| ENUM TCSpecial | Status: Added | 
| Property | New value | 
| Caption | Тип РК | 
| Size | 1 | 
| Type | ekCombo | 
| Constant | Status | New value | 
| N | Added | #0, "" | 
| Y | Added | #1, "C", "С" | 
| I | Added | #2, "I", "Ин" | 
| TABLE BANKACC | Status: Modified | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | CSPECIAL | Modified | + | 
| OUT BANKACC.CSPECIAL | Status: Modified | 
| Property | New value | Previous value | 
| Enum | TCSpecial | TYesNo | 
| TABLE BONDSUBTYPE | Status: Added | 
| Property | New value | 
| Caption | Подвид облигации | 
| Description | Классификатор подвида облигаций | 
| Updateable | No | 
| ClearOnUpdate | No | 
| SystemIndex | 0 | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | BONDSUBTYPE | Added | ||||||||||||
| 2 | NAME | Added | ||||||||||||
| 3 | LATNAME | Added | ||||||||||||
| 4 | DESCRIPTION | Added | 
| OUT BONDSUBTYPE.BONDSUBTYPE | Status: Added | 
| Property | New value | 
| Caption | Подвид облигации | 
| Description | Классификатор подвида облигаций | 
| Size | 2 | 
| Type | INTEGER | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT BONDSUBTYPE.NAME | Status: Added | 
| Property | New value | 
| Caption | Name | 
| Size | 4 | 
| Type | CHAR | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT BONDSUBTYPE.LATNAME | Status: Added | 
| Property | New value | 
| Caption | Имя на английском | 
| Size | 4 | 
| Type | CHAR | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT BONDSUBTYPE.DESCRIPTION | Status: Added | 
| Property | New value | 
| Caption | Description | 
| Size | 128 | 
| Type | CHAR | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| TABLE BONDTYPE | Status: Added | 
| Property | New value | 
| Caption | Вид облигации | 
| Description | Классификатор вида облигаций | 
| Updateable | No | 
| ClearOnUpdate | No | 
| SystemIndex | 0 | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | BONDTYPE | Added | ||||||||||||
| 2 | NAME | Added | ||||||||||||
| 3 | LATNAME | Added | ||||||||||||
| 4 | DESCRIPTION | Added | 
| OUT BONDTYPE.BONDTYPE | Status: Added | 
| Property | New value | 
| Caption | Вид облигации | 
| Description | Классификатор вида облигаций | 
| Size | 2 | 
| Type | INTEGER | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT BONDTYPE.NAME | Status: Added | 
| Property | New value | 
| Caption | Name | 
| Size | 4 | 
| Type | CHAR | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT BONDTYPE.LATNAME | Status: Added | 
| Property | New value | 
| Caption | Имя на английском | 
| Size | 4 | 
| Type | CHAR | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT BONDTYPE.DESCRIPTION | Status: Added | 
| Property | New value | 
| Caption | Description | 
| Size | 128 | 
| Type | CHAR | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| TABLE EXT_ORDERBOOK | Status: Modified | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | ZSPREAD | Added | ||||||||||||
| 2 | CALLOPTIONZSPREAD | Added | 
| OUT EXT_ORDERBOOK.ZSPREAD | Status: Added | 
| Property | New value | 
| Caption | Z-spread | 
| Description | Z-spread on the quote price | 
| Size | 9.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT EXT_ORDERBOOK.CALLOPTIONZSPREAD | Status: Added | 
| Property | New value | 
| Caption | Z-спред к колл-опциону | 
| Description | Z-spread to the call option"s expiration date based on the quote price | 
| Size | 9.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| TABLE NEGDEALS | Status: Modified | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | MATCHEDVALUE | Added | ||||||||||||
| 2 | PERCENTPERIOD | Added | ||||||||||||
| 3 | ZSPREAD | Added | 
| OUT NEGDEALS.MATCHEDVALUE | Status: Added | 
| Property | New value | 
| Caption | Completed value | 
| Description | Total value of all trades for this order | 
| Size | 16.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT NEGDEALS.PERCENTPERIOD | Status: Added | 
| Property | New value | 
| Caption | Interest payment period | 
| Size | 4 | 
| Type | INTEGER | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT NEGDEALS.ZSPREAD | Status: Added | 
| Property | New value | 
| Caption | Z-spread | 
| Description | Z-spread of the bid price | 
| Size | 9.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| TABLE ONENEGDEAL | Status: Modified | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | MATCHEDVALUE | Added | ||||||||||||
| 2 | PERCENTPERIOD | Added | ||||||||||||
| 3 | ZSPREAD | Added | 
| OUT ONENEGDEAL.MATCHEDVALUE | Status: Added | 
| Property | New value | 
| Caption | Completed value | 
| Description | Total value of all trades for this order | 
| Size | 16.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT ONENEGDEAL.PERCENTPERIOD | Status: Added | 
| Property | New value | 
| Caption | Interest payment period | 
| Size | 4 | 
| Type | INTEGER | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT ONENEGDEAL.ZSPREAD | Status: Added | 
| Property | New value | 
| Caption | Z-spread | 
| Description | Z-spread of the bid price | 
| Size | 9.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| TABLE ONEORDER | Status: Modified | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | MATCHEDVALUE | Added | ||||||||||||
| 2 | ZSPREAD | Added | 
| OUT ONEORDER.MATCHEDVALUE | Status: Added | 
| Property | New value | 
| Caption | Completed value | 
| Description | Total value of all trades for this order | 
| Size | 16.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT ONEORDER.ZSPREAD | Status: Added | 
| Property | New value | 
| Caption | Z-spread | 
| Description | Z-spread of the bid price | 
| Size | 9.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| TABLE ORDERS | Status: Modified | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | MATCHEDVALUE | Added | ||||||||||||
| 2 | ZSPREAD | Added | 
| OUT ORDERS.MATCHEDVALUE | Status: Added | 
| Property | New value | 
| Caption | Completed value | 
| Description | Total value of all trades for this order | 
| Size | 16.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT ORDERS.ZSPREAD | Status: Added | 
| Property | New value | 
| Caption | Z-spread | 
| Description | Z-spread of the bid price | 
| Size | 9.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| TABLE SECURITIES | Status: Modified | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | ZSPREADATPREVWAPRICE | Added | ||||||||||||
| 2 | BONDTYPE | Added | ||||||||||||
| 3 | BONDSUBTYPE | Added | ||||||||||||
| 4 | ZSPREAD | Added | ||||||||||||
| 5 | ZSPREADATWAPRICE | Added | ||||||||||||
| 6 | CALLOPTIONZSPREAD | Added | 
| OUT SECURITIES.ZSPREADATPREVWAPRICE | Status: Added | 
| Property | New value | 
| Caption | Z-spread, based on the last day WA price | 
| Description | Z-spread based on the previous trading day"s evaluation | 
| Size | 9.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT SECURITIES.BONDTYPE | Status: Added | 
| Property | New value | 
| Caption | Вид облигации | 
| Description | Классификатор вида облигаций | 
| Size | 2 | 
| Type | INTEGER | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT SECURITIES.BONDSUBTYPE | Status: Added | 
| Property | New value | 
| Caption | Подвид облигации | 
| Description | Классификатор подвида облигаций | 
| Size | 2 | 
| Type | INTEGER | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT SECURITIES.ZSPREAD | Status: Added | 
| Property | New value | 
| Caption | Z-spread for the last | 
| Description | Z-spread at the price of the last trade | 
| Size | 9.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT SECURITIES.ZSPREADATWAPRICE | Status: Added | 
| Property | New value | 
| Caption | Z-spread, based on the WA price | 
| Description | Z-spread based on the weighted average price | 
| Size | 9.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT SECURITIES.CALLOPTIONZSPREAD | Status: Added | 
| Property | New value | 
| Caption | Z-spread at WAPrice to call-option date | 
| Description | Z-spread at WAPrice to call-option date | 
| Size | 9.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| TABLE TRADES | Status: Modified | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | PERCENTPERIOD | Added | ||||||||||||
| 2 | ZSPREAD | Added | 
| OUT TRADES.PERCENTPERIOD | Status: Added | 
| Property | New value | 
| Caption | Interest payment period | 
| Size | 4 | 
| Type | INTEGER | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT TRADES.ZSPREAD | Status: Added | 
| Property | New value | 
| Caption | Z-spread | 
| Description | Z-spread calculated by the transaction price | 
| Size | 9.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| TABLE USTRADES | Status: Modified | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | PERCENTPERIOD | Added | ||||||||||||
| 2 | PLANNEDINTEREST | Added | 
| OUT USTRADES.PERCENTPERIOD | Status: Added | 
| Property | New value | 
| Caption | Interest payment period | 
| Size | 4 | 
| Type | INTEGER | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| OUT USTRADES.PLANNEDINTEREST | Status: Added | 
| Property | New value | 
| Caption | Planned interest sum | 
| Description | Sum of planned interim interest payments | 
| Size | 16.2 | 
| Type | FIXED | 
| Key | No | 
| SecCode | No | 
| NotSharp | No | 
| TRANS CCP_REPO_COMPLEX_NEGDEAL | Status: Modified | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | PERCENTPERIOD | Added | 
| IN CCP_REPO_COMPLEX_NEGDEAL.PERCENTPERIOD | Status: Added | 
| Property | New value | 
| Caption | Interest payment period | 
| Size | 4 | 
| Type | INTEGER | 
| NOT NULL | No | 
| VarBlock | No | 
| TRANS CCP_REPO_NEGDEAL | Status: Modified | 
| № | Field | Status | Pos | Caption | Descr | Size | Type | Enum | DefVal | Key | SecCode | !NULL | VarBlock | NotSharp | 
| 1 | PERCENTPERIOD | Added | 
| IN CCP_REPO_NEGDEAL.PERCENTPERIOD | Status: Added | 
| Property | New value | 
| Caption | Interest payment period | 
| Size | 4 | 
| Type | INTEGER | 
| NOT NULL | No | 
| VarBlock | No |