User Guide

Understanding the Blotters.

User Guide: Understanding the Blotters.

This guide provides detailed explanations of the columns1 included in the Bondtape Prototype blotter to help users interpret the data effectively.

Column Name Description
Trading Date and Time The timestamp (to milliseconds) indicating when the trade was executed.
Publication Date and Time The timestamp (to milliseconds) of when the trade report was published by the venue or APA.
Instrument Identification Code A unique identifier (ISIN) for the instrument traded.
Instrument Short Name The human-readable short name of the instrument available in FIRDS.
Coupon The fixed interest rate of the bond as part of its instrument details available in FIRDS.
Maturity The maturity date of the bond available in FIRDS.
Price The price at which the trade was executed, excluding any commissions or accrued interest.
Price Currency The currency in which the trade price is expressed.
Price Notation Indicates the pricing convention used (e.g., percentage of notional, yield).
Notional Amount The nominal or face value of the trade, representing the trade’s total volume.
Notional Currency The currency in which the notional amount is denominated.
Venue of Execution The Market Identifier Code (MIC) of the venue where the transaction was executed.
Venue of Publication The MIC code of the venue or APA that published the trade report.
Transaction Identification Code A unique alphanumerical code assigned to identify this specific trade report.
Flag List A concatenated list of flags2 indicating special conditions or attributes of the trade.

Filters

The following filters can be applied to the blotter to refine the displayed data:

Field Name How to Use
ISIN Enter one or more ISINs to filter trades by specific instruments.
Coupon Input the desired coupon rate(s) to filter bonds with specific fixed interest rates.
Maturity Date Specify a date or date range to filter bonds maturing on or within the chosen timeframe.
Price Enter a price or range to view trades executed within the specified price criteria.
Price Currency Select the currency of interest to filter trades priced in a specific currency.
Price Notation Input the desired pricing convention to filter relevant trade reports.
Notional Currency Specify the currency to filter trades based on their notional value currency.
Venue of Publication Enter the MIC code(s) to filter trades by their reporting venue.
Venue of Execution Enter the MIC code(s) to filter trades by their execution venues.
Cleansed Select “Yes” to get the cleansed data set.

© 2025 Bondtape. All rights reserved. This user guide is for informational purposes only.

1 For more information, refer to the Table 2 List of details for the purpose of post-trade transparency of Annex II of Commission Delegated Regulation (EU) 2017/583

2 For more information, refer to the Table 3 List of flags for the purpose of post-trade transparency of Annex II of Commission Delegated Regulation (EU) 2017/583