Indexes

Message Layouts
Session
PreTrade
Trade
PostTrade
Infrastructure

Message

ExecutionReport (8)

ID9
PedigreeAdded FIX.2.7
The execution report message is used to:
1. confirm the receipt of an order
2. confirm changes to an existing order (i.e. accept cancel and replace requests)
3. relay order status information
4. relay fill information on working orders
5. relay fill information on tradeable or restricted tradeable quotes
6. reject orders
7. report post-trade fees calculations associated with a trade
Field
Name
Type
Req'd
Comments
Pedigree
Y
MsgType = 8
Added FIX.2.7
For use in drop copy applications. NOT FOR USE in transactional applications.
Added EP-1
37
Y
OrderID is required to be unique for each chain of orders.
Added FIX.2.7
2422
Required if provided on the order message. Echo back the value provided in the order message.
Added EP188
2423
Can be used to link execution to the MassOrder(35=DJ) message.
Added EP188
198
Can be used to provide order id used by exchange or executing system. Can alternatively be used to convey implicit order priority.
Added FIX.4.1
Updated EP125
526
Added FIX.4.3
Updated EP159
527
Added FIX.4.3
11
Required when referring to orders that were electronically submitted over FIX or otherwise assigned a ClOrdID(11).
In the case of quotes can be mapped to:
- QuoteID(117) of a single Quote(35=S)
- QuoteEntryID(299) of a MassQuote(35=i)
- BidID(390) or OfferID(1867) of a two-sided Quote(35=S)
- MassOrderReportID(2424) of a MassOrderAck(35=DK)
Added FIX.2.7
Updated EP271
1166
In the case of quotes can be mapped to:
o QuoteMsgID(1166) of a single Quote(35=S)
o QuoteID(117) of a MassQuote(35=i)
Added EP159
41
Conditionally required for response to a Cancel or Cancel/Replace request (ExecType(150) = 6 (Pending Cancel, 5 (Replaced), or 4 (Canceled)) when referring to orders that where electronically submitted over FIX or otherwise assigned a ClOrdID(11). ClOrdID(11) of the previous accepted order (NOT the initial order of the day) when canceling or replacing an order.
Added FIX.4.1
Updated EP188
583
Added FIX.4.3
278
Reference to the MDEntryID(278) of this order or quote in the market data.
Added EP125
693
Required if responding to a QuoteResponse(35=AJ) message. Echo back the Initiator's value specified in the message.
Added FIX.4.4
Updated EP188
790
Required if responding to and if provided on the OrderStatusRequest(35=H) message. Echo back the value provided by the requester.
Added FIX.4.4
Updated EP188
584
Required if responding to a OrderMassStatusRequest(35=AF). Echo back the value provided by the requester.
Added FIX.4.4
Updated EP188
961
Host assigned entity ID that can be used to reference all components of a cross; sides + strategy + legs
Added EP-1
911
Can be used when responding to an OrderMassStatusRequest(35=AF) to identify the total number of ExecutionReport(35=8) messages which will be returned.
Added FIX.4.4
Updated EP188
912
Can be used when responding to an OrderMassStatusRequest(35=AF) to indicate that this is the last ExecutionReport(35=8) messages which will be returned as a result of the request.
Added FIX.4.4
Updated EP188
Specifies party information related to the submitter.
Added FIX.4.3
Updated EP188
Specifies parties not directly associated with or owning the order, who are to be informed to effect processing of the order.
Added EP131
Updated EP188
229
Added FIX.4.3
Added FIX.4.4
Updated EP188
66
Required for executions against orders which were submitted as part of a list.
Added FIX.2.7
548
CrossID for the replacement order
Added FIX.4.3
551
Must match original cross order. Same order chaining mechanism as ClOrdID(11)/OrigClOrdID(41) with OrderCancelReplaceRequest(35=G).
Added FIX.4.3
Updated EP188
549
Added FIX.4.3
2334
Added EP171
2335
Conditionally required when RefRiskLimitCheckID(2334) is specified.
Added EP171
880
Added EP-1
1891
Added EP223
17
Y
Unique identifier of execution message as assigned by sell-side (broker, exchange, ECN) (will be 0 (zero) for ExecType(150) = I (Order Status)).
Added FIX.2.7
Updated EP188
19
Required for ExecType(150) = H (Trade Cancel) and ExecType(150) = G (Trade Correct).
Added FIX.2.7
Updated EP188
150
Y
Describes the purpose of the execution report.
Added FIX.4.1
2431
Can be used to provide further detail for ExecType(150) field.
Added EP188
39
Y
Describes the current state of a CHAIN of orders, same scope as OrderQty, CumQty, LeavesQty, and AvgPx
Added FIX.2.7
636
For optional use with OrdStatus = 0 (New)
Added FIX.4.3
2838
Added EP253
103
For optional use with ExecType = 8 (Rejected)
Added FIX.2.7
1328
Reason description for rejecting the transaction request.
Added EP134
1664
Must be set if EncodedRejectText(1665) field is specified and must immediately precede it.
Added EP134
1665
Encoded (non-ASCII characters) representation of the RejectText(1328) field in the encoded format specified via the MessageEncoding(347) field.
Added EP134
378
Required for ExecType = D (Restated).
Added FIX.4.2
2961
Added EP274
2667
Added EP222
3097
For optional use in algo trials.
Added EP297
3098
If ExecType(150)=F (Trade), indicates the algorithm used for last fill.
Added EP297
3012
Added EP297
828
For optional use in reporting trades.
Added EP176
Updated EP289
829
For optional use in reporting trades.
Added EP222
Updated EP289
855
For optional use in reporting trades. Conditionally requires presence of TrdType(828).
Added EP222
Updated EP289
2896
For optional use in reporting trades. Conditionally requires presence of SecondaryTrdType(855).
Added EP289
For optional use in reporting trades as alternative to the use of individual fields.
Added EP289
2347
Added EP176
Added EP175
570
Added EP222
2524
May be used to bilaterally inform counterparty of trade reporting status.
Added EP222
1
Required for executions against electronically submitted orders which were assigned an account by the institution or intermediary
Added FIX.2.7
660
Added FIX.4.4
581
Specifies type of account
Added FIX.4.3
589
Added FIX.4.3
590
Added FIX.4.3
591
Added FIX.4.3
70
Added EP-1
Pre-trade allocation instructions.
Added EP-1
63
Added FIX.2.7
64
Takes precedence over SettlType value and conditionally required/omitted for specific SettleType values.
Required for NDFs to specify the "value date".
Added FIX.2.7
Updated EP82
574
Added EP-1
1115
Added EP-1
544
Added FIX.4.3
635
Added FIX.4.3
Y
Added FIX.4.3
Updated EP188
Added FIX.4.4
Updated EP188
Number of underlyings
Added FIX.4.4
Added EP226
54
Y
Added FIX.2.7
2102
Added EP164
1688
Available for optional use when Side(54) = 6(Sell short exempt).
Added EP121
Updated EP131
Added FIX.4.3
Updated EP188
854
Added FIX.4.4
Conditionally required when the OrderQtyData component is required or specified in a prior, related message.
For example, when used in a work flow including a NewOrderSingle(35=D) or NewOrderCross(35=s) message, the OrderQtyData component is a required component in these messages and thus the component is required here. When the OrderQtyData component is optional in a related message, such as the NewOrderMultileg(35=AB), the component is required here when specified in the prior, related NewOrderMultileg(35=AB) message.
Added FIX.4.3
Updated EP221
1093
Added EP-1
40
Added FIX.2.7
423
Added FIX.4.3
Added EP230
44
Required if specified on the order
Added FIX.2.7
1092
Added EP-1
99
Required if specified on the order
Added FIX.2.7
Added EP-1
Updated EP188
1823
Added EP131
Added FIX.4.4
Updated EP188
Added FIX.4.4
Updated EP188
839
The current price the order is pegged at
Added FIX.4.4
1095
The reference price of a pegged order.
Added EP-1
845
The current discretionary price of the order
Added FIX.4.4
1740
Added EP119
1742
Required if specified on the order
Added EP119
1741
Added EP119
847
The target strategy of the order
Added FIX.4.4
Strategy parameter block
Added EP-1
848
For further specification of the TargetStrategy
Added FIX.4.4
Deprecated FIX.5.0
849
Mandatory for a TargetStrategy=Participate order and specifies the target particpation rate.
For other order types optionally specifies a volume limit (i.e. do not be more than this percent of the market volume)
Added FIX.4.4
Deprecated FIX.5.0
850
For communication of the performance of the order versus the target strategy
Added FIX.4.4
15
Added FIX.2.7
2897
Added EP273
376
Added FIX.4.2
2404
Added EP185
2351
Must be set if EncodedComplianceText(2352) field is specified and must immediately precede it.
Added EP185
2352
Encoded (non-ASCII characters) representation of the ComplianceText(2404) field in the encoded format specified via the MessageEncoding(347) field.
Added EP185
377
Added FIX.4.2
59
Absence of this field indicates Day order
Added FIX.2.7
168
Time specified on the order at which the order should be considered valid
Added FIX.4.2
432
Conditionally required if TimeInForce(59) = 6 (GTD) and ExpireTime(126) is not specified.
Added FIX.4.2
Updated EP188
126
Conditionally required if TimeInForce(59) = 6 (GTD) and ExpireDate(432) is not specified.
Added FIX.4.0
Updated EP188
1629
Conditionally required when TimeInForce(59)=10 (Good for Time)
Added EP100
1916
Added EP159
18
Can contain multiple instructions, space delimited.
Added FIX.2.7
1805
Added EP131
1057
Added EP-1
528
Added FIX.4.3
529
Added FIX.4.3
1815
Added EP131
1934
Added EP261
1091
Added EP-1
1390
Applies to trades resulting from the order.
Added EP131
582
Added FIX.4.3
Added EP222
32
Quantity (e.g. shares) bought/sold on this (last) fill. Required if ExecType(150) = F (Trade) or ExecType(150) = G (Trade Correct) unless FillsGrp or OrderEventGrp is used.
If ExecType(150) = 7 (Stopped), represents the quantity stopped/guaranteed/protected for.
Added FIX.2.7
Updated EP188
1056
Used for FX trades to express the quantity or amount of the other side of the currency. Conditionally required if ExecType(150) = F (Trade) or G (Trade Correct) and is an FX trade.
Added EP-1
Updated EP188
1071
Optionally used when ExecType(150) = F (Trade) or G (Trade Correct) and is a FX Swap trade. Used to express the swap points for the swap trade event.
Added EP-1
Updated EP188
652
Added FIX.4.3
1828
Added EP132
31
Price of this (last) fill. Required if ExecType(150) = ExecType = F (Trade) or G (Trade Correct) unless FillsGrp or OrderEventGrp or TradePriceCondition(1839)=17 (Price is pending) or 18 (Price is not applicable) is used.
Should represent the "all-in" (LastSpotRate(194) + LastForwardPoints(195)) rate for F/X orders.).
If ExecType(150) = 7 (Stopped), represents the price stopped/guaranteed/protected at.
Not required for FX Swap when ExecType(150) = F (Trade) or G (Trade Correct) as there is no "all-in" rate that applies to both legs of the FX Swap.
Added FIX.2.7
Updated EP228
651
Added FIX.4.3
669
Last price expressed in percent-of-par. Conditionally required for Fixed Income trades when LastPx(31) is expressed in Yield, Spread, Discount or any other price type that is not percent-of-par.
Added FIX.4.4
Updated EP188
631
Added EP175
194
Applicable for F/X orders
Added FIX.4.1
195
Applicable for F/X orders
Added FIX.4.1
1743
Upfront Price for CDS transactions. Conditionally required if TradePriceNegotiationMethod(1740) = 4(Percent of par and upfront amount), 5(Deal spread and upfront amount) or 6(Upfront points and upfront amount).
Added EP119
2750
Added EP237
2751
Added EP237
30
If ExecType(150) = F (Trade), indicates the market where the trade was executed. If ExecType(150) = 0 (New (0), indicates the market where the order was routed.
Added FIX.2.7
Updated EP188
1430
Added EP209
1300
Added EP131
Updated EP209
100
Added EP115
Updated EP209
1133
Added EP115
Updated EP209
2704
Added EP228
336
Added FIX.4.2
625
Added FIX.4.3
943
Added FIX.4.4
29
Added FIX.2.7
Insert here the set of "LimitAmts" fields defined in "Common Components"
Added EP100
151
Y
Quantity open for further execution. If the OrdStatus(39) is = 4 (Canceled), 3 (Done For Day), C (Expired), B (Calculated), or 8 (Rejected) (in which case the order is no longer active) then LeavesQty(151) could be 0, otherwise LeavesQty(151) = OrderQty(38) - CumQty(14).
Added FIX.4.1
Updated EP188
14
Y
Currently executed quantity for chain of orders.
Added FIX.2.7
84
Can be used to specify the remaining quantity that was cancelled prior to order reaching terminal state (i.e. when LeavesQty(151)=0). If specified, OrderQty(38) = CumQty(14) + CxlQty(84).
Added EP188
6
Not required for markets where average price is not calculated by the market.
Conditionally required otherwise.
Added FIX.2.7
424
For GT orders on days following the day of the first trade.
Added FIX.4.2
425
For GT orders on days following the day of the first trade.
Added FIX.4.2
426
For GT orders on days following the day of the first trade.
Added FIX.4.2
1361
Used to support fragmentation. Sum of NoFills(1362) across all messages with the same ExecID(17).
Added EP-1
Updated EP188
893
Indicates whether this is the last fragment in a sequence of message fragments. Only required where message has been fragmented.
Added EP-1
Specifies the partial fills included in this ExecutionReport(35=8), mutually exclusive with OrderEventGrp component.
Added EP-1
Updated EP131
Specifies the order events included in this ExecutionReport(35=8), mutually exclusive with FillsGrp component.
Added EP131
2830
Added EP253
427
States whether executions are booked out or accumulated on a partially filled GT order
Added FIX.4.2
75
Used when reporting other than current day trades.
Added FIX.2.7
60
Time the transaction represented by this ExecutionReport(35=8) occurred.
Added FIX.2.7
Updated EP131
113
Added FIX.3.0
Note: On a fill/partial-fill message, it represents value for that fill/partial fill. On ExecType(150) = B (Calculated), it represents cumulative value for the order.
Added FIX.4.3
Updated EP204
Use as an alternative to CommissionData component if multiple commissions or enhanced attributes are needed.
Added EP204
Added FIX.4.3
Updated EP188
Added EP194
Added FIX.4.3
Updated EP188
381
Added FIX.4.2
157
Added FIX.4.3
230
Added FIX.4.3
158
Added FIX.4.3
159
Added FIX.4.3
738
For fixed income products which pay lump-sum interest at maturity.
Added FIX.4.4
920
For repurchase agreements the accrued interest on termination.
Added FIX.4.4
921
For repurchase agreements the start (dirty) cash consideration.
Added FIX.4.4
Updated EP188
922
For repurchase agreements the end (dirty) cash consideration.
Added FIX.4.4
Updated EP188
258
Added FIX.4.3
259
Added FIX.4.3
260
Added FIX.4.3
238
Added FIX.4.3
237
Added FIX.4.3
118
On a fill/partial fill message, it represents value for that fill/partial fill. On a ExecType(150) = B (Calculated) message, it represents cumulative value for the order. Value expressed in the currency reflected by the Currency(15) field.
Added FIX.4.0
Updated EP188
119
Used to report results of forex accommodation trade.
Added FIX.4.0
Updated EP188
120
Used to report results of forex accommodation trade.
Required for Non-Deliverable Forwards.
Added FIX.4.0
Updated EP188
2899
Added EP273
Added EP82
2795
Added EP247
155
Foreign exchange rate used to compute SettlCurrAmt(119) from Currency(15) to SettlCurrency(120).
Added FIX.4.1
Updated EP188
156
Specifies whether the SettlCurrFxRate(155) should be multiplied or divided.
Added FIX.4.1
Updated EP188
21
Added FIX.4.2
110
Added FIX.4.2
1822
Added EP131
1089
Added EP-1
1090
Added EP-1
2676
Added EP223
Added EP223
Added EP99
2362
May be used as an alternative to MatchingInstructions when the identifier does not appear in another field.
Added EP218
2964
May be used to return the self-match prevention instruction provided on the order placement message. Omit for unsolicited cancellations and use ExecRestatementReason(378) to convey the self-match prevention instruction that caused the cancellation.
Added EP280
2523
Added EP218
Added EP-1
Updated EP188
Added EP131
Updated EP188
111
Added FIX.4.2
Updated EP195
Deprecated EP195
1816
Added EP131
77
For use in derivatives omnibus accounting
Added FIX.4.2
210
Added FIX.4.2
Deprecated FIX.5.0
775
Method for booking out this order. Used when notifying a broker that an order to be settled by that broker is to be booked out as an OTC derivative (e.g. CFD or similar). Absence of this field implies regular booking.
Added FIX.4.4
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
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
Deprecated FIX.5.0
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
Deprecated FIX.5.0
641
Can be used with OrdType = "Forex - Swap" to specify the forward points (added to LastSpotRate) for the future portion of a F/X swap.
Added FIX.4.3
Updated EP195
Deprecated EP195
442
Default is a single security if not specified.
Added FIX.4.2
1385
For contingency orders, the type of contingency as specified in the order.
Added EP100
480
For CIV - Optional
Added FIX.4.3
481
Added FIX.4.3
513
Reference to Registration Instructions message for this Order.
Added FIX.4.3
494
Supplementary registration information for this Order
Added FIX.4.3
483
For CIV - Optional
Added FIX.4.3
515
For CIV - Optional
Added FIX.4.3
484
For CIV - Optional
Added FIX.4.3
485
For CIV - Optional
Added FIX.4.3
638
Added FIX.4.3
639
Added FIX.4.3
851
Applicable only on OrdStatus(39) = 1 of (Partially filled) or 2(Filled).
Added FIX.4.4
Updated EP188
Added FIX.4.4
Updated EP188
Specifies the leg executions of a multi-leg order or quote.
Added FIX.4.4
Updated EP188
797
Added FIX.4.4
Required if any miscellaneous fees are reported.
Added FIX.4.4
Updated EP95
1380
Added EP-1
1028
Added EP-1
1029
Added EP-1
1030
Added EP-1
Updated EP195
Deprecated EP195
1031
Added EP-1
1032
Added EP-1
1724
Added EP135
2882
May be used for cross orders submitted with single order messages.
Added EP256
1725
Added EP135
1726
Added EP135
2883
Added EP256
2884
May be used for cross orders submitted with single order messages.
Added EP256
2525
Added EP264
522
Added EP135
2679
Can be used to highlight change of order ownership.
Added EP223
Added EP-1
Added EP222
Added EP222
1937
May be used to indicate the post-execution trade continuation or lifecycle event. This should echo the value in the message that resulted in this report.
Added EP258
2374
Added EP258
2372
Must be set if EncodedTradeContinuationText(2371) field is specified and must immediately precede it.
Added EP258
2371
Encoded (non-ASCII characters) representation of the TradeContinuationText(2374) field in the encoded format specified via the MessageEncoding(347) field.
Added EP258
1188
Added EP-1
1189
Added EP-1
1190
Added EP-1
811
Added EP-1
1917
Added EP159
Added EP116
1080
Added EP125
1081
Added EP125
1806
Added EP131
May be used to provide a list of orders and their relationship to the order identified in this message.
Added EP259
1803
Added EP131
1804
Added EP131
1808
Added EP131
1809
Added EP131
1807
Added EP131
1810
Added EP131
1811
Added EP131
1819
Added EP131
1820
Added EP131
1821
Added EP131
Y
Added FIX.2.7

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