Prior Period Positions
This section shows the MTM Profit and Loss on the previous day's positions.
| Field | Description |
|---|---|
| Account ID | The account number. |
| Account Alias | Account alias, if there is one. |
| Model | Model, if applicable. |
| Currency | The currency denomination of the prior period position |
| Asset Class | The asset class of the prior period position. |
| FX Rate to Base | The conversion rate from asset currency to base currency. |
| Symbol | The symbol of the prior period position. |
| Description | The description of the prior period position |
| Conid | The conid of the prior period position. |
| Security ID | The security ID of the prior period position. |
| Security ID Type | The security ID type of the prior period position |
| CUSIP | The CUSIP of the prior period position. |
| ISIN | The ISIN of the prior period position. |
| FIGI | The FIGI of the prior period position. |
| Underlying Conid | The underlying conid of the prior period position if applicable. |
| Underlying Symbol | The underlying symbol of the prior period position if applicable. |
| Issuer | The company that issued the contract. For structured products only. |
| Date | The date of the statement. |
| Price | The previous day's price. |
| Prior MTM PNL | The previous day's MTM PNL. |
| Commodity | Commodity type. |
| Delivery | Physical delivery type. |
| Weight | Weight of delivery. |
| Fineness | Fineness of commodity. |
| Serial Number | Serial number of commodity. |