Field | Name | Type | Req'd | Comments | Pedigree |
|---|---|---|---|---|---|
73 | Added FIX.4.2 | ||||
11 | Y | Must be the first field in the repeating group. | Added FIX.4.2 | ||
67 | Y | Order number within the list | Added FIX.4.2 | ||
160 | Added FIX.4.2 | ||||
109 | Added FIX.4.2 | ||||
76 | Added FIX.4.2 | ||||
1 | Added FIX.4.2 | ||||
PreAllocGrp | Indicates number of pre-trade allocation accounts to follow | Added FIX.4.2 | |||
63 | Added FIX.4.2 | ||||
64 | Added FIX.4.2 | ||||
21 | Added FIX.4.2 | ||||
18 | Can contain multiple instructions, space delimited. | Added FIX.4.2 | |||
110 | Added FIX.4.2 | ||||
111 | Added FIX.4.2 | ||||
100 | Added FIX.4.2 | ||||
TrdgSesGrp | Added FIX.4.2 | ||||
81 | Added FIX.4.2 | ||||
55 | Y | Added FIX.4.2 | |||
65 | Can be repeated multiple times if message is related to multiple symbols. | Added FIX.4.2 | |||
48 | Can be repeated multiple times if message is related to multiple symbols. | Added FIX.4.2 | |||
22 | Can be repeated multiple times if message is related to multiple symbols. | Added FIX.4.2 | |||
167 | Must be specified if a Future or Option. If a Future: RelatedSym, SecurityType, and MaturityMonthYear are required. If an Option: RelatedSym, SecurityType, MaturityMonthYear, PutOrCall, and StrikePrice are required. | Added FIX.4.2 | |||
200 | For Options or Futures to specify the month and year of maturity. | Added FIX.4.2 | |||
205 | For Options or Futures and can be used in conjunction with MaturityMonthYear to specify a particular maturity date. | Added FIX.4.2 | |||
201 | For Options. | Added FIX.4.2 | |||
202 | For Options. | Added FIX.4.2 | |||
206 | For Options. | Added FIX.4.2 | |||
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.4.2 | |||
106 | Can be repeated multiple times if message is related to multiple symbols. | Added FIX.4.2 | |||
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 | Can be repeated multiple times if message is related to multiple symbols. | Added FIX.4.2 | |||
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 | |||
140 | Useful for verifying security identification | Added FIX.4.2 | |||
54 | Y | Note: to indicate the side of SideValue1 or SideValue2, specify Side=Undisclosed and SideValueInd=either the SideValue1 or SideValue2 indicator. | Added FIX.4.2 | ||
401 | Refers to the SideValue1 or SideValue2. These are used as opposed to Buy or Sell so that the basket can be quoted either way as Buy or Sell. | Added FIX.4.2 | |||
114 | Added FIX.4.2 | ||||
60 | Added FIX.4.2 | ||||
38 | Either CashOrderQty or OrderQty is required | Added FIX.4.2 | |||
152 | Either CashOrderQty or OrderQty is required. Specifies the approximate "monetary quantity" for the order. Broker is responsible for converting and calculating OrderQty in shares for subsequent messages. | Added FIX.4.2 | |||
40 | Added FIX.4.2 | ||||
44 | Added FIX.4.2 | ||||
99 | Added FIX.4.2 | ||||
15 | Added FIX.4.2 | ||||
376 | Added FIX.4.2 | ||||
377 | Added FIX.4.2 | ||||
23 | Required for Previously Indicated Orders (OrdType=E) | Added FIX.4.2 | |||
117 | Required for Previously Quoted Orders (OrdType=D) | Added FIX.4.2 | |||
59 | Added FIX.4.2 | ||||
168 | Added FIX.4.2 | ||||
432 | Conditionally required if TimeInForce = GTD and ExpireTime is not specified. | Added FIX.4.2 | |||
126 | Conditionally required if TimeInForce = GTD and ExpireDate is not specified. | Added FIX.4.2 | |||
12 | Added FIX.4.2 | ||||
13 | Added FIX.4.2 | ||||
47 | Added FIX.4.2 | ||||
121 | Added FIX.4.2 | ||||
120 | Added FIX.4.2 | ||||
58 | Added FIX.4.2 | ||||
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 | |||
193 | Can be used with OrdType = “Forex - Swap” to specify the “value date” for the future portion of a F/X swap. | Added FIX.4.2 | |||
192 | Can be used with OrdType = “Forex - Swap” to specify the order quantity for the future portion of a F/X swap. | Added FIX.4.2 | |||
77 | Added FIX.4.2 | ||||
203 | Added FIX.4.2 | ||||
204 | Added FIX.4.2 | ||||
210 | Added FIX.4.2 | ||||
211 | Added FIX.4.2 | ||||
388 | Code to identify the price a DiscretionOffset is related to and should be mathematically added to. Required if DiscretionOffset is specified. | Added FIX.4.2 | |||
389 | Amount (signed) added to the “related to” price specified via DiscretionInst. | Added FIX.4.2 | |||
439 | Added FIX.4.2 | ||||
440 | Added FIX.4.2 |
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