Release Notes

May 2025 - Production Environment

New features are production released in a phased rollout to our globally distributed system. Therefore, a feature may be listed here which has not yet reached your workspace(s). However all of these features are available at uat.trade.tt.


Production Start Production Complete Type Component Release Note

05/30/2025

06/27/2025

Improvements

FIX Services

FIX Market Data Request (V) and Snapshot (W) messages may now include tag 1, Account, for use in subscribing to different price streams on supported markets.
The TT account specified in tag 1 can only have a single stream configured, but a user may have multiple accounts configured each with a connection to an FX market that supports price streams. This will allow users to see/use different books for the same instrument.

(Ref 181147)

Version: v280

05/30/2025

06/27/2025

Improvements

FIX Services

FIX support for CBOE market is enabled in v280 and above.

(Ref 181142)

Version: v280

05/30/2025

06/27/2025

Fixes

FIX Services

Fixed an issue where tag 129, DeliverToSubId, was missing in NewOrderSingle & NewOrderMLeg messages from Drop Copy Compliance feed.

(Ref 181141)

Version: v280

05/30/2025

06/27/2025

Improvements

FIX Services

Improved TT FIX Recovery Service performance when the recovery period includes messages for expired instruments

(Ref 181140)

Version: v280

05/30/2025

06/27/2025

Fixes

FIX Services

Fixed an issue where tag 16110, StagedOrderOwner, could be missing from staged order execution reports if the user was created while the FIX OR session was connected.

(Ref 181138)

Version: v280

05/30/2025

06/27/2025

Fixes

FIX Services

If the request to download products fails during startup, the FIX service will shut down & restart.

(Ref 181137)

Version: v280

05/30/2025

06/27/2025

Plan

FIX Services

Limited production deployment of the v280 Market Data, Recovery and Importer FIX Services began May 30. Production deployment of all services will be completed over the next 5 weeks.
All FIX services for the v280 release have been deployed to UAT since May 1, 2025.
This release includes changes to the FIX XML schema files. Clients are strongly encouraged to download and deploy the latest XML schema files from the URL below prior to release: [https://library.tradingtechnologies.com/tt-fix/general/System_Overview.html|https://library.tradingtechnologies.com/tt-fix/general/System_Overview.html]
Release Notes for FIX v280 and prior releases can be reviewed at any time by going to [https://library.tradingtechnologies.com/release_notes/|https://library.tradingtechnologies.com/release_notes/]
All TT FIX clients are strongly encouraged to subscribe to the weekly TT System Admin News and Updates email newsletter here: [https://www.tradingtechnologies.com/support-updates/|https://www.tradingtechnologies.com/support-updates/]

(Ref 181134)

Version: v280

Learn More

05/23/2025

05/23/2025

Improvements

Exchanges

TT has added support for the below contracts that are newly added on JPX -
- Wednesday expiry option series on Nikkei 225 Mini Weekly options. These will be available under the existing product symbol 225M, along with the existing Friday expiry weekly options. The alias / display name of the Wednesday expiry options will be of the format - 225M WED 02Apr25 C35250. There is no change to the format of the existing Friday expiry options.
- Fiscal Year contracts on Electricity Futures. These will be available under product symbols EEPY, EEBY, EWPY and EWBY
- Shanghai Rubber Futures. These will be available under product symbol SHRU
Along with the addition of the above new products, the Point Value on the existing energy futures under symbols EEP, EEB, EWP and EWB, that is maintained on the instrument reference data on TT PDS, has been fixed. This is now in line with the contract specifications published on the JPX website.

(Ref 179412)

05/20/2025

07/17/2025

Improvements

Order Entry

When creating a manual fill on a care order for instruments that normally display as fractional formats (e.g., ZB as 115’08), you can now enable the ‘Price off tick’ checkbox to switch the price input control to accept decimal prices (such as 115.12345678) and create the fill with up to eight (8) digits of decimal precision.

(Ref 180697)

05/20/2025

07/17/2025

Fixes

MD Trader

Fixed MD Trader order quantity button display when using "K" notation for FX instruments.

(Ref 180694)

05/20/2025

07/17/2025

Fixes

Options Chain

Fixed the days to expiry (DTE) display in the Options Chain (new) widget.

(Ref 180693)

05/20/2025

07/17/2025

Fixes

Order Entry

Fixed an issue that prevented properly submitting a child order on a care order.

(Ref 180692)

05/20/2025

07/17/2025

Fixes

Fills

Fixed an issue that sometimes prevented properly retrieving historical fills.

(Ref 180691)

05/20/2025

07/17/2025

Improvements

Performance

The Audit Query widget now prevents attempting to export more than 25,000 records as Excel format to prevent potential out of memory errors.

(Ref 180690)

05/20/2025

07/17/2025

Fixes

Market Grid

Fixed an issue in Market Grid where the autoroll feature did not properly roll when an instrument is unexpectedly missing from PDS.

(Ref 180689)

05/20/2025

07/17/2025

Fixes

Order Entry

Fixed an issue that sometimes seeded an incorrect account when using multiple Order Profiles.

(Ref 180687)

05/20/2025

07/17/2025

Fixes

Order Entry

Fixed the Order Ticket displaying a stale notional value when switching to a non-supported product type. The "Notional" field is not supported for options, spreads, and strategies.

(Ref 180668)

05/20/2025

07/17/2025

Fixes

Blocktrader

Fixed an issue that caused Blocktrader to incorrectly seed an account when Preferences > Orders > “Seed blank account for profile without associated account in Setup” is enabled. Instead the Account control should seed "<none>".

(Ref 180664)

05/20/2025

07/17/2025

Fixes

Positions

Fixed the Positions widget incorrect P/L display for EPEX and Nord Pool.

(Ref 180662)

05/20/2025

07/17/2025

Fixes

Orders

Fixed an issue that prevented unlocking a locked care order when the full quantity of the care order is being worked, partially filled or fully filled.

(Ref 180661)

05/20/2025

07/17/2025

Improvements

Orders

We now support "Soft Limit" pre-trade risk thresholds that can be set locally by users in TTW Order Profiles. These limits provide notifications when certain risk levels are approached, but they do not automatically prevent trades. The ability to set these by administrators in Setup will be released in the near future. See our documentation for more details.

(Ref 180658)

05/20/2025

07/17/2025

Improvements

Fills

Manual Fills created in the front end now include relevant Order Tag Defaults (OTDs).

(Ref 180656)

05/20/2025

07/17/2025

Improvements

Orders

The Order Book and Orders and Fills widget (OFW) now makes it easier to work large Eurex and EEX care orders in Blocktrader. Select one care order (Buy or Sell) or two care orders (Buy and Sell) of the same quantity and same instrument, right click on one of them, and select "Order Staging > Send to Blocktrader". A single care order can then be submitted from Blocktrader as you'd like (typically as a Block) and the pair of buy and sell orders will be seeded in Blocktrader as a Cross.

(Ref 180653)

05/20/2025

07/17/2025

Improvements

Orders

Pending change requests on claimed care orders can now be authorized and applied in one step via a new “Approve and apply changes to child orders” option found in the right-click menu.

(Ref 180636)

05/20/2025

07/17/2025

Improvements

General

Previously, we implemented the “autoroll” feature to help maintain workspaces with minimal manual intervention and avoid manual addition and removal of instruments as they expire. However, this feature only covered outright futures instruments. We have now extended autoroll to cover exchange-listed spread instruments that are composed of monthly legs. With autoroll applied, when a spread leg expires, the spread instrument is automatically updated and replaced with the next available spread that maintains the monthly spread leg relationships. Note, this feature does not support exchange-listed strategies and spreads composed of non-monthly expirations.

(Ref 180592)

05/20/2025

07/17/2025

Improvements

Fills

You can now unassign fills that were previously assigned to a care order in the Orders and Fills widget (OFW) via a new "Unassign Fills" right click menu item that appears on a partially filled staged order. Note that only current session fills can be assigned and/or unassigned to/from a staged order.

(Ref 180591)

05/20/2025

07/17/2025

Improvements

Orders

You can now assign existing working orders to a care order in the Order Book and Orders and Fills widget (OFW) via a new "Assign > Orders..." right click menu item that appears on a staged order. Note that the orders available for assignment must meet the criteria of the care order regarding instrument, buy/sell direction, quantity and price (if held to price).

(Ref 180574)

05/20/2025

07/17/2025

Fixes

Market Grid

Fixed Market Grid sorting of LME instruments so that combinations of rolling and dated contracts that represent the same spread are grouped together by ExpDate.

(Ref 180573)

05/20/2025

07/17/2025

Fixes

Market Grid

Fixed an issue that sometimes caused newly created LME carry instruments to not automatically appear in Market Grid.

(Ref 180572)

05/20/2025

07/17/2025

Fixes

Order Book

Fixed an Order Book issue that sometimes prevented using the right-click "Stitch" feature on care orders.

(Ref 165941)

05/15/2025

05/15/2025

Improvements

General

The file retention policy for Exchange Compliance files on the EFT server has been set to 14 days. Customers should make sure to download and archive those files on a regular basis. Requests for restoring historical data may incur a fee.

(Ref 181296)

Learn More

05/09/2025

05/11/2025

Improvements

Exchanges

As part of the BIST's 3.12 release, BIST has made changes to the format of one of the reference data messages - BasicDataTradable (BDt). TT has released changes in it's software to handle these changes. There is no direct impact to any customers due to this change, and this change is expected to be transparent to the customers. Customers are still encouraged to perform testing in TT UAT, to avoid any adverse impact in Production.

(Ref 181352)

05/09/2025

05/09/2025

Plan

Exchanges

Support for the GFO-X is now available in production. Details from the exchange may be found here: https://www.gfo-x.com/
Information on market setup on TT may be found here: https://library.tradingtechnologies.com/user-setup/gfox-overview.html
Please contact your TT Onboarding representative for assistance in enabling GFO-X for trading.

(Ref 161234)

05/06/2025

05/06/2025

Improvements

Settings

PTRM has been upgraded to support multi-tenant usage. Until this release, all PTRM usage was limited to the London Metals Exchange tenant. Over the next month LME and TT will be working with members to migrate PTRM administrators from the LME tenant to the individual member tenants. Please reach out to LME to coordinate this migration.
Note: During the migration, all PTRM Risk Groups, End Clients, and limit settings will be maintained. Members will NOT need to reenter or reconfigure any PTRM settings. Only PTRM admin users and PTRM connections will need to be set up.

(Ref 181302)

05/06/2025

05/06/2025

Fixes

TT Rest API

Updated the pds/markets endpoint to return markets with higher-order IDs. (v2.3.1)

(Ref 181256)

05/31/2025

06/02/2025

Fixes

Exchanges

Previously, an incorrect Tick Size was displayed on the Eurex OEXP product. This has now been corrected, and the correct tick size is as follows.
Bid up to: 0.10 – 10.00: 0.10 index points 10.25 – 25.00: 0.25 index points 25.5+: 0.50 index points
Initially , for the section "10.25 - 25.00" , the Tick size at TT was 0.20 index points .

(Ref 168208)