)
B. Margin Information
- Minimum Liquid Net Worth
- Initial Margin Amount
- Extreme Loss Margin
- Effective Deposits Required For Initial Margin (B7 + B8)
- Effective Deposits Required For ELM (B7+B8 +B9)
- Effective Deposit requirement for the Clearing Member [Higher of (B10, B11)]
C. Transaction Amount
- Excess Effective Deposits Required (B12 'A5)
- Minimum Free Deposit for Pay-in Transaction
- Minimum Free Deposit for Pay-out Transaction
- Additional Deposit Required
- Daily Cash Margin Already Paid By the Member
- Non-usable Non-cash Allocation
- Cash Margin Payable(+)/Receivable(-)
This report gives the collateral and margin payable statement for a clearing member
Naming convention - X_MG12_<MEMBER CODE>_DDMMYYYY.LIS.gz
File location: /CDSFTP/X<MEMBER CODE>/REPORTS
File details and format:
The file for a clearing member shall contain the following values
Trade date
Trading member /Custodial participant code
Initial margin
Extreme Loss Margin
Total margin
Filler
Naming convention - X_MG13_<MEMBER CODE>_DDMMYYYY.LIS.gz
File location: /CDSFTP/X<MEMBER CODE>/REPORTS
File details and format:
The file for a trading member shall contain the following values
Trade date
Client Code
Initial margin
Extreme Loss Margin
Total margin
Filler
Client/PRO flag
Naming convention - X_MG12_P_<MEMBER CODE>_DDMMYYYY.LIS.gz
File location: /CDSFTP/X<MEMBER CODE>/REPORTS
File details and format:
The file for a clearing member shall contain the following values
Trade date
Trading member /Custodial participant code
Initial margin
Extreme Loss Margin
Total margin
Filler
Naming convention - X_MG13_P_<MEMBER CODE>_DDMMYYYY.LIS.gz
File location: /CDSFTP/X<MEMBER CODE>/REPORTS
File details and format:
The file for a trading member shall contain the following values
Trade date
Client Code
Initial margin
Extreme Loss Margin
Total margin
Filler
Client/PRO flag