Selling or Buying Back a Deal
This topic discusses selling or buying back a deal.
Page Name |
Definition Name |
Usage |
---|---|---|
TRX_SELLBUYBACK_SP |
Enter the attributes of selling or buying back a deal. |
Use the Deal Management Sell/Buyback functionality with all deal types to sell or buyback a deal. You can use this functionality to:
Sell a purchased investment at a point in its life cycle.
Split an existing deal into one or more new deals.
Call back a debt.
Use the Update/Display Sell/Buyback Details page (TRX_SELLBUYBACK_SP) to enter the attributes of selling or buying back a deal.
Navigation:
Click Sell/Buyback on the Deal Detail page.
Click Sell/Buyback on the Trade Detail page.
The Sell/buyback link appears on the Details page after the deal is saved. The link remains visible as long as the deal is open. You cannot use the Sell/Buyback functionality with option or binary option deals.
To view this page, the Trade Type drop-down list box on the Trade Detail page must have a value of Closed. Otherwise, the Sell/Buyback link is not displayed.
See Trade Detail Page.
This example illustrates the fields and controls on the Update/Display Sell / Buyback Details page. You can find definitions for the fields and controls later on this page.

Note: Some of the fields on the Update/Display Sell / Buyback Details page are not displayed for non physical deals.
Transaction Dates
Field or Control |
Description |
---|---|
Unwind Date |
Enter the transaction sales date for a sell/buyback transaction. |
Settlement Date |
Enter the agreed upon settlement date for a sell/buyback transaction. |
Unwind Settlement
Field or Control |
Description |
---|---|
Unwind Par |
Enter the sell/buyback par amount. |
Price % of Par |
Enter the sell/buyback pro rata percentage. Generally equals 100 if par, less than 100 if discount, and greater than 100 if premium. |
Unwind Accrual Amt (unwind accrual amount) |
Enter the traded accrued interest as of the sell/buyback settlement date. |
Unwind Book Value |
Enter the deal book value as of sale settlement date. System calculation for the current value is: (Sale Pro Rata % / 100)
x (Unwind Princp. Bal. + Unamort. Fee Amt + Unamort. Disc. Prem)
|
Unwind Principal Amount |
Enter the sale price for a sell/buyback transaction. System calculation is: Unwind Par x Price %
of Par
|
Unwind Settlement Amount |
Enter the sum of the unwind principal amount and unwind accrual amount. |
Unwind Principal Balance |
Review the original par amount if no amortization or unamortized principal balance exists. |
Unwind Pro Rata % |
Review the percentage of unwind par value of which a financial instrument is priced when booked into the system. |
Amortized Disc/Premium (amortized discount premium) |
Review the discount amount deducted from the par price of a given deal transaction such as a bond. |
Unamortized Disc/Premium (unamortized discount premium) |
Review the unamortized discount amount deducted from the par price of a given deal transaction such as a bond. |
Write-Off Unam Disc/Prem (write-off unamortized discount/premium) |
Review the amount written off due to this sell/buyback activity. System calculation is: (Unamortized Disc /
Prem ) x (Unwind Pro Rata % / 100)
|
Fee Balance |
Review the total fee amounts for deals. (Refers to accruing fees only.) |
Amortized Fee |
Review the amortized accruing fee as of sell/buyback settlement date. |
Unamortized Fee |
Review the unamortized accruing fee as of sell/buyback settlement date. |
Write-Off Fee |
Review the write-off fee total. System calculation is: Unamortized Fee x (Unwind
Pro Rata % / 100)
|