Message Advertisement Scenario base

SYNOPSIS: Advertisement messages are used to announce completed transactions.

ID MsgType Abbr Flow
87

Pedigree

Added EP Updated EP Deprecated EP
FIX.2.7

Responses

None

Members

Advertisement base members
ID Name Abbr Presence Description
1001StandardHeaderrequiredSYNOPSIS: The standard FIX message header
ELABORATION:
2AdvId required SYNOPSIS: Unique identifier of advertisement message. (Prior to FIX 4.1 this field was of type int)
5AdvTransType required SYNOPSIS: Identifies advertisement message transaction type
3AdvRefID optional SYNOPSIS: Reference identifier used with CANCEL and REPLACE transaction types. (Prior to FIX 4.1 this field was of type int)
55Symbol required SYNOPSIS: Ticker symbol
65SymbolSfx optional SYNOPSIS: Additional information about the security (e.g. preferred, warrants, etc.). Note also see SecurityType. Valid values: As defined in the NYSE Stock and bond Symbol Directory and in the AMEX Fitch Directory
48SecurityID optional SYNOPSIS: CUSIP or other alternate security identifier
22IDSource optional SYNOPSIS: Identifies class of alternative SecurityID
167SecurityType optional SYNOPSIS: Indicates type of security (ISITC spec)
200MaturityMonthYear optional SYNOPSIS: Month and Year of the maturity for SecurityType=FUT or SecurityType=OPT. Required if MaturityDay is specified. Format: YYYYMM (i.e. 199903)
205MaturityDay optional SYNOPSIS: Day of month used in conjunction with MaturityMonthYear to specify the maturity date for SecurityType=FUT or SecurityType=OPT.
201PutOrCall optional SYNOPSIS: Indicates whether an Option is for a put or call.
202StrikePrice optional SYNOPSIS: Strike Price for an Option.
206OptAttribute optional SYNOPSIS: Can be used for SecurityType=OPT to identify a particular security.
231ContractMultiplier optional SYNOPSIS: Specifies the ratio or multiply factor to convert from contracts to shares (e.g. 1.0, 100, 1000, etc). Applicable For Fixed Income, Convertible Bonds, Derivatives, etc. Note: If used, quantities should be expressed in the "nominal" (e.g. contracts vs. shares) amount.
223CouponRate optional SYNOPSIS: For Fixed Income. Coupon rate of the bond. Will be zero for step-up bonds.
207SecurityExchange optional SYNOPSIS: Market used to help identify a security.
106Issuer optional SYNOPSIS: Company name of security issuer (e.g. International Business Machines)
348EncodedIssuerLen optional SYNOPSIS: Byte length of encoded (non-ASCII characters) EncodedIssuer field.
349EncodedIssuer optional SYNOPSIS: Encoded (non-ASCII characters) representation of the Issuer field in the encoded format specified via the MessageEncoding field. If used, the ASCII (English) representation should also be specified in the Issuer field.
107SecurityDesc optional SYNOPSIS: Security description.
350EncodedSecurityDescLen optional SYNOPSIS: Byte length of encoded (non-ASCII characters) EncodedSecurityDesc field.
351EncodedSecurityDesc optional SYNOPSIS: Encoded (non-ASCII characters) representation of the SecurityDesc field in the encoded format specified via the MessageEncoding field. If used, the ASCII (English) representation should also be specified in the SecurityDesc field.
4AdvSide required SYNOPSIS: Broker's side of advertised trade
53Shares required SYNOPSIS: Number of shares (Prior to FIX 4.2 this field was of type int)
44Price optional SYNOPSIS: Price per share
15Currency optional SYNOPSIS: Identifies currency used for price. Absence of this field is interpreted as the default for the security. It is recommended that systems provide the currency value whenever possible. See Appendix A: Valid Currency Codes for information on obtaining valid values.
75TradeDate optional SYNOPSIS: Indicates date of trade referenced in this message in YYYYMMDD format. Absence of this field indicates current day (expressed in local time at place of trade).
60TransactTime optional SYNOPSIS: Time of execution/order creation (expressed in UTC (Universal Time Coordinated, also known as "GMT")
58Text optional SYNOPSIS: Free format text string (Note: this field does not have a specified maximum length)
354EncodedTextLen optional SYNOPSIS: Byte length of encoded (non-ASCII characters) EncodedText field.
355EncodedText optional SYNOPSIS: Encoded (non-ASCII characters) representation of the Text field in the encoded format specified via the MessageEncoding field. If used, the ASCII (English) representation should also be specified in the Text field.
149URLLink optional SYNOPSIS: A URL (Uniform Resource Locator) link to additional information (i.e. http://www.XYZ.com/research.html)
30LastMkt optional SYNOPSIS: Market of execution for last fill
336TradingSessionID optional SYNOPSIS: Identifier for Trading Session Can be used to represent a specific market trading session (e.g. "PRE-OPEN", "CROSS_2", "AFTER-HOURS", "TOSTNET1", "TOSTNET2", etc). Values should be bi-laterally agreed to between counterparties.
1002StandardTrailerrequiredSYNOPSIS: The standard FIX message trailer
ELABORATION: