Group StreamCommoditySettlPeriodGrp Scenario base


ID Abbr NumInGroup ID NumInGroup name
4184SettlPeriod41289NoStreamCommoditySettlPeriods

Pedigree

Added EP Updated EP Deprecated EP
FIX.5.0SP2169

Members

ID Name Abbr Presence Description
41290StreamCommoditySettlCountryCtry optional SYNOPSIS: Specifies the country where delivery takes place. Uses ISO 3166 2-character country code.
41291StreamCommoditySettlTimeZoneTZ optional SYNOPSIS: Commodity delivery timezone specified as "prevailing" rather than "standard" or "daylight". See http://www.fixtradingcommunity.org/codelists#Prevailing_Timezones for code list of applicable prevailing timezones.
41292StreamCommoditySettlFlowTypeFlowTyp optional SYNOPSIS: Specifies the commodity delivery flow type.
41293StreamCommoditySettlPeriodNotionalNotl optional SYNOPSIS: Specifies the delivery quantity associated with this settlement period.
41294StreamCommoditySettlPeriodNotionalUnitOfMeasureNotlUOM optional SYNOPSIS: Specifies the unit of measure (UOM) of the delivery quantity associated with this settlement period.
41295StreamCommoditySettlPeriodFrequencyPeriodFreqPeriod optional SYNOPSIS: Time unit multiplier for the settlement period frequency.
41296StreamCommoditySettlPeriodFrequencyUnitFreqUnit optional SYNOPSIS: Time unit associated with the settlement period frequency.
41297StreamCommoditySettlPeriodPricePx optional SYNOPSIS: The settlement period price.
41298StreamCommoditySettlPeriodPriceUnitOfMeasurePxUOM optional SYNOPSIS: Specifies the settlement period price unit of measure (UOM).
41299StreamCommoditySettlPeriodPriceCurrencyPxCcy optional SYNOPSIS: The currency of the settlement period price. Uses ISO 4217 currency codes.
41300StreamCommoditySettlHolidaysProcessingInstructionHolidays optional SYNOPSIS: Indicates whether holidays are included in the settlement periods. Required for electricity contracts.
4182StreamCommoditySettlDayGrpDayoptionalSYNOPSIS: The StreamCommoditySettlDayGrp is a repeating subcomponent of the StreamCommoditySettlPeriodGrp component used to define the settlement days associated with the commodity contract.
ELABORATION:
41301StreamCommoditySettlPeriodXIDXID optional SYNOPSIS: Identifier of this settlement period for cross referencing elsewhere in the message.
41302StreamCommoditySettlPeriodXIDRefXIDRef optional SYNOPSIS: Cross reference to another settlement period for duplicating its properties.