GLTrade
| ID | 13974 |
List of user-defined fields for GL Trade.
Field | Name | Type | Req'd | Comments | Pedigree |
|---|---|---|---|---|---|
5161 | Indicates the National Depositery of Securities client account. | ||||
7677 | Allocation ExecID used in Account Repeating Group (to link with Exec repeating Group) | ||||
5043 | Handling Instructions. Contains the same information as Tag-21, but possible values are 0, 1, and 2. No FIX message should contain both tags 21 and 5043. 0=Automated execution order, private, no Broker intervention 1=Automated execution order, public, Broker intervention OK 2=Manual order, best execution | ||||
5142 | Rule80A with user-defined values and meanings. | ||||
7682 | Average Price of the day set by GL SOM (for EDA orders) | ||||
7679 | Average Revised Price (Used for GL SOM) | ||||
7700 | Group of PorfolioID. Specific Kuwait Stock Exchange for back office. | ||||
5144 | Used for XETRA market. ‘P’ if the order has been partially filled, ‘F’ if completely filled. | ||||
5143 | Extra Trade Identification Number on XETRA. | ||||
9582 | Contains the GL SLE ID of the child order. | ||||
5160 | Indicates the National Depositery of Securities clearer account. | ||||
7058 | GL clearing client code type. Valid values: 1=Client; 5=House. | ||||
5159 | Indicates the code of the clearer. | ||||
7059 | GL Clearing destination. | ||||
7061 | Indicates the reference of the clearing message. This reference is given by the exchange | ||||
7693 | GL client account ID (for clearing) | ||||
7691 | Indicates the client capacity. Valid values: 1=Agent; 2=Principal; 3=Riksless principal; 4=Individual; 5=Member agent. | ||||
9596 | Free format text string for internal client use. Max size is 16 char. | ||||
9597 | Free format text string for internal client use. Max size is 32 char. | ||||
7743 | Indicates the UserId set in GLSOM to identify the FIX Client. | ||||
7684 | Used to indicate a complementary information about the settlement | ||||
7062 | Creation Date of a forward contra creation, mandatory for offset order. | ||||
7063 | Reference for a forward contra creation, mandatory for offset order. | ||||
7695 | GL Covered Indicator. Valid values: 1=Covered; 2=Uncovered. | ||||
7683 | This field indicates the rate between the currency used for the trade and the currency used by the counterpart | ||||
9598 | Specifies ClearVision (GL Back Office) Instruction. Valid values: 0=Default value; 1=Send To ClearVision; 2=Save in GL OMS. | ||||
5154 | Indicates when a broker buys/sells shares because a client did not deliver scrip or pay on time for the original trade. | ||||
9554 | Index of record into the GL server database. | ||||
5146 | Describes the instruction assigned from a dealer to a broker | ||||
9551 | Differed Settlement Service. Valid Values : 0=No 1=Yes | ||||
7676 | Floor quantity of the day. Used for GL SOM to indicate the executed quantity for client order, at the end of the day. | ||||
9552 | GL key used to identify the exchange and the market into GL servers. | ||||
9595 | Free format text string for internal client use. Max size is 255 char. | ||||
7661 | This field contains the institutional ID (length is 7 characters). | ||||
5155 | Specifies institution ID as assigned to the exchange. | ||||
9549 | Internal reference assigned to an order into the GL server. | ||||
7668 | Indicates the counterpart of the last trade. | ||||
7690 | Indicates the price delta relative to current market best price. Specific to XETRA market (best quote) | ||||
5044 | This field is a string, consisting of a branch number and an account id. | ||||
7666 | This field indicates the code of the mandator. | ||||
7709 | Initial deposit value (specific to GL SPAN message) | ||||
5042 | Executed quantity must be a multiple of this quantity. | ||||
7665 | This field indicates the Member code counterpart. For a cross order the possible values are: INTRAFIRM or NONMEMBER. | ||||
5149 | Free format text field sent to the market. | ||||
7060 | Flag to identify a midpoint order (specific XETRA). Valid values: 1=Yes; 2=No. | ||||
9584 | Valid values: 1=Gross Price (Best Exec without the cost); 2=Net Price(Best Exec with fees); 3=Ranking (Best Exec depending of the market ranking); 4-5-6=Custom1 to Custom3 (it’s for futur algorythm). Default value=1(Gross Price). | ||||
7704 | Defines the client type. Valid values: 1 Market Maker; 2 Eligible counterparty; 3 Investment Firms; 4 Retail. | ||||
9587 | Indicates the destination.Valid values: 1=Any exchanges (send on all available exchanges); 2=Selected instrument market (send the order only on the market where the trader choose the stock. In the case where you have multi-listed instruments on the same market (as for VIRTX) the order can be split between the different shares; 3=Selected instrument only (when you have multi-listed instruments on the same market (as for Chi-X). You send the order only on the instrument you choose on this market. Default value = 1(Any exchanges) | ||||
9583 | Indicates the TYPE of internalization. Valid values: 1=FACILITATION (internalization is authorized between client orders only); 2=PROPRIETARY (internalization is authorized against the internal book); 3=ONLY (order will remain in the internal liquidity pool. It will not be released to the market); 4=NO. Default value=1(Facilitation). | ||||
7670 | In case the order type is soft-limit, this field indicates the internal limit. | ||||
9589 | This field contains the negociation code of execution market | ||||
7669 | Indicates the client order type in case the order is sent to the client matching engine. Valid values: 1=Mid price (matching engine will maintain the price in real time as mid-price); 2= Soft limit (matching engine will manage an internal limit, and an external or exchange limit). | ||||
9586 | Equivalent of Overnight. It’s for keeping the orders until the next trading session. Valid values: 1=YES; 2=NO. Default value=2(NO). | ||||
9585 | Autorizes the split functionality. Valid values: 1=YES; 2=NO. Default value=2(NO). | ||||
7705 | Contains the GL GLID of execution market | ||||
7698 | Indicates the condition used to group the orders. Valid values: 1=Amalgate same price; 2=Don’t Amalgamate Against; 3=Amalgamate Manual average Price; 4=Amalgamate Automatic Average Price. | ||||
7699 | Only the orders with the same “Netting” letter will be amalgamated. This field allows differentiating all alphanumerical characters used. | ||||
5145 | Describes the level of netting assigned to an order. | ||||
7707 | Repeating Group Index for GL SPAN message | ||||
5166 | Number of triggers applied on an order. | ||||
5147 | Indicates the number of market executions. | ||||
9581 | Contains the GL SLE ID of the order. | ||||
5048 | Substatus of an order | ||||
7673 | Original Client ID of the order before amendment of Client ID | ||||
7706 | Indicates the member’s own account to the end-client. | ||||
7742 | Indicates the account of the person who initiates the order. | ||||
7680 | OTC (Off Exchange order) indicator. Used to set GL Class Order. Valid values: 0=On Exchange Order; 1= Off Exchange Order; 2=OTC Initial Trade Notification. | ||||
7688 | Indicates the period where the block can be traded.Valid values: 1=No; 1=Trading Hours; 2=After Hours; 3= Trading and After Hours. | ||||
9580 | Contains the OrderID of the parent order for a child order. | ||||
5045 | The password of a dealer or account. | ||||
7687 | Percentage Variation | ||||
7064 | Percentage of the order quantity in case of a splitted (pre)allocation type message. Used for GL OMS. | ||||
7675 | Previous price of the order before amendment(used for GL OMS) | ||||
7674 | Previous quantity of the order before amendment (used for GL OMS) | ||||
9591 | Used to reject the order if the price is too far away from the market. Valid values: 0=No price control (default value); 1=Price control; 2=Severe; 3=Client not sure. | ||||
7667 | This field contains the public order code (i.e. the order code for the displayed quantity). | ||||
9592 | Indicates whether the market exchange has to check the quantity order. Valid values: 0=No check (default value); 1=Check quantity (big size). | ||||
5175 | Used to recycle a rejected order | ||||
7685 | Used for Jakarta Stock Exchange (required for Off-exchange) | ||||
7759 | Remaining payment due on any contract (specific to KMEFIC) | ||||
5153 | Describes the instruction assigned from a sales to a broker | ||||
9550 | Assigned by a party which originates the order to the exchange. | ||||
5164 | Time of execution at the exchange level when TransactTime is already used by the broker order management system. | ||||
7663 | This field indicates the settlement account type. Valid values: 1=Standing; 2=House; 3=Client. | ||||
7664 | Currently all London Stock Exchange instruments are applicable to a single settlement venue. | ||||
5165 | Describes the settlement instruction assigned from a sales to a broker. | ||||
7697 | GL Share Group ID (for clearing) | ||||
5046 | GL-Trade User ID. Integer, 0-999 | ||||
9553 | Identicates the type of order splitting. | ||||
5163 | When an underwriter who tries to prevent a recent offering from dropping below the offering price by placing buy orders slightly above that price. Valid values: S=Stablisation, T=Takeover | ||||
7694 | Client sub-account (for clearing) | ||||
7692 | GL Sub Client Code Type (for clearing). Valid values: 1=Liquidity; 2=Specialist; 3=None; 4=Insider; 5=Shareholder. | ||||
7686 | Suspension Indicator | ||||
7689 | Indicates the maximum number contracts affected for an executed (used for XETRA best quote) | ||||
5151 | Tick denominator used to calculate the price for Liffe market. | ||||
7681 | Total cost of the day set by GL SOM for EDA orders. | ||||
7678 | Used for GL SOM. Sum of all (MatchedQty*RevisedPrice) | ||||
7662 | This field contains the ID of the trader group. | ||||
9588 | This field indicates the trade/negociation type.Valid values: A=Incoming message is a Trade Cancel; 4=Incoming message is a Manual Trade notification; I=Internet trading; S=Algorithmic trading; D=DMA trading; 2=Advertisement; 9=Trade Report. | ||||
5148 | This field is optional and contains the number assigned by the trader. This information is just conveyed in the Trade Leg Creation message. | ||||
5169 | Date of order activation. | ||||
7745 | Defines the date and time at which the order must be sent to the exchange. Specific to tactic Unreleased when running with GL Tactics. | ||||
5170 | Count down to activate the order. | ||||
5173 | Security source used to trigger the order. | ||||
5911 | Number of ticks between day low (for buy order) or day high (for sell order) and limit price | ||||
7049 | Used to identify specific in-house tactics when running with GL Tactics. Valid values: a:VWAP; A/B:Linked Trigger Order on last price (A:last superior, B:last superior); h/i:Linked Trigger Order on underlying (h:underlying superior bid, i:underlying superior ask); j/k:Linked Trigger Order on underlying (j:underlying inferior bid, k:underlying inferior ask) C:Trailing Stop; D:Peg; E:Linked Peg; F:With A Tick; G:Market Phase; H:Time Trigger(unreleased); I:Iceberg; J:Iceberg Random; K:Iceberg Ghost; L:Countdown; M:MIT Last; N:MIT Ask; O:MIT Bid; S:Stop last; T:Stop Ask; U:Stop Bid; V:Stop Max Cap; W:TWAP(native); Y:Percentage Volume. | ||||
5168 | Minimum quantity to be displayed | ||||
5912 | Minimum quantity to trigger | ||||
5167 | Price applied for the trigger type | ||||
5174 | Security ID used to trigger the order | ||||
5910 | Number of ticks between day low (for buy order) or day high (for sell order) and trigger price | ||||
5172 | Contains the symbol used to trigger the order | ||||
5171 | Trading session value used to trigger the order. | ||||
5162 | Indicates specific trigger conditions applied to the order. | ||||
7696 | Indicate a local reference ID. | ||||
7708 | Risk level for the underlying symbol. (specific to GL SPAN message) | ||||
5156 | Indicates the date for an unreleased order (order sent to exchange but inserted into the book at the indicated date). | ||||
5158 | Indicates instructions for an unreleased order. | ||||
5157 | Indicates the date/time for an unreleased order (order sent to exchange but inserted into the book at the indicated date and time). | ||||
5862 | Update Reason returned by GL SOM (for client EDA orders) | ||||
9590 | This field is used to filter specific GL messages into GL FIX IN | ||||
7671 | This field indicates the User Dealer (set in GL OMS) | ||||
5150 | Indicates the original GL User ID who has submited the order command. | ||||
7672 | This field indicates the User Sales (set in GL OMS) | ||||
7744 | Defines the quantity below which the price modification will be triggered. Specific to algos %Volume and WithATick when running with GL Tactics. | ||||
7055 | Work max update delay : defines the maximum delay for sending the order (usually it should be a few minutes or seconds). Specific to GL Tactics. | ||||
7052 | Used for GL Tactics. Valid value: 1=Market Limit. | ||||
7748 | Defines the date and time of the last wave. Specific to algo TWAP(native) when running with GL Tactics. | ||||
7053 | Used for GL Tactics. | ||||
7757 | Contains the ID Source used to trigger the order (specific Linked Peg for GL Tactics) | ||||
7050 | Used to identify specific ALGO when running with GL Tactics. Valid values: a=VWAP; D=Peg; E=Link Peg; F=WithATick; W=TWAP(native); Y=%Volume. | ||||
7746 | Defines the Work Maximum Limit Price (specific to algos PEG + Linked Peg for GL Tactics) | ||||
7057 | Indicates the number of waves alreday sent in case of algos %Volume and TWAP. Specific to GL Tactics. | ||||
7747 | Defines the Work Price (specific to algo Linked Peg for GL Tactics) | ||||
7054 | Used for GL Tactics and with Fix Tag 7053. Valid values: 1=Percentage; 2=Tick; 3=Absolute. | ||||
7051 | Used for GL Tactics. Valid values: 1=Ask; 2=Bid; 3=Last; 4=Mid. | ||||
7749 | Used with GL algo %Volume, this field indicates the volume at the beginning. | ||||
7758 | Contains the Security ID Source used to trigger the order (specific Linked Peg for GL Tactics) | ||||
7056 | Indicates the quantity already sent in case of %Volume and TWAP algos. Specific for GL Tactics. | ||||
7756 | Contains the symbol used to trigger the order (specific Linked Peg for GL Tactics) |
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