FIX.5.0SP2 Component

AllocGrp

<Alloc>


Added  FIX.4.4

Expand Components | Collapse Components

Field or ComponentField NameFIXML nameReq'dCommentsDepr.
Repeating Group 78NoAllocs 

Conditionally required except when AllocTransType = Cancel, or when AllocType = Ready-to-book or Warehouse instruction

 
79AllocAccount@Acct 

May be the same value as BrokerOfCredit if ProcessCode is step-out or soft-dollar step-out and Institution does not wish to disclose individual account breakdowns to the ExecBroker. Required if NoAllocs > 0. Must be first field in repeating group.

Conditionally required except when for AllocTransType="Cancel", or when AllocType= "Ready-To-Book" or "Warehouse instruction".

 
661AllocAcctIDSource@ActIDSrc  
573MatchStatus@MtchStat  
366AllocPrice@Px 

Used when performing "executed price" vs. "average price" allocations (e.g. Japan). AllocAccount plus AllocPrice form a unique Allocs entry. Used in lieu of AllocAvgPx.

 
80AllocQty@Qty 

Conditionally required except when for AllocTransType="Cancel", or when AllocType= "Ready-To-Book" or "Warehouse instruction".

 
467IndividualAllocID@IndAllocID  
81ProcessCode@ProcCode  
989SecondaryIndividualAllocID@IndAllocID2 

Can be used by an intermediary to specify an allocation ID assigned by the intermediary's system.

 
1002AllocMethod@Meth 

Specifies the method under which a trade quantity was allocated.

 
993AllocCustomerCapacity@CustCpcty 

Can be used for granular reporting of separate allocation detail within a single trade report or allocation message.

 
1047AllocPositionEffect@AllocPosEfct  
992IndividualAllocType@Typ  
ComponentNestedPartiesPty 

Insert here the set of "Nested Parties" (firm identification "nested" within additional repeating group) fields defined in "Common Components of Application Messages"

Used for NestedPartyRole=BrokerOfCredit, ClientID, Settlement location (PSET), etc.

Note: this field can be used for settlement location (PSET) information.

 
208NotifyBrokerOfCredit@NotifyBrkrOfCredit  
209AllocHandlInst@HandlInst  
161AllocText@Txt 

Free format text field related to this AllocAccount

 
360EncodedAllocTextLen@EncAllocTextLen 

Must be set if EncodedAllocText field is specified and must immediately precede it.

 
361EncodedAllocText@EncAllocText 

Encoded (non-ASCII characters) representation of the AllocText field in the encoded format specified via the MessageEncoding field.

 
ComponentCommissionDataComm 

Insert here the set of "CommissionData" fields defined in "Common Components of Application Messages"

 
153AllocAvgPx@AvgPx 

AvgPx for this AllocAccount. For F/X orders, should be the "all-in" rate (spot rate adjusted for forward points) for this allocation, expressed in terms of Currency(15). For Fixed Income always express value as "percent of par".

 
154AllocNetMoney@NetMny 

NetMoney for this AllocAccount

((AllocQty * AllocAvgPx) - Commission - sum of MiscFeeAmt + AccruedInterestAmt) if a Sell.

((AllocQty * AllocAvgPx) + Commission + sum of MiscFeeAmt + AccruedInterestAmt) if a Buy.

For FX, if specified, expressed in terms of Currency(15).

 
119SettlCurrAmt@SettlCurrAmt 

Replaced by AllocSettlCurrAmt

Depr  FIX.4.4
737AllocSettlCurrAmt@AllocSettlCurrAmt 

AllocNetMoney in AllocSettlCurrency for this AllocAccount if AllocSettlCurrency is different from "overall" Currency

 
120SettlCurrency@SettlCcy 

Replaced by AllocSettlCurrency

SettlCurrency for this AllocAccount if different from "overall" Currency. Required if SettlCurrAmt is specified.

Depr  FIX.4.4
736AllocSettlCurrency@AllocSettlCcy 

AllocSettlCurrency for this AllocAccount if different from "overall" Currency.

Required if AllocSettlCurrAmt is specified.

Required for NDFs.

 
155SettlCurrFxRate@SettlCurrFxRt 

Foreign exchange rate used to compute AllocSettlCurrAmt from Currency to AllocSettlCurrency

 
156SettlCurrFxRateCalc@SettlCurrFxRtCalc 

Specifies whether the SettlCurrFxRate should be multiplied or divided

 
742AllocAccruedInterestAmt@AcrdIntAmt 

Applicable for Convertible Bonds and fixed income

 
741AllocInterestAtMaturity@IntAtMat 

Applicable for securities that pay interest in lump-sum at maturity

 
ComponentMiscFeesGrpMiscFees  
ComponentClrInstGrpClrInst  
635ClearingFeeIndicator@ClrFeeInd  
780AllocSettlInstType@SettlInstTyp 

Used to indicate whether settlement instructions are provided on this message, and if not, how they are to be derived.

Absence of this field implies use of default instructions.

 
ComponentSettlInstructionsDataSetInstr 

Insert here the set of "SettlInstructionsData" fields defined in "Common Components of Application Messages"

Used to communicate settlement instructions for this AllocAccount detail. Required if AllocSettlInstType = 2 or 3.

 
end Repeating Group

Used in messages:
[AllocationInstruction] [AllocationInstructionAlert] [AllocationReport]

Used in components: