The Security Definition message is used for the following:
1. Accept the security defined in a Security Definition message.
2. Accept the security defined in a Security Definition message with changes to the definition and/or identity of the security.
3. Reject the security requested in a Security Definition message
4. Return a list of Security Types
5. Return a list of Securities
Added
FIX.4.2
Expand Components | Collapse Components
Field or Component | Field Name | Req'd | Comments | Depr. |
---|
Component | StandardHeader |
MsgType = d (lowercase) |
320 | SecurityReqID | ||||
322 | SecurityResponseID |
Identifier for the Security Definition message | |||
323 | SecurityResponseType | ||||
393 | TotalNumSecurities | ||||
55 | Symbol |
Symbol of the requested Security | |||
65 | SymbolSfx |
Suffix of the Requested Security | |||
48 | SecurityID |
Security ID of the requested Security | |||
22 | IDSource |
Source of the Security ID | |||
167 | SecurityType |
Must be specified if a Future or Option. If a Future: Symbol, SecurityType, and MaturityMonthYear are required. If an Option: Symbol, SecurityType, MaturityMonthYear, PutOrCall, and StrikePrice are required. Set to "?" if Security Definition Request is looking for the Security Types | |||
200 | MaturityMonthYear |
Specifiesthe month and year of maturity. Required if MaturityDay is specified. | |||
205 | MaturityDay |
Can be used in conjunction with MaturityMonthYear to specify a particular maturity date. | |||
201 | PutOrCall |
For Options. | |||
202 | StrikePrice |
For Options. | |||
206 | OptAttribute |
For Options. | |||
231 | ContractMultiplier |
For Fixed Income, Convertible Bonds, Derivatives, etc. Note: If used, quantities should be expressed in the "nominal" (e.g. contracts vs. shares) amount. | |||
223 | CouponRate |
For Fixed Income. | |||
207 | SecurityExchange | ||||
106 | Issuer | ||||
348 | EncodedIssuerLen |
Must be set if EncodedIssuer field is specified and must immediately precede it. | |||
349 | EncodedIssuer |
Encoded (non-ASCII characters) representation of the Issuer field in the encoded format specified via the MessageEncoding field. | |||
107 | SecurityDesc | ||||
350 | EncodedSecurityDescLen |
Must be set if EncodedSecurityDesc field is specified and must immediately precede it. | |||
351 | EncodedSecurityDesc |
Encoded (non-ASCII characters) representation of the SecurityDesc field in the encoded format specified via the MessageEncoding field. | |||
15 | Currency | ||||
336 | TradingSessionID | ||||
58 | Text |
Comment, instructions, or other identifying information. | |||
354 | EncodedTextLen |
Must be set if EncodedText field is specified and must immediately precede it. | |||
355 | EncodedText |
Encoded (non-ASCII characters) representation of the Text field in the encoded format specified via the MessageEncoding field. |
Repeating Group 146 | NoRelatedSym |
Number of legs that make up the Security |
311 | UnderlyingSymbol |
Must be specified as the first field in the repeating group. Required if NoRelatedSym > 0. | |||
312 | UnderlyingSymbolSfx | ||||
309 | UnderlyingSecurityID | ||||
305 | UnderlyingIDSource | ||||
310 | UnderlyingSecurityType |
Must be specified if a Future or Option. If a Future: UnderlyingSymbol, UnderlyingSecurityType, and UnderlyingMaturityMonthYear are required. If an Option: UnderlyingSymbol, UnderlyingSecurityType, UnderlyingMaturityMonthYear, PutOrCall, and UnderlyingStrikePrice are required. | |||
313 | UnderlyingMaturityMonthYear |
Specifiesthe month and year of maturity. Required if UnderlyingMaturityDay is specified. | |||
314 | UnderlyingMaturityDay |
Can be used in conjunction with UnderlyingMaturityMonthYear to specify a particular maturity date. | |||
315 | UnderlyingPutOrCall |
For Options. | |||
316 | UnderlyingStrikePrice |
For Options. | |||
317 | UnderlyingOptAttribute |
For Options. | |||
436 | UnderlyingContractMultiplier |
For Fixed Income, Convertible Bonds, Derivatives, etc. | |||
435 | UnderlyingCouponRate |
For Fixed Income. | |||
308 | UnderlyingSecurityExchange |
Can be used to identify the security. | |||
306 | UnderlyingIssuer | ||||
362 | EncodedUnderlyingIssuerLen |
Must be set if EncodedUnderlyingIssuer field is specified and must immediately precede it. | |||
363 | EncodedUnderlyingIssuer |
Encoded (non-ASCII characters) representation of the UnderlyingIssuer field in the encoded format specified via the MessageEncoding field. | |||
307 | UnderlyingSecurityDesc | ||||
364 | EncodedUnderlyingSecurityDescLen |
Must be set if EncodedUnderlyingSecurityDesc field is specified and must immediately precede it. | |||
365 | EncodedUnderlyingSecurityDesc |
Encoded (non-ASCII characters) representation of the UnderlyingSecurityDesc field in the encoded format specified via the MessageEncoding field. | |||
319 | RatioQty |
Quantity of particular leg in the Security | |||
54 | Side |
Indicates if this leg of the security is to be Bought or Sold as part of this complex security. | |||
318 | UnderlyingCurrency |
end Repeating Group |
Component | StandardTrailer |
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