Enum

TradeSettlement

When a trade settles relative to its execution date.

values4 used byTradeReport
Values
REGULAR_SETTLEMENT 0
Regular way settlement.
CASH_SETTLEMENT 1
Cash trade, settles the same day.
NEXT_DAY_SETTLEMENT 2
Settles the next business day.
SELLER_SETTLEMENT 3
Seller's option: settles on a day chosen by the seller within an agreed window.