SettlementInstructions
SettlementInstructions associated with a net position
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Name Type Description ActualRolloverAmount Number The amount that will be rolled over ActualSettlementAmount Number The amount of the net positions that is going to settle Amount Number The amount that is given by the client and stored as instructions IsSettlementInstructionsAllowed Boolean The liquidation date is the last day where the instructions can be updated and it can be done till the exchange is open. Month Integer SRD Calendar month SettlementType SettlementType Client's chosen settlement type Year Integer SRD Calendar year