Description
Type: int
Indicates order settlement period for the underlying instrument.
Valid values:
- 2 = T+1
- 4 = T+3
- 5 = T+4
-
10 = S
For securities lending contract, specifies that the collateral settles on the contract’s settlement date.
-
11 = S-1
For securities lending contract, specifies that the collateral settles 1 business day before the contract’s settlement date.
-
12 = S-2
For securities lending contract, specifies that the collateral settles 2 business days before the contract’s settlement date.