ISODate A particular point in the progression of time in a calendar year expressed in the YYYY-MM-DD format. This representation is defined in "XML Schema Part 2: Datatypes Second Edition - W3C Recommendation 28 October 2004" which is aligned with ISO 8601. ISODateTime A particular point in the progression of time defined by a mandatory date and a mandatory time component, expressed in either UTC time format (YYYY-MM-DDThh:mm:ss.sssZ), local time with UTC offset format (YYYY-MM-DDThh:mm:ss.sss+/-hh:mm), or local time format (YYYY-MM-DDThh:mm:ss.sss). These representations are defined in "XML Schema Part 2: Datatypes Second Edition - W3C Recommendation 28 October 2004" which is aligned with ISO 8601. Note on the time format: 1) beginning / end of calendar day 00:00:00 = the beginning of a calendar day 24:00:00 = the end of a calendar day 2) fractions of second in time format Decimal fractions of seconds may be included. In this case, the involved parties shall agree on the maximum number of digits that are allowed. ESMA_NindCcpt_Pattern ESMA_Concat_Pattern PersonIdentificationSchemeName1Choice__1 Sets of elements to identify a name of the identification scheme. Code Name of the identification scheme, in a coded form as published in an external list. Proprietary Name of the identification scheme, in a free text form. ESMA_PersonalIdentification_Pattern ESMA_EeaEuropeanAlphabetMax140_Pattern GenericPersonIdentification1__1 Information related to an identification of a person. Identification Unique and unambiguous identification of a person. SchemeName Name of the identification scheme. PersonIdentification10__1 Unique and unambiguous way to identify a person. Other Unique identification of a person, as assigned by an institution, using an identification scheme. Usage: In the scope of MIFIR, the scheme name is restricted to a passport number (use of code CCPT), any other national identifier (use of code NIDN) or CONCAT (use of proprietary with value CONCAT). Issuer field will be ignored and should not be populated by reporting parties. Max52Text Specifies a character string with a maximum length of 52 characters. ISIN ISIN An Alphanumeric 12 characters long RepRefNumPattern Report Reference Number validation to prevent special characters and restrict data to A-Z and 0-9 VPC Venue Product Code MICIdentifier Market Identifier Code. The identification of a financial market, as stipulated in the norm ISO 10383 'Codes for exchanges and market identifications'. PositionMaturity Position Maturity Code Spot Spot Position Maturity Other Spot Position Maturity PositionType Position Type Code Maximum13Integer Number of objects represented as an integer. Maximum15-2Real Number of objects represented as an real with max 15 digits and precision 2. TrueFalseIndicator A flag indicating a True or False value. EmailAddress Specifies a character string format of an email Max25Text Specifies a character string with a maximum length of 25 characters. CommodityPositionReportV01 The Commodity Position Report message is ... ReportDate Field required as a matter of record. Also enables supervision of late submissions, and repeated submissions in the case of rejections. Monitoring to be determined according to supervisory risk appetite. YYYY-MM-DDThh:mm:ss.ddddddZ BusinessDate The report is required to be provided by trading venues and investment firms to competent authorities daily. It therefore is expected to be produced at the close of the business day and submitted by 09:00 CET on the following business day. ReportingEntityIdentifier Legal Entity Identifier (“LEI”). The identity of the legal entity that is making the report to the NCA. It is assumed that this is a legal person rather than a natural person. LEI (alphanumeric 20 characters) or national identification (alphanumeric 35 characters) PositionHolderIdentifier LEI for legal entities or other identifiers for natural persons, as specified by ESMA. Note: if the position is held as a proprietary position of the reporting firm, this field will be identical to field 2 above LEI (alphanumeric 20 characters) or national identification (alphanumeric 35 characters) PositionHolderContactEmail Email address for notifications of position-related matters ParentPositionHolderContactEmail Email address of ultimate parent entity PositionHolderIsIndependent TRUE - the position holder is a collective investment undertaking that makes independent investment decisions. Field to report on whether the position holder is a collective investment undertaking that makes investment decisions independently from its parent as set out by Article 4(2) of RTS 21 ParentEntityIdentifier Collected to enable aggregation of positions at a Group level rather than at individual entity level. LEI for legal entities or other identifiers for natural persons, as specified by ESMA. Note: this field may be identical to field 2 and/or 3 above if the parent entity holds its own positions, or makes its own reports. LEI (alphanumeric 20 characters) or national identification (alphanumeric 35 characters) UniqueInstrumentIdentifier Use of ISIN for the individual instrument has been agreed by MDRWG See field 5 below for treatment of OTC contracts that are economically equivalent to contracts that are traded on trading venues VenueProductCode Used to group together different contracts in the same product for the “other months’” calculation where they have different ISINs TradingVenueIdentifier Either the Market Identifier Code (“MIC”) or for off-exchange positions in economically equivalent OTC contracts, the code “XXXX” PositionType Specifies the type of Position E.g. OPTN, FUTR, EMIS, SDRV, OTHR PositionMaturity Either “SPOT” for spot month or “ALL” for all other months. Note: separate reports are required for spot months and all other months in order to facilitate the monitoring of compliance with Article 57(1). PositionQuantity Position expressed in the number of contracts PositionQuantityUnitOfMeasure Units used to report the position quantity PositionQuantityUnitOfMeasure Specify if PstnQtyUoMCode is OTHER. A description of the units used if the position quantity is expressed in units of the underlying DeltaPositionQuantity Position expressed in the number of contracts RiskReducingIndicator Indicated by the use of "True" - yes (position is risk reducing) or “FALSE” - no (position is not risk reducing).