Indexes

Message

Allocation (J)

ID19
PedigreeAdded FIX.2.7
The Allocation message provides the ability to specify how an order or set of orders should be subdivided amongst one or more accounts.
Field
Name
Type
Req'd
Comments
Pedigree
Y
MsgType = J
Added FIX.2.7
70
Y
Added FIX.2.7
71
Y
Added FIX.2.7
72
Required for AllocTransType = Calculated, Replace, or Cancel
Added FIX.2.7
196
Can be used to link two different Allocation messages (each with unique AllocID) together, i.e. for F/X "Netting" or "Swaps"
Added FIX.4.1
197
Can be used to link two different Allocation messages and identifies the type of link. Required if AllocLinkID is specified.
Added FIX.4.1
Indicates number of orders to be combined for allocation. If order(s) were manually delivered set to 1 (one).
Added FIX.2.7
Indicates number of individual execution repeating group entries to follow. Absence of this field indicates that no individual execution entries are included. Primarily used to support step-outs.
Added FIX.4.0
54
Y
Added FIX.2.7
55
Y
Added FIX.2.7
65
Added FIX.2.7
48
Added FIX.2.7
22
Added FIX.2.7
167
Must be specified if a Future or Option. If a Future: Symbol, SecurityType, and MaturityMonthYear are required. If an Option: Symbol, SecurityType, MaturityMonthYear, PutOrCall, and StrikePrice are required.
Added FIX.4.1
200
Specifies the month and year of maturity. Required if MaturityDay is specified.
Added FIX.4.1
205
Can be used in conjunction with MaturityMonthYear to specify a particular maturity date.
Added FIX.4.1
201
For Options.
Added FIX.4.1
202
For Options.
Added FIX.4.1
206
For Options.
Added FIX.4.1
231
For Fixed Income, Convertible Bonds, Derivatives, etc. Note: If used, quantities should be expressed in the "nominal" (e.g. contracts vs. shares) amount.
Added FIX.4.2
223
For Fixed Income.
Added FIX.4.2
207
Can be used to identify the security.
Added FIX.4.1
106
Added FIX.3.0
348
Must be set if EncodedIssuer field is specified and must immediately precede it.
Added FIX.4.2
349
Encoded (non-ASCII characters) representation of the Issuer field in the encoded format specified via the MessageEncoding field.
Added FIX.4.2
107
Added FIX.3.0
350
Must be set if EncodedSecurityDesc field is specified and must immediately precede it.
Added FIX.4.2
351
Encoded (non-ASCII characters) representation of the SecurityDesc field in the encoded format specified via the MessageEncoding field.
Added FIX.4.2
53
Y
Total number of shares allocated to all accounts
Added FIX.2.7
30
Market of the executions.
Added FIX.4.0
336
Added FIX.4.2
6
Y
For F/X orders, should be the "all-in" rate (spot rate adjusted for forward points).
Added FIX.2.7
15
Currency of AvgPx. Should be the currency of the local market or exchange where the trade was conducted.
Added FIX.2.7
74
Absence of this field indicates that default precision arranged by the broker/institution is to be used
Added FIX.2.7
75
Y
Added FIX.2.7
60
Date/time when allocation is generated
Added FIX.2.7
63
Absence of this field is interpreted as Regular
Added FIX.2.7
64
"Settlement Date". Required with SettlmntTyp other than regular
Added FIX.2.7
381
Expressed in same currency as AvgPx. Sum of (AllocShares * AllocAvgPx or AllocPrice).
Added FIX.4.2
118
Expressed in same currency as AvgPx. Sum of AllocNetMoney.
Added FIX.4.0
77
Added FIX.2.7
58
Added FIX.2.7
354
Must be set if EncodedText field is specified and must immediately precede it.
Added FIX.4.2
355
Encoded (non-ASCII characters) representation of the Text field in the encoded format specified via the MessageEncoding field.
Added FIX.4.2
157
Applicable for Convertible Bonds and fixed income
Added FIX.4.1
158
Applicable for Convertible Bonds and fixed income
Added FIX.4.1
Indicates number of allocation groups to follow.
Added FIX.2.7
Y
Added FIX.2.7

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