Indexes

Component

Instrument

ID1003
Field
Name
Type
Req'd
Comments
Pedigree
55

Common, "human understood" representation of the security. SecurityID value can be specified if no symbol exists (e.g. non-exchange traded Collective Investment Vehicles)

Use "[N/A]" for products which do not have a symbol.

48

Takes precedence in identifying security to counterparty over SecurityAltID block. Requires SecurityIDSource if specified.

22

Conditionally required when SecurityID(48) is specified.

Number of alternate Security Identifiers

460

Indicates the type of product the security is associated with (high-level category)

461

Indicates the type of security using ISO 10962 standard, Classification of Financial Instruments (CFI code) values. It is recommended that CFICode be used instead of SecurityType for non-Fixed Income instruments.

167

It is recommended that CFICode be used instead of SecurityType for non-Fixed Income instruments.

Required for Fixed Income. Refer to Volume 7 - Fixed Income

Futures and Options should be specified using the CFICode[461] field instead of SecurityType[167] (Refer to Volume 7 - Recommendations and Guidelines for Futures and Options Markets.)

762

Sub-type qualification/identification of the SecurityType (e.g. for SecurityType="MLEG"). If specified, SecurityType is required.

200

Specifies the month and year of maturity. Applicable for standardized derivatives which are typically only referenced by month and year (e.g. S&P futures). Note MaturityDate (a full date) can also be specified.

541

Specifies date of maturity (a full date). Note that standardized derivatives which are typically only referenced by month and year (e.g. S&P futures) may use MaturityMonthYear(200) and/or this field.

When using MaturityMonthYear(200), it is recommended that markets and sell sides report the MaturityDate(541) on all outbound messages as a means of data enrichment.

For NDFs this represents the fixing date of the contract.

966

Indicator to determine if Instrument is Settle on Open.

2210
1938

Required if AssetSubClass(1939) is specified.

1939

Required if AssetType(1940) is specified.

1940

Required if AssetSubType(2735) is specified.

2735
225

Date instrument was issued. For Fixed Income IOIs for new issues, specifies the issue date.

231

For Fixed Income, Convertible Bonds, Derivatives, etc. Note: If used, quantities should be expressed in the "nominal" (e.g. contracts vs. shares) amount.

1435
996
1147
1716
1191
1192
1717
1193

Conditionally required if SettlSubMethod(2579) is specified.

2579
1244

Used to indicate if a security has been defined as flexible according to "non-standard" means. Analog to CFICode Standard/Non-standard indicator

207

Can be used to identify the security.

106
2737
2714
107
667

Must be present for MBS/TBA

Used in:
    none

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