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  • Message

    Allocation (J)

    ID19
    PedigreeAdded FIX.2.7, Updated FIX.4.0

    The allocation record is used to instruct a broker on how to allocate executed shares to sub-accounts. The allocation record can also be used as a confirmation message through which third parties can communicate execution and settlement instructions between trading partners.

    An allocation message can be submitted as new, cancel or replace. The AllocTransType field indicates the purpose of the message. When submitting replace or cancel AllocTransType messages the RefAllocID field is required. Replacement allocation messages must contain all data for the replacement allocation.

    The allocation record contains repeating fields for each order, sub-account and individual execution; the repeating fields are shown below in typeface Bold-Italic. The relative position of the repeating fields is important in this record, i.e. each instance of allocation must be in the order shown below.

    • The total shares allocated must equal the Shares value which must equal the total executed quantity of the original order. If present, the total shares in the execution section must also be equal to this value.
    • The number of sub-account instances is indicated in NoAllocs.
    • Multiple orders can be combined for allocation by identifying the number of orders in the NoOrders field and each individual order in the OrderID fields. Combined orders must have the same ticker, trade date, settlement date and side.
    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 = R (Replace) or C (Cancel)
    Added FIX.2.7
    Y
    Indicates number of orders to be combined for allocation. If order(s) were manually delivered set to 1 (one).
    Added FIX.2.7
    Updated FIX.4.0
    Indicates number of individual execution record groups to follow. Absence of this field indicates that no individual execution records are included.
    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
    106
    Added FIX.3.0
    107
    Added FIX.3.0
    53
    Y
    Total number of shares allocated to all accounts
    Added FIX.2.7
    Updated FIX.4.0
    6
    Y
    Added FIX.2.7
    15
    Currency of AvgPx, absence of this field indicates US dollars
    Added FIX.4.0
    74
    Absence of this field indicates that default precision arranged by the broker/institution is to be used
    Added FIX.2.7
    Updated FIX.4.0
    75
    Y
    Added FIX.2.7
    Updated FIX.4.0
    60
    Date/time when allocation is generated
    Added FIX.4.0
    63
    Absence of this field is interpreted as Regular
    Added FIX.2.7
    Updated FIX.4.0
    64
    Required with SettlmntTyp other than regular
    Added FIX.4.0
    118
    Expressed in same currency as AvgPx
    Added FIX.4.0
    Required if any miscellaneous fees are reported. Indicates number of repeating entries
    Added FIX.4.0
    119
    Added FIX.4.0
    120
    Added FIX.4.0
    77
    Added FIX.2.7
    58
    Added FIX.2.7
    Y
    Indicates number of allocation groups to follow.
    Added FIX.2.7
    Updated FIX.4.0
    Y
    Added FIX.2.7

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