New version of Broker quotation system — 4.31

9 august 2019

The new version of the Broker quotation system has the following improvements:

  • there is an option to trade bonds in the currency different from the par value one,
  • there is a new ‘Currency calendar’ type which allows accurate calculation of settlement dates taking account of public holidays in different countries,
  • for such financial instruments as Securities, Bonds, Futures, and swap instruments a new ‘Instrument subtype’ parameter was added (ordinary shares, preferred shares, government bonds, municipal bonds, etc.),
  • a set of stored procedures was added which allow automated processing of class, instrument and calendar directories.

Besides that, the new version has an expanded functionality to work with REPO instruments.

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