| ID |
Name |
Abbr |
Presence |
Description |
| 79 | AllocAccount | Acct |
optional |
SYNOPSIS:
Sub-account mnemonic
|
| 661 | AllocAcctIDSource | ActIDSrc |
optional |
SYNOPSIS:
Used to identify the source of the AllocAccount (79) code.
See AcctIDSource (660) for valid values.
|
| 366 | AllocPrice | Px |
optional |
SYNOPSIS:
Executed price for an AllocAccount (79) entry used when using "executed price" vs. "average price" allocations (e.g. Japan).
|
| 1047 | AllocPositionEffect | AllocPosEfct |
optional |
SYNOPSIS:
Indicates whether the resulting position after a trade should be an opening position or closing position. Used for omnibus accounting - where accounts are held on a gross basis instead of being netted together.
|
| 467 | IndividualAllocID | IndAllocID |
optional |
SYNOPSIS:
Unique identifier for a specific NoAllocs (78) repeating group instance (e.g. for an AllocAccount).
|
| 1593 | ParentAllocID | ParentAllocID |
optional |
SYNOPSIS:
Contains the IndividualAllocId (tag 467) value of the allocation that is being offset as a result of a new allocation. This would be an optional field that would only be populated in the case of an allocation of an allocation (as well as any subsequent allocations). This wouldn’t be populated for an initial allocation since an allocation id is not supplied on default (initial) allocations.
|
| 1729 | FirmMnemonic | FirmMnem |
optional |
SYNOPSIS:
Allocation identifier assigned by the Firm submitting the allocation for an individual allocation instruction (as opposed to the overall message level identifier).
|
| 1832 | ClearedIndicator | Clrd |
optional |
SYNOPSIS:
Indicates whether the trade or position being reported was cleared through a clearing organization.
|
| 2727 | AllocLegRefID | LegRefID |
optional |
SYNOPSIS:
Unique identifier for a specific leg (uniqueness not defined as part of the FIX specification). AllocLegRefID(2727) references the value from LegID(1788) in the current multileg order or trade message specifying to which leg the allocation instance applies.
|
| 2221 | AllocRegulatoryTradeIDGrp | RegTrdID | optional | SYNOPSIS:
The AllocRegulatoryTradeIDGrp is a repeating component within the TrdAllocGrp component used to report the source, value and relationship of multiple trade identifiers for the same trade allocation instance.
This component can be used to meet regulatory trade reporting requirements where identifiers such as the Unique Swaps Identifier (USI) are required to be reported, showing the chaining of these identifiers as needed.
ELABORATION:
|
| 776 | IndividualAllocRejCode | IndAllocRejCode |
optional |
SYNOPSIS:
Identified reason for rejecting an individual AllocAccount (79) detail.
Same values as AllocRejCode (88)
|
| 1008 | NestedParties | Pty | optional | SYNOPSIS:
The NestedParties component block is identical to the Parties Block. It is used in other component blocks and repeating groups when nesting will take place resulting in multiple occurrences of the Parties block within a single FIX message.. Use of NestedParties under these conditions avoids multiple references to the Parties block within the same message which is not allowed in FIX tag/value syntax.
ELABORATION:
|
| 209 | AllocHandlInst | HandlInst |
optional |
SYNOPSIS:
Indicates how the receiver (i.e. third party) of allocation information should handle/process the account details.
|
| 161 | AllocText | Txt |
optional |
SYNOPSIS:
Free format text related to a specific AllocAccount (79).
|
| 360 | EncodedAllocTextLen | EncAllocTextLen |
optional |
SYNOPSIS:
Byte length of encoded (non-ASCII characters) EncodedAllocText (361) field.
|
| 361 | EncodedAllocText | EncAllocText |
optional |
SYNOPSIS:
Encoded (non-ASCII characters) representation of the AllocText (161) field in the encoded format specified via the MessageEncoding (347) field. If used, the ASCII (English) representation should also be specified in the AllocText field.
|
| 1732 | FirmAllocText | FirmTxt |
optional |
SYNOPSIS:
Firm reference information, usually internal information, that is part of the initial message. The information would not be carried forward (e.g to Take-up Firm) and preserved with the transaction.
|
| 1733 | EncodedFirmAllocTextLen | EncFirmTxtLen |
optional |
SYNOPSIS:
Byte length of encoded (non-ASCII characters) EncodedFirmAllocText(1734) field.
|
| 1734 | EncodedFirmAllocText | EncFirmTxt |
optional |
SYNOPSIS:
Encoded (non-ASCII characters) representation of the FirmAllocText(1732) field in the encoded format specified via the MessageEncoding(347) field. If used, the ASCII (English) represention should also be specified in FirmAllocText(1732) field.
|
| 989 | SecondaryIndividualAllocID | IndAllocID2 |
optional |
SYNOPSIS:
Will allow the intermediary to specify an allocation ID generated by their system.
|
| 993 | AllocCustomerCapacity | CustCpcty |
optional |
SYNOPSIS:
Capacity of customer in the allocation block.
|
| 992 | IndividualAllocType | Typ |
optional |
SYNOPSIS:
Identifies whether the allocation is to be sub-allocated or allocated to a third party
|
| 80 | AllocQty | Qty |
optional |
SYNOPSIS:
Quantity to be allocated to specific sub-account
(Prior to FIX 4.2 this field was of type int)
|
| 2515 | AllocCalculatedCcyQty | CalcCcyQty |
optional |
SYNOPSIS:
Used for the calculated quantity of the other side of the currency trade applicable to the allocation instance.
|
| 1752 | CustodialLotID | CstdlLotID |
optional |
SYNOPSIS:
An opaque identifier used to communicate the custodian’s identifier for the lot. It is expected that this information would be provided by the custodian as part of a reconciliation process that occurs before trading.
|
| 1753 | VersusPurchaseDate | VSPDt |
optional |
SYNOPSIS:
The effective acquisition date of the lot that would be used for gain-loss trade lot reporting. The versus purchase date used to identify the lot in situations where a custodial lot identifier is not available.
|
| 1754 | VersusPurchasePrice | VSPPx |
optional |
SYNOPSIS:
The versus purchase price used to identify the lot in situations where a custodial lot identifier is not available. The value should be calculated based on current cost basis / quantity held.
|
| 1755 | CurrentCostBasis | CurCostBasis |
optional |
SYNOPSIS:
The amount that the current shares are worth. If this lot was liquidated, the total gain/loss for a trade is equal to the trade amount minus the current cost basis.
|
| 2770 | AllocAvgPxGroupID | AvgPxGrpID |
optional |
SYNOPSIS:
Used by submitting firm to group trades being sub-allocated into an average price group. The trades in the average price group will be used to calculate an average price for the group.
|
| 2769 | AllocAvgPxIndicator | AvgPxInd |
optional |
SYNOPSIS:
Average pricing indicator at the allocation level.
|