Indexes

Message Layouts
Session
PreTrade
Trade
PostTrade

Code Sets

Name
ID
Datatype
Description
Pedigree
AdvSideCodeSet4char
Broker's side of advertised trade
AdvTransTypeCodeSet5String
Identifies advertisement message transaction type
CommTypeCodeSet13char
Commission type
ExecInstCodeSet18MultipleValueString
Instructions for order handling on exchange trading floor. If more than one instruction is applicable to an order, this field can contain multiple instructions separated by space.
HandlInstCodeSet21char
Instructions for order handling on Broker trading floor
SecurityIDSourceCodeSet22String
Identifies class or source of the SecurityID (48) value. Required if SecurityID is specified.
IOIQltyIndCodeSet25char
Relative quality of indication
IOIQtyCodeSet27String
Quantity (e.g. number of shares) in numeric form or relative size.
IOITransTypeCodeSet28char
Identifies IOI message transaction type
LastCapacityCodeSet29char
Broker capacity in order execution
MsgTypeCodeSet35String
Defines message type ALWAYS THIRD FIELD IN MESSAGE. (Always unencrypted)
Note: A "U" as the first character in the MsgType field (i.e. U, U2, etc) indicates that the message format is privately defined between the sender and receiver.
OrdStatusCodeSet39char
Identifies current status of order.
*** SOME VALUES HAVE BEEN REPLACED - See "Replaced Features and Supported Approach" ***
(see Volume : "Glossary" for value definitions)
OrdTypeCodeSet40char
Order type
*** SOME VALUES ARE NO LONGER USED - See "Deprecated (Phased-out) Features and Supported Approach" ***
(see Volume : "Glossary" for value definitions)
PossDupFlagCodeSet43Boolean
Indicates possible retransmission of message with this sequence number
SideCodeSet54char
Side of order
TimeInForceCodeSet59char
Specifies how long the order remains in effect. Absence of this field is interpreted as DAY.
UrgencyCodeSet61char
Urgency flag
SettlTypeCodeSet63char
Indicates order settlement period. If present, SettlDate (64) overrides this field. If both SettlType (63) and SettDate (64) are omitted, the default for SettlType (63) is 0 (Regular)
Regular is defined as the default settlement period for the particular security on the exchange of execution.
In Fixed Income the contents of this field may influence the instrument definition if the SecurityID (48) is ambiguous. In the US an active Treasury offering may be re-opened, and for a time one CUSIP will apply to both the current and "when-issued" securities. Supplying a value of "7" clarifies the instrument description; any other value or the absence of this field should cause the respondent to default to the active issue.
AllocTransTypeCodeSet71char
Identifies allocation transaction type
*** SOME VALUES HAVE BEEN REPLACED - See "Replaced Features and Supported Approach" ***
PositionEffectCodeSet77char
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.
ProcessCodeCodeSet81char
Processing code for sub-account. Absence of this field in AllocAccount (79) / AllocPrice (366) /AllocQty (80) / ProcessCode instance indicates regular trade.
AllocStatusCodeSet87int
Identifies status of allocation
AllocRejCodeCodeSet88int
Identifies reason for rejection
EmailTypeCodeSet94char
Email message type
PossResendCodeSet97Boolean
Indicates that message may contain information that has been sent under another sequence number.
EncryptMethodCodeSet98int
Method of encryption
CxlRejReasonCodeSet102int
Code to identify reason for cancel rejection
OrdRejReasonCodeSet103int
Code to identify reason for order rejection.
IOIQualifierCodeSet104char
Code to qualify IOI use
ReportToExchCodeSet113Boolean
Identifies party of trade responsible for exchange reporting.
LocateReqdCodeSet114Boolean
Indicates whether the broker is to locate the stock in conjunction with a short sell order.
ForexReqCodeSet121Boolean
Indicates request for forex accommodation trade to be executed along with security transaction.
GapFillFlagCodeSet123Boolean
Indicates that the Sequence Reset message is replacing administrative or application messages which will not be resent.
DKReasonCodeSet127char
Reason for execution rejection
IOINaturalFlagCodeSet130Boolean
Indicates that IOI is the result of an existing agency order or a facilitation position resulting from an agency order, not from principal trading or order solicitation activity.
MiscFeeTypeCodeSet139String
Indicates type of miscellaneous fee
ResetSeqNumFlagCodeSet141Boolean
Indicates that the both sides of the FIX session should reset sequence numbers.
ExecTypeCodeSet150char
Describes the specific ExecutionRpt (i.e. Pending Cancel) while OrdStatus (39) will always identify the current order status (i.e. Partially Filled)
*** SOME VALUES HAVE BEEN REPLACED - See "Replaced Features and Supported Approach" ***
SettlCurrFxRateCalcCodeSet156char
Specifies whether or not SettlCurrFxRate(155) should be multiplied or divided
SettlInstModeCodeSet160char
Indicates mode used for Settlement Instructions message.
*** SOME VALUES HAVE BEEN REPLACED - See "Replaced Features and Supported Approach" ***
SettlInstTransTypeCodeSet163char
Settlement Instructions message transaction type
SettlInstSourceCodeSet165char
Indicates source of Settlement Instructions
SecurityTypeCodeSet167String
Indicates type of security. See also the Product(460) and CFICode(461) fields. It is recommended that CFICode(461) be used instead of SecurityType(167) for non-Fixed Income instruments.
Example values (grouped by Product field value) (Note: additional values may be used by mutual agreement of the counterparties):
* Identify the Issuer in the field Issuer(106)
*** REPLACED values - See "Replaced Features and Supported Approach" ***
NOTE: Additional values may be used by mutual agreement of the counterparties)
StandInstDbTypeCodeSet169int
Identifies the Standing Instruction database used
SettlDeliveryTypeCodeSet172int
Identifies type of settlement
AllocLinkTypeCodeSet197int
Identifies the type of Allocation linkage when AllocLinkID(196) is used.
PutOrCallCodeSet201int
Indicates whether an Option is for a put or call
CoveredOrUncoveredCodeSet203int
Used for derivative products, such as options
NotifyBrokerOfCreditCodeSet208Boolean
Indicates whether or not details should be communicated to BrokerOfCredit (i.e. step-in broker).
AllocHandlInstCodeSet209int
Indicates how the receiver (i.e. third party) of Allocation message should handle/process the account details
RoutingTypeCodeSet216int
Indicates the type of RoutingID (27) specified
BenchmarkCurveNameCodeSet221String
Added FIX.4.2
Updated EP294
StipulationTypeCodeSet233String
Type of Stipulation
YieldTypeCodeSet235String
Type of yield
TradedFlatSwitchCodeSet258Boolean
Driver and part of trade in the event that the Security Master file was wrong at the point of entry
(Note tag # was reserved in FIX 4.1, added in FIX 4.3)
SubscriptionRequestTypeCodeSet263char
Subscription Request Type
MDUpdateTypeCodeSet265int
Specifies the type of Market Data update
AggregatedBookCodeSet266Boolean
Specifies whether or not book entries should be aggregated.
MDEntryTypeCodeSet269char
Type Market Data entry
TickDirectionCodeSet274char
Direction of the "tick"
QuoteConditionCodeSet276MultipleValueString
Space-delimited list of conditions describing a quote
TradeConditionCodeSet277MultipleValueString
Space-delimited list of conditions describing a trade
MDUpdateActionCodeSet279char
Type of Market Data update action
MDReqRejReasonCodeSet281char
Reason for the rejection of a Market Data request
DeleteReasonCodeSet285char
Reason for deletion
OpenCloseSettlFlagCodeSet286MultipleValueString
Flag that identifies a market data entry
(Prior to FIX 4.3 this field was of type char)
FinancialStatusCodeSet291MultipleValueString
Identifies a firm’s financial status
CorporateActionCodeSet292MultipleValueString
Identifies the type of Corporate Action
QuoteStatusCodeSet297int
Identifies the status of the quote acknowledgement
QuoteCancelTypeCodeSet298int
Identifies the type of quote cancel.
QuoteRejectReasonCodeSet300int
Reason Quote was rejected
QuoteResponseLevelCodeSet301int
Level of Response requested from receiver of quote messages.
QuoteRequestTypeCodeSet303int
Indicates the type of Quote Request being generated
SecurityRequestTypeCodeSet321int
Type of Security Definition Request.
SecurityResponseTypeCodeSet323int
Type of Security Definition message response
UnsolicitedIndicatorCodeSet325Boolean
Indicates whether or not message is being sent as a result of a subscription request or not.
SecurityTradingStatusCodeSet326int
Identifies the trading status applicable to the transaction
HaltReasonCodeSet327char
Denotes the reason for the Opening Delay or Trading Halt
InViewOfCommonCodeSet328Boolean
Indicates whether or not the halt was due to Common Stock trading being halted.
DueToRelatedCodeSet329Boolean
Indicates whether or not the halt was due to the Related Security being halted.
AdjustmentCodeSet334int
Identifies the type of adjustment
TradSesMethodCodeSet338int
Method of trading
TradSesModeCodeSet339int
Trading Session Mode
TradSesStatusCodeSet340int
State of the trading session
MessageEncodingCodeSet347String
Type of message encoding (non-ASCII (non-English) characters) used in a message’s "Encoded" fields.
SessionRejectReasonCodeSet373int
Code to identify reason for a session-level Reject message
BidRequestTransTypeCodeSet374char
Identifies the Bid Request message type
SolicitedFlagCodeSet377Boolean
Indicates whether or not the order was solicited.
ExecRestatementReasonCodeSet378int
Code to identify reason for an ExecutionRpt message sent with ExecType=Restated or used when communicating an unsolicited cancel.
BusinessRejectReasonCodeSet380int
Code to identify reason for a Business Message Reject message
MsgDirectionCodeSet385char
Specifies the direction of the message
DiscretionInstCodeSet388char
Code to identify the price a DiscretionOffsetValue (389) is related to and should be mathematically added to
BidTypeCodeSet394int
Code to identify the type of Bid Request
BidDescriptorTypeCodeSet399int
Code to identify the type of BidDescriptor (400)
SideValueIndCodeSet401int
Code to identify which "SideValue" the value refers to. SideValue and SideValue2 are used as opposed to Buy or Sell so that the basket can be quoted either way as Buy or Sell.
LiquidityIndTypeCodeSet409int
Code to identify the type of liquidity indicator
ExchangeForPhysicalCodeSet411Boolean
Indicates whether or not to exchange for physical.
ProgRptReqsCodeSet414int
Code to identify the desired frequency of progress reports
IncTaxIndCodeSet416int
Code to represent whether value is net (inclusive of tax) or gross
BidTradeTypeCodeSet418char
Code to represent the type of trade

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