This file is generated for each trading member for all contracts in which the member or any of his clients, has either a brought forward position or an open positions on that day. The information will be given to each trading member and would contain details upto client level.
1. The file is in a zip format.
2. The naming convention of the file is F_PS03_<Member code>_DDMMYYYY.CSV.gz.
3. It is available in the directory /FAOFTP/F<MEMBER CODE>/REPORTS.
The individual field descriptors of the file are detailed hereunder:
| No. |
Field Name |
Descriptor |
| 1 |
Position Date |
Date |
| 2 |
Segment Indicator |
F' for F&O segment |
| 3 |
Settlement Type |
F' for Futures/ 'O' for Index Options/ 'S' for Options on securities etc. |
| 4 |
Clearing Member Code |
CM Code |
| 5 |
Member Type |
M' for TM/ 'C' for CP. |
| 6 |
Trading Member Code |
TM Code / CP Code |
| 7 |
Account Type |
P' for proprietary/ 'C' for client etc. |
| 8 |
Client Account / Code |
Client Account No. / Code |
| 9 |
Instrument Type |
FUTIDX / OPTIDX / OPTSTK etc. |
| 10 |
Symbol |
NIFTY / RELIANCE / DEFTY etc. |
| 11 |
Expiry date |
Contract expiry date |
| 12 |
Strike Price |
0' for Futures Contracts |
| 13 |
Option Type |
FF'/ 'CA'/'CE'/'PA'/'PE' |
| 14 |
CA Level |
0' for Futures Contracts / Number |
| 15 |
Brought Forward Long Quantity |
B/F long quantity |
| 16 |
Brought Forward Long Value |
B/F value for long futures positions/ 0 for options |
| 17 |
Brought Forward Short Quantity |
B/F short quantity |
| 18 |
Brought Forward Short Value |
B/F value for short futures positions / 0 for options |
| 19 |
Day Buy Open Quantity |
Quantity purchased today |
| 20 |
Day Buy Open Value |
Value of purchased quantity |
| 21 |
Day Sell Open Quantity |
Quantity sold today |
| 22 |
Day Sell Open Value |
Value of sold quantity |
| 23 |
Pre Ex / Asgmnt Long Quantity |
Net long quantity before exercise |
| 24 |
Pre Ex / Asgmnt Long Value |
Net long value for futures (0 for options) |
| 25 |
Pre Ex / Asgmnt Short Quantity |
Net short quantity before assignment |
| 26 |
Pre Ex / Asgmnt Short Value |
Net short value for futures (0 for options) |
| 27 |
Exercised Quantity |
Total Valid exercised quantity / 0 |
| 28 |
Assigned Quantity |
Total Assigned quantity / 0 |
| 29 |
Post Ex / Asgmnt Long Quantity |
Sr. 23 - Sr. 27 |
| 30 |
Post Ex / Asgmnt Long Value |
Sr. 24 (0 for options) |
| 31 |
Post Ex / Asgmnt Short Quantity |
Sr. 25 - Sr. 28 |
| 32 |
Post Ex / Asgmnt Short Value |
Sr. 26 (0 for options) |
| 33 |
Settlement Price |
Calculated Value (1) detailed below |
| 34 |
Net Premium |
Calculated Value (2) detailed below |
| 35 |
Daily MTM Settlement Value |
Calculated Value (3) detailed below |
| 36 |
Futures Final Settlement Value |
Calculated Value (4) detailed below |
| 37 |
Exercised / Assigned Value |
Calculated Value (5) detailed below |