Eurex
XML Report Reference Manual Version V 3.1.3
05.04.2017
XML Report Tag Descriptions Page 643
6.202 cntrExpDayDat
Description This field indicates the expiration day of the contract.
Format numeric 2
Where used: CB165 Eurex Fee Statement
6.203 cntrExpMthDat
Description This field indicates the expiration month of the contract.
Format numeric 2
Valid Values
Decodes Descriptions
1JAN
2FEB
3MAR
4 APR
5MAY
6JUN
7JUL
8AUG
9 SEP
10 OCT
11 NOV
12 DEC
Where used: CA051 Capital Adjustment Series
CA052 Capital Adjustment Positions
CA054 Capital Adjustment Orders
CA752 Capital Adjustment Positions Overview
CB010 Position Detail
CB011 Std and Flx Cntr Dly Transactn
CB012 Account Statement
CB020 Position Summary
CB021 Position / Active Trd Summary
CB030 Position Transfer Overview
CB031 Settling Futures Positions
CB102 Cash Settled Contracts