TagField NameAbbr NameData TypeUnion DatatypeDescriptionPedigree
230ExDateExDtLocalMktDate

The date when a distribution of interest is deducted from a securities assets or set aside for payment to bondholders. On the ex-date, the securities price drops by the amount of the distribution (plus or minus any market activity).
(Note tag # was reserved in FIX 4.1, added in FIX 4.3)
(prior to FIX 4.4 field was of type UTCDate)

Added FIX.4.2

Used in messages:
[Confirmation][ExecutionReport]

Used in components:
[TrdCapRptAckSideGrp][TrdCapRptSideGrp]