Indexes

Group

AllocGrp

ID2003
PedigreeAdded FIX.2.7
Field
Name
Type
Req'd
Comments
Pedigree
78
79
May be the same value as BrokerOfCredit if ProcessCode is step-out or soft-dollar step-out and Institution does not wish to disclose individual account breakdowns to the ExecBroker. Required if NoAllocs > 0. Must be first field in repeating group.
Added FIX.4.0
366
Used when performing "executed price" vs. "average price" allocations (e.g. Japan). AllocAccount plus AllocPrice form a unique Allocs entry. Used in lieu of AllocAvgPx.
Added FIX.4.2
80
Y
Added FIX.4.0
81
Added FIX.4.0
92
Required if ProcessCode is step-out or soft-dollar step-out
Added FIX.4.0
208
Added FIX.4.1
209
Added FIX.4.1
161
Free format text field related to this AllocAccount
Added FIX.4.1
360
Must be set if EncodedAllocText field is specified and must immediately precede it.
Added FIX.4.2
361
Encoded (non-ASCII characters) representation of the AllocText field in the encoded format specified via the MessageEncoding field.
Added FIX.4.2
76
Required for step-in and step-out trades
Added FIX.4.0
109
Used for firm identification in third-party transactions (should not be a substitute for OnBehalfOfCompID/DeliverToCompID).
Added FIX.4.0
12
Added FIX.4.0
13
Added FIX.4.0
153
AvgPx for this AllocAccount. For F/X orders, should be the "all-in" rate (spot rate adjusted for forward points) for this allocation.
Added FIX.4.1
154
NetMoney for this AllocAccount
((AllocShares * AllocAvgPx) - Commission - sum of MiscFeeAmt + AccruedInterestAmt) if a Sell
((AllocShares * AllocAvgPx) + Commission + sum of MiscFeeAmt + AccruedInterestAmt) if a Buy
Added FIX.4.1
119
AllocNetMoney in SettlCurrency for this AllocAccount if SettlCurrency is different from "overall" Currency
Added FIX.4.0
120
SettlCurrency for this AllocAccount if different from "overall" Currency. Required if SettlCurrAmt is specified.
Added FIX.4.0
155
Foreign exchange rate used to compute SettlCurrAmt from Currency to SettlCurrency
Added FIX.4.1
156
Specifies whether the SettlCurrFxRate should be multiplied or divided
Added FIX.4.1
159
Applicable for Convertible Bonds and fixed income
Added FIX.4.1
160
Type of Settlement Instructions which will be provided via Settlement Instructions message (0=Default, 1=Standing Instructions, 2=Specific Allocation Account Overriding, 3=Specific Allocation Account Standing)
Added FIX.4.1
Required if any miscellaneous fees are reported. Indicates number of repeating entries. Repeating group within Alloc repeating group.
** Nested Repeating Group follows **
Added FIX.4.0
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