Billing Trade Detail File

This monthly billing reconciliation file of executions is available at the end of each month. This file includes the new Execution ID, Original Execution ID, and any updates made via the Options Clearing Editor. Split executions are identified in multiple rows with reassigned Execution ID’s as well as reference to the Original Execution ID.

Cboe Titanium U.S. Options Clearing Editor Specification - Billing Trade Detail File | Cboe