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MiFID II Support

Order Cancel Request (F) Message

On this page

Note: Users must subscribe to the FIX Compliance Feed to receive the Order Cancel Request (F) Message. The FIX Compliance Feed enables customers to receive a full Order Audit Trail in FIX format for all FIX, screen and algo order flow occurring in the TT system.

Your administrator must enable this option when Adding and configuring a FIX Session in Setup.

Order Cancel Request (F) Message

Purpose

Used to cancel an order

Message Direction

From TT FIX to FIX client

Tag Directory

Click the links below to navigate to the documentation for that tag.

OrderCancelRequest
TagNameTypeRequiredComments
Y

For additional information about this component group, consult the documentation.

35=F (MsgType)

8BeginStringSTRINGY

FIX protocol version

The tag indicates the beginning of a new message.

This tag must be the first tag in the message.

You must set the value to FIX.4.2 or FIX.4.4.

9BodyLengthINTY

Message length (in characters)

The value represents number of characters in the message following
this tag up to, and including, the delimiter immediately preceding Tag
10 (CheckSum). This tag must be the second field in a message.

35MsgTypeSTRINGY

Type of message contained in the message body

This tag must appear third in the list of header tags.

Possible values:
  • 0: Heartbeat
  • 1: Test Request
  • 2: Resend Request
  • 3: Reject
  • 4: Sequence Reset
  • 5: Logout
  • 8: Execution Report
  • 9: Order Cancel Reject
  • A: Logon
  • B: News
  • c: Security Definition Request
  • D: Order Single
  • d: Security Definition
  • e: Security Status Request
  • f: Security Status
  • F: Order Cancel Request
  • G: Order Cancel Replace Request
  • H: Order Status Request
  • Q: Don’t Know Trade (Inbound Drop Copy only)
  • R: Quote Request
  • V: Market Data Request
  • W: Market Data Snapshot Full Refresh
  • X: Market Data Incremental Refresh
  • Y: Market Data Request Reject
  • AD: Trade Capture Report Request
  • AE: Trade Capture Report
  • AQ: Trade Capture Report Request Ack
49SenderCompIDSTRINGY

ID for the FIX client, corresponding to the RemoteCompID specified for the user in TT User Setup

56TargetCompIDSTRINGY

TT session identity

TT FIX does not validate this field. To guarantee session persistence, the FIX client must maintain the same value of this field for the life of the session.

You can use any value in this tag to identify the TT session for the FIX client. TT FIX will return this value in tag 49 (SenderCompID) in its responses.

50SenderSubIDSTRINGN

Unique ID for the message sender

For order routing messages, this tag overrides the exchange Operator ID configured in Setup.

142SenderLocationIDSTRINGN

Specific message originator’s location (i.e. geographic location and/or
desk, trader)

116OnBehalfOfSubIDSTRINGC

Required when multiple users are associated with the account.

Unique Trader ID

The value maps to the Alias field configured for a user in Setup.

129DeliverToSubIDSTRINGC

Value of Tag 116 (OnBehalfOfSubID) in the FIX client request.

34MsgSeqNumSEQNUMY

Message sequence number

43PossDupFlagBOOLEANC

Must send when a FIX client resends messages

Whether the sequence number for this message is already used

Possible values:
  • N: NO: Original transmission
  • Y: YES: Possible duplicate

122OrigSendingTimeUTCTIMESTAMPC

Required for resent messages

Original time of message transmission, when transmitting orders as the result of a resend request

Always expressed in UTC.

52SendingTimeUTCTIMESTAMPY

Time, in UTC, the message was sent.

57TargetSubIDSTRINGC

If the Target Sub Id field has a value for the FIX Session in Setup, you must supply that value is this tag for a Logon (A) message.

Unique ID for the message receiver.

1AccountSTRINGY

Order-routing account

37OrderIDSTRINGC

Required when the message does not contain Tag 41 (OrigClOrdID)

Internal TT order key assigned to all orders submitted through any TT software.

The value remains constant for the life of an order.

18218TTCustomerNameSTRINGC

The Order Profile applied to the TT account.

Can be used by FIX clients to specify the User Setup Order Profile name to be applied to a new order / change order message.

If the successful lookup includes an Order Profile, the profile name is copied to Tag 18218, TT Customer Name.

16116OrderIDGUIDSTRINGC

Sent only when the Send and receive Order ID values in short form setting is enabled for the FIX session in the Setup application.

TT order ID

11ClOrdIDSTRINGY

Unique identifier for an Order as assigned by TT. Uniqueness is guaranteed within a single FIX trading session. Tag 11 values may be reused after the daily or weekly FIX session reset. Maximum length of the tag 11 is (20) characters.

41OrigClOrdIDSTRINGY

Original order ID. Equal to the current value of Tag 11 (ClOrdID) of the order that this message modifies.

1028ManualOrderIndicatorBOOLEANN

Whether the order is sent manually or through automated trading logic

Possible values:
  • Y: Manual
  • N: Automated
60TransactTimeUTCTIMESTAMPN

Time, in UTC, the transaction occurred with microsecond precision.

For example:

  • Millisecond precision: 60=20170509-22:34:56.881
  • Microsecond precision: 60=20170509-22:34:56.881321

Note: This tag is valid only in messages sent from TT FIX Drop Copy sessions when the Compliance Feed (Send original order/cancel/change messages and pending execution reports) setting is enabled in Setup.

16999ClearingAccountOverrideSTRINGN

Overrides the clearing account defined in the Setup application for the user’s account named in Tag 1.

16558TextTTSTRINGN

Value corresponding to the Text TT field in TT widgets

16559TextCSTRINGN

Customer-defined text field not sent to exchange.

7928SelfMatchPreventionIDSTRINGN

Exchange-registered identifier that enables customers to prevent the matching of orders for accounts with common ownership, even across different executing firms.

528OrderCapacityCHARC

Required for exchanges subject to MiFID II regulations.

Designates the capacity of the firm placing the order. The value corresponds to the Trading Capacity setting for Customer Defaults in Setup.

Possible values:
  • A: Agency (maps to [AOTC])
  • G: Proprietary (maps to [AOTC])
  • I: Individual (maps to [AOTC])
  • P: Principal (maps to [DEAL])
  • R: Riskless Principal (maps to [MTCH])
  • W: Agent for Other Member (maps to [AOTC])
529OrderRestrictionCHARC

Required for exchanges subject to MiFID II regulations.

Restrictions associated with an order. Sent when provided by the exchange. Currently, only the NASDAQ EU market supports this field.

Possible values:
  • 1: Program Trade
  • 2: Index Arbitrage
  • 3: Non-Index Arbitrage
  • 4: Competing Market Maker
  • 5: Acting as Market Maker or Specialist in the security
  • 6: Acting as Market Maker or Specialist in the underlying security of a derivative security
  • 7: Foreign Entity (of foreign government or regulatory jurisdiction)
  • 8: External Market Participant
  • 9: External Inter-connected Market Linkage
  • A: Riskless Arbitrage
  • B: Issuer Holding
  • C: Issuer Price Stabilization
  • D: Non-Algorithmic
  • E: Algorithmic
1724OrderOriginationINTC

Required for exchanges subject to MiFID II regulations.

Identifies the origin of the order. whether the order was received from a customer of the firm, originated by the firm, or whether the order was received from another broker-dealer. The value corresponds to the Direct Electronic Access setting for Order Tag Defaults in Setup.

Possible values:
  • 5: Order from a direct access or sponsored access customer
  • 99: Other
2404ComplianceTextSTRINGC

ComplianceText (Tag 2404) is a free-form text field containing compliance information used for regulatory reporting. Tag 2404 is supported on all order, change, cancel and execution report messages.

ComplianceText (Tag 2404) is conditionally required for some orders in production for Eurex and EEX.

  • If Trading Capacity is Proprietary (5) then ComplianceText (Tag 2404) is required
  • If Trading Capacity is Agency (1), then ComplianceText (Tag 2404) is required when the user is an Exchange Trader acting for another exchange participant. It should not be sent when the user is a client of the Member (not an exchange trader).

Note: Orders will not be rejected by the exchange if this field is not populated.

Tag 2404 in the TT system behaves as follows:

  • ComplianceText (Tag 2404) should include the following info: Member ID/ Trader ID combination, aka the MGT (for ex. ABCFRTRD001).
  • ComplianceText (Tag 2404) will be set at the User level in a new field to be added in Setup, “Compliance Text”.
  • If ComplianceText (Tag 2404) is populated, TT will send it to the exchange in Tag 2404, if it is not populated, TT will not send the tag.
16566DropCopyOrderBOOLEANC

Sent only for Drop Copy FIX Adapter sessions with the Compliance Feed (Send original order/cancle/change messsages and pending execution reports) option is enabled in Setup. When sent, the value of this tag will always be Y.

Indicates the message is a drop copy order message. This tag is generated by TT FIX Adapter to provide a complete audit trail for the order.

Note: FIX clients should not send this tag for incoming messages.

Possible values:
  • Y: YES
207SecurityExchangeEXCHANGEC

Name of the market where the instrument trades.

TT FIX uses this value to identify the exchange that offers the
security.

Possible values:
  • AGGREGATOR
  • ALGO
  • ASE
  • ASX
  • B3
  • BitMEX
  • BrokerTec
  • Cboe
  • CboeFX_SW_NY
  • CBOT
  • CFE
  • CME
  • Coinbase
  • CoinFLEX
  • CurveGlobal
  • CZCE
  • DCE
  • DGCX
  • EEX
  • Eurex
  • Euronext
  • Fenics
  • FEX
  • HKEX
  • ICE
  • ICE_L
  • IDEM
  • INE
  • KCG
  • KRK
  • LME
  • LSE
  • MEFF
  • MEXDER
  • MX
  • NDAQ_EU
  • NFI
  • NFX
  • OSE
  • SGX
  • TFEX
  • TFX
  • TOCOM
100ExDestinationEXCHANGEC

Market Identifier Code (MIC) of the sub-market where the instrument trades.

Execution destination for the order as defined by the institution

Some traders use this tag in place of Tag 207 (SecurityExchange) to
identify the exchange.

ISO 10383 defines a comprehensive list of MIC codes.

16112NoLinksINTC

Sent only for FIX Drop Copy OUT sessions when the Compliance Feed (Send original order/cancel/change messages and pending execution reports) setting is enabled for the session in TT Setup. The tag is ignored if sent on FIX Order Routing sessions.

Number of links contained in this repeating group

16113LinkIDSTRINGC

Sent when tag 16112 > 0

Used to identify relationships between entities (accounts or orders).

Example: Distinguish that this is a child order or fill that came from a synthetic parent order. Child orders and fills that came from the same parent order will have the same LinkID.

Note: If the Send Staged / Synthetic Child order / fill message setting is enabled for the FIX session in the Setup application, this tag will contain a shortened ID.

16114LinkTypeCHARC

Sent when tag 16112 > 0

The kind of link.

Note: When LinkType (Tag 16114) equals R, LinkID (Tag 16113) will contain the TT Order ID of the topmost parent order in the chain (e.g., parent/child/grandchild/etc.) of algo orders.

Possible values:
  • 7: Staged child order ID
  • P: Parent order ID
  • X: Position transfer ID
  • 8: Staged bulked child order ID
  • 9: Staged stitched child order ID
  • A: Staged split child order ID
  • E: Unique execution ID allocated from (FX only)
  • R: Root algo order ID
  • F: Parent Account ID
N

Information about the entities involved in the financial transaction associated with this FIX message.

For additional information about this component group, consult the full documentation.

453NoPartyIDsNUMINGROUPN

Number of parties in the PartiesGrp repeating group

448PartyIDSTRINGC

Required when NoPartyIds (453) is greater than 0.

Party identifier code

Reserved values when 452=3 (ClientID) and 447=P (Short code):

  • 0: Own account; no client
  • 1: PNAL (Pending allocation)
  • 2: AGGR (Aggregated)
  • GU: CME give-up code (to override the Give-up code configured in Setup)
  • SX: SGX give-up code (to override the Give-up code configured in Setup)

Reserved when 452=12 (Executing trader) and 447=P (Short code):

  • 3: NORE: Execution decision outside firm
452PartyRoleINTC

Required when NoPartyIds (453) is greater than 0.

Type or role of PartyID (tag 448)

Possible values:
  • 1: Executing firm (formerly FIX 4.2 ExecBroker)
  • 2: Broker of credit
  • 3: Client id (formerly FIX 4.2 ClientID)
  • 4: Clearing firm (formerly FIX 4.2 ClearingFirm)
  • 5: Investor id
  • 6: Introducing firm
  • 7: Entering firm
  • 8: Locate
  • 9: Fund manager client id
  • 10: Settlement location
  • 11: Order origination trader
  • 12: Executing trader (associated with Executing Firm – actually executes)
  • 13: Order origination firm
  • 14: Giveup clearing firm
  • 15: Correspondant clearing firm
  • 16: Executing system
  • 17: Contra firm
  • 18: Contra clearing firm
  • 19: Sponsoring firm
  • 20: Underlying contra firm
  • 21: Clearing organization
  • 22: Exchange
  • 24: Customer account
  • 25: Correspondent clearing organization
  • 26: Correspondent broker
  • 27: Buyer seller
  • 28: Custodian
  • 29: Intermediary
  • 30: Agent
  • 31: Sub custodian
  • 32: Beneficiary
  • 33: Interested party
  • 34: Regulatory body
  • 35: Liquidity provider
  • 36: Entering trader
  • 37: Contra trader
  • 38: Position account
  • 39: Contra investor id
  • 40: Transfer to firm
  • 41: Contra position account
  • 42: Contra exchange
  • 43: Internal carry account
  • 44: Order entry operator id
  • 45: Secondary account number
  • 46: Foreign firm
  • 47: Third party allocation firm
  • 48: Claiming account
  • 49: Asset manager
  • 50: Pledgor account
  • 51: Pledgee account
  • 52: Large trader reportable account
  • 53: Trader mnemonic
  • 54: Sender location
  • 55: Session id
  • 56: Acceptable counterparty
  • 57: Unacceptable counterparty
  • 58: Entering unit
  • 59: Executing unit
  • 60: Introducing broker
  • 61: Quote originator
  • 62: Report originator
  • 63: Systematic internaliser
  • 64: Multilateral trading facility
  • 65: Regulated market
  • 66: Market maker
  • 67: Investment firm
  • 68: Host competent authority
  • 69: Home competent authority
  • 70: Competent authority of the most relevant market in terms of liquidity
  • 71: Competent authority of the transaction
  • 72: Reporting intermediary
  • 73: Execution venue
  • 74: Market data entry originator
  • 75: Location id
  • 76: Desk id
  • 77: Market data market
  • 78: Allocation entity
  • 79: Prime broker providing general trade services
  • 80: Step out firm
  • 81: Brokerclearingid
  • 82: Central registration depository
  • 83: Clearing account
  • 84: Acceptable settling counterparty
  • 85: Unacceptable settling counterparty
  • 118: Party role decision maker
  • 119: Party role client ID house
  • 122: Investment decision maker (IDM)
  • 200: Account code
  • 201: Takeup firm
  • 202: Clearing instruction
  • 203: Customer info
  • 204: Allocation entity ID
  • 205: Account type
  • 206: Giveup firm
  • 207: MIFID ID
  • 208: Composite MIFID ID (ICE only)
  • 209: CTI code
  • 210: LMA clearing account
  • 211: Authorized trader ID (ICE only)
  • 212: Frequent trader ID (CFE only)
  • 213: User (TFEX only)
  • 214: Member (TFEX only)
  • 215: Trading member (TFEX only)
  • 216: Clearing member (TFEX only)
  • 217: Acting user (TFEX only)
  • 218: Trader ID
  • 219: Owner type (TFEX only)
  • 220: Routing Member ID (ICE only)
  • 221: Give-up qualifier (This party role allows FIX orders to override the CME Give-up code configured in TTUS on FIX order messages. Set tag 448 value to “SX” when mutually offsetting to SGX. Set 448 to “GU” for all other Give-ups on CME.)
  • 222: Algo strategy type (For TOCOM only to override the Algo Strategy Type setting configured for FIX messages in Setup.
  • 223: Secondary Client ID
  • 224: Secondary executing trader
  • 300: Investment Decision in Firm
  • 301: Execution Decision in Firm
  • 302: Investment Decision Country
  • 303: Execution Decision Country
  • 304: Party Role Country Code
2376PartyRoleQualifierINTN

Qualifies the PartyRole (tag 452) supplied for this PartyID (tag 448).

Default values are set for this tag when PartyRole (tag 452) is one of the following:

  • When 452=3 (Client ID), the default is 2376=23 (Firm).
  • When 452=12 (Execution Decision Maker), the default is 2376=24 (Natural Person).
  • When 452=122 (Investment Decision Maker), the default is 2376=24 (Natural Person).

Condition: Required when NoPartyIds (453) is greater than 0.

Possible values:
  • 22: Algorithm
  • 23: Firm or legal entity
  • 24: Natural person
447PartyIDSourceCHARC

Required when NoPartyIds (453) is greater than 0.

Identifies class or source of the PartyID (448) value.

Possible values:
  • 1: Korean investor ID
  • 2: Taiwanese qualified investor ID (QFII FID)
  • 3: Taiwanese trading account
  • 4: Malaysian central depository
  • 5: Chinese investor ID
  • 6: UK national insurance or pension number
  • 7: US social security number
  • 8: US employer or tax ID number
  • 9: Australian business number
  • A: Australian tax file number
  • B: BIC
  • C: Generally-accepted market participant identifier
  • D: Proprietary
  • E: ISO country code
  • F: Settlement entity location
  • G: MIC
  • H: CSD participant member code
  • I: Directed broker three-character acronym as defined in the ISITC ETC Best Practice Guidelines document
  • P: Short code
16117OrderSourceINTN

TT component that most recently acted on an active order.

Note: This tag is valid only in messages sent from TT FIX Drop Copy sessions when the Compliance Feed (Send original order/cancel/change messages and pending execution reports) setting is enabled in Setup.

Possible values:
  • 0: ASE
  • 2: TTW
  • 3: Invalid
  • 4: TT Trader
  • 6: Mobile
  • 7: ROE
  • 9: External
  • 10: TT FIX
  • 11: Aggregator
  • 12: Bouncer
  • 13: Lambda Liquidator
  • 14: External FIX Adapter
  • 15: Prime ASE
  • 16: Nimbus
  • 17: ADL
  • 18: TTSDK
  • 19: TT Algo
  • 20: ADL Prime
  • 21: TTSDK Prime
  • 22: TT Algo Prime
  • 23: Chart
  • 24: TTD
  • 25: TTD Chart
  • 26: TTINT
  • 27: TT Admin
  • 28: TT .NET API client
  • 29: TT .NET API server
  • 30: C++ API
  • 31: TT Options Risk
  • 32: External upload
  • 33: Stager
  • 34: TT Score
  • 35: FIX Adapter Child Router
  • 36: POT Child Router
  • 37: Terminator
16601EchoDC_01STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16602EchoDC_02STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16603EchoDC_03STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16604EchoDC_04STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16605EchoDC_05STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16606EchoDC_06STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16607EchoDC_07STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16608EchoDC_08STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16609EchoDC_09STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16610EchoDC_10STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16631EchoDC_11STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16632EchoDC_12STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16633EchoDC_13STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16634EchoDC_14STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16635EchoDC_15STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16636EchoDC_16STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16637EchoDC_17STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16638EchoDC_18STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16639EchoDC_19STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16640EchoDC_20STRINGN

Customer-defined text field visible only to FIX client applications. The value is not sent to the exchange.

16852ParentVendorOrderIDSTRINGN

For internal TT use only

16853ParentVendorUserIDSTRINGN

For internal TT use only

16854ParentVendorAccountIDSTRINGN

For internal TT use only

16855ParentVendorBrokerIDSTRINGN

For internal TT use only

16856ParentVendorProfileIDSTRINGN

For internal TT use only

18001MockOrderFlagINTN

This optional tag is available in all order and execution report messages. In addition, these tags will not appear in any current messages in production and are reserved for future use.

Possible values:
  • 0: Not a mock order
  • 1: A mock order
18221CompanyIDSTRINGN

TT-defined name of the firm that sends messages to the exchange.

18223ContractYearMonthSTRINGN

Contract term in the form, YYYYMM

Condition: Sent when Tag 167 (SecurityType) is not MLEG

54SideCHARC

Side of the order

Possible values:
  • 1: Buy
  • 2: Sell
  • 3: Buy minus
  • 4: Sell plus
  • 5: Sell short
  • 6: Sell short exempt
  • 7: Undisclosed
  • 8: Cross
  • 9: Cross short
  • B: As Defined (FIX 4.4 only)
  • C: Opposite (FIX 4.4 only)
18227OrganizationSTRINGN

User-defined name of the trader’s organization.

C

Compliance message tags sent from TT FIX Drop Copy sessions when the Compliance Feed (Send original order/cancel/change messages and pending execution reports) setting is enabled in Setup and when Tag 16566 (DropCopyOrder) = Y

48SecurityIDSTRINGN

TT security ID that uniquely identifies the instrument in the TT platform.

22IDSourceSTRINGN

Source for the value of tag 48 (SecurityID).

Possible values:
  • 4: ISIN number
  • 5: RIC code
  • 8: Exchange symbol
  • 91: Ticker symbol
  • 96: TT security ID
  • 97: Alias
  • 98: Name
  • A: Bloomberg Code
  • H: Clearing House (Inbound Drop Copy only)
  • S: OpenFIGI ID
  • X: Series key
207SecurityExchangeEXCHANGEN

Name of the market where the instrument trades.

TT FIX uses this value to identify the exchange that offers the
security.

Possible values:
  • AGGREGATOR
  • ALGO
  • ASE
  • ASX
  • B3
  • BitMEX
  • BrokerTec
  • Cboe
  • CboeFX_SW_NY
  • CBOT
  • CFE
  • CME
  • Coinbase
  • CoinFLEX
  • CurveGlobal
  • CZCE
  • DCE
  • DGCX
  • EEX
  • Eurex
  • Euronext
  • Fenics
  • FEX
  • HKEX
  • ICE
  • ICE_L
  • IDEM
  • INE
  • KCG
  • KRK
  • LME
  • LSE
  • MEFF
  • MEXDER
  • MX
  • NDAQ_EU
  • NFI
  • NFX
  • OSE
  • SGX
  • TFEX
  • TFX
  • TOCOM
100ExDestinationEXCHANGEN

Market Identifier Code (MIC) of the sub-market where the instrument trades.

Execution destination for the order as defined by the institution

Some traders use this tag in place of Tag 207 (SecurityExchange) to
identify the exchange.

ISO 10383 defines a comprehensive list of MIC codes.

461CFICodeSTRINGN

Type of security using ISO 10962 standard,
Classification of Financial Instruments (CFI code) values.
ISO 10962 is maintained by ANNA (Association of National Numbering
Agencies) acting as Registration Authority.

Note: For SPOT and CUR products, you must also
specify the corresponding tag 167 (SecurityType) value.

200MaturityMonthYearMONTHYEARC

Sent when Tag 167 (SecurityType) is not MLEG

Month and year the instrument reaches maturity in the format YYYYMM.

541MaturityDateLOCALMKTDATEC

Sent when Tag 167 (SecurityType) is not MLEG

Maturity date in format YYYYMMDD.

205MaturityDayDAYOFMONTHC

Sent when multiple contracts exist for the same month

Day of expiration for the instrument.

18211DeliveryTermCHARC

Sent when the delivery term is not monthly

Term of delivery for the instrument.

Possible values:
  • A: Same day
  • B: Balance of month
  • C: End of Month
  • D: Day
  • E: Weekly
  • H: Hour
  • L: Balance of week
  • M: Month
  • N: Next day
  • P: Pack
  • Q: Quarterly
  • S: Seasonal
  • T: Weekend
  • U: Bundle
  • V: Variable
  • W: Week
  • X: Custom
  • Y: Year
  • Note: The following values are only available for EPEX and Nord Pool:
  • a: Quarter hour
  • b: Half hour
  • c: One hour
  • d: Two hour
  • e: Four hour
  • f: Eight hour
  • g: One plus two
  • h: Three plus four
  • i: Baseload
  • j: Peakload
  • k: Overnight
  • l: Extended peak
743DeliveryDateLOCALMKTDATEC

Sent when available

Date for contract delivery

201PutOrCallINTC

Sent when Tag 167 (SecurityType) is OPT

Whether the option represents a put or call

Possible values:
  • 0: Put
  • 1: Call
202StrikePricePRICEC

Sent when Tag 167 (SecurityType) is OPT

Strike price for an option

15CurrencyCURRENCYC

Sent unless an Order Status Request (H) message returns no orders in an Execution Report (8) message.

ISO-standard symbol for the instrument’s trading currency.

1031CustOrderHandlingInstCHARC

If required by the exchange, this tag is also required. For more information, consult the exchange documentation.

Simplified Execution Source Code as defined by FIA. Identifies the execution method used for Exchange Traded Derivative trades at point of origin, allowing executing and clearing brokers to easily reference the appropriate brokerage rate for the execution method.

Note: This tag is also included in messages sent from TT FIX Drop Copy sessions when the Compliance Feed (Send original order/cancel/change messages and pending execution reports) setting is enabled in Setup.

Possible values:
  • C: Vendor-provided Platform billed by Executing Broker
  • G: Sponsored Access via Exchange API or FIX provided by Executing Broker
  • H: Premium Algorithmic Trading Provider billed by Executing Broker
  • D: Other, including Other-provided Screen
  • W: Desk
  • Y: Electronic (default)
N

Instrument associated with this message. For additional information about this component group, consult the full documentation.

454NoSecurityAltIDNUMINGROUPC

Sent when there are one or more alternate security IDs

Number of alternate security IDs in this repeating group

455SecurityAltIDSTRINGY

Alternate ID for an instrument or security, typically for display
purposes.

456SecurityAltIDSourceSTRINGC

Sent when tag 455 (SecurityAltId) is sent

Identifies class or source of the SecurityAltID (455) value.

Possible values:
  • 1: CUSIP number (sent only when provided by the exchange)
  • 4: ISIN number
  • 5: RIC code
  • 8: Exchange security ID
  • 91: Ticker Symbol
  • 92: TT product family ID (sent only for Security Definition (d) messages)
  • 93: TT product ID (sent only for Security Definition (d) messages)
  • 94: Alt Symbol (For ICE, the value is the “Cleared Alias” for the contract.)
  • 95: Clearport
  • 97: Alias
  • 98: Name
  • 99: Other (Set to instrument symbol if both product symbol and an instrument symbol are present in PDS and they are not the same.)
  • 100: Energy Identifier Code (EIC). Currently only used for the EPEX and Nord Pool exchanges.
  • A: Bloomberg Code
  • H: Clearing House (Inbound Drop Copy only)
  • S: OpenFIGI ID
16207BloombergSecurityExchangeSTRINGC

New tag for TT

Name of the market where the instrument of the SecurityAltID (455) value trades.

C

Required when the value of tag 167 (SecurityType) is MLEG for New Order Single (D) and Order Cancel/Replace Request (G) messages.

Repeating group of legs in a multileg instrument

The leg instrument group component block uses the same structure as the instrument component block sent from TT FIX to FIX clients, except that all of its tags represent the legs of an exchange-traded strategy. For example, instead of Tag 55 (Symbol) this block contains Tag 600 (LegSymbol).

Note: This tag can be included in messages sent from TT FIX Drop Copy sessions when the Compliance Feed (Send original order/cancel/change messages and pending execution reports) setting is enabled in Setup.

555NoLegsSTRINGY

Number of legs in the repeating group

Can be zero (e.g. standardized multileg instrument such as an Option
strategy). The value must be provided even if zero.

616LegSecurityExchangeEXCHANGEC

Required when both of the following are true.

  • The leg instrument trades on a different exchange that the parent instrument.
  • Both Tag 18100 (LegExtDestination) and Tag 602 (LegSecurityId) are absent.

Multi-leg instrument’s individual security’s SecurityExchange.

Possible values:
  • AGGREGATOR
  • ALGO
  • ASE
  • ASX
  • B3
  • BitMEX
  • BrokerTec
  • CBOE
  • CboeFX_SW_NY
  • CBOT
  • CFE
  • CME
  • Coinbase
  • CoinFLEX
  • CurveGlobal
  • CZCE
  • DCE
  • DGCX
  • EEX
  • Eurex
  • Euronext
  • Fenics
  • FEX
  • HKEX
  • ICE
  • ICE_L
  • IDEM
  • INE
  • KCG
  • KRK
  • LME
  • LSE
  • MEFF
  • MEXDER
  • MX
  • NDAQ_EU
  • NFI
  • NFX
  • OSE
  • SGX
  • TFEX
  • TFX
  • TOCOM
18100LegExDestinationEXCHANGEC

Required when both of the following are true.

  • The leg instrument trades on a different exchange that the parent instrument.
  • Both Tag 616 (LegSecurityExchange) and Tag 602 (LegSecurityId) are absent.

Execution destination for the leg order as defined by the institution

Some traders use this tag in place of Tag 207 (SecurityExchange) to
identify the exchange.

ISO 10383 defines a comprehensive list of MIC codes.

602LegSecurityIDSTRINGC

Required when both of the following are true.

  • The leg instrument trades on a different exchange that the parent instrument.
  • Both Tag 18100 (LegExtDestination) and Tag 616 (LegSecurityExchange) are absent.

TT security ID that uniquely identifies the instrument in the TT platform.

Note: The combination of this tag and tag 603
(LegSecurityIDSource) must uniquely identify an instrument in the TT platform.

603LegIDSourceSTRINGC

Required when Tag 18100 (LegExtDestination) and Tag 616 (LegSecurityExchange) are absent.

Multileg instrument’s individual security’s SecurityIDSource.

Note: The combination of this tag and tag 602
(LegSecurityId) must uniquely identify an instrument in the TT
platform.

600LegSymbolSTRINGN

Multi-leg instrument’s individual security’s Symbol.

Condition: Required when Tag 167 (SecurityType)=MLEG.

See Symbol (55) field for description.

Note: Users can map the value of Tag 600 to a different symbology using the Symbol Mapping feature in User Setup. Refer to the Fix Rules and Symbol Mappings section in the User Setup Help for more information.

608LegCFICodeSTRINGN

Multileg instrument’s individual security’s CFICode (tag 461).

See CFICode (461) field for description

620LegSecurityDescSTRINGN

Leg security description.

607LegProductINTN

Multileg instrument’s individual security’s product.

Possible values:
  • 1: Agency
  • 2: Commodity
  • 3: Corporate
  • 4: Currency
  • 5: Equity
  • 6: Government
  • 7: Index
  • 8: Loan
  • 9: Money market
  • 10: Mortgage
  • 11: Municipal
  • 12: Other
  • 13: Financing
  • 14: Energy
609LegSecurityTypeSTRINGN

Multi-leg instrument’s individual security’s SecurityType.

Possible values:
  • FUT: Future
  • MLEG: Multi-leg
  • OPT: Option
  • SPOT: EEX spot products
  • TBOND: Treasury bond
  • CS: Common stock
  • NONE: No security type (Not valid for 35=c, e or V)
764LegSecuritySubTypeSTRINGN

SecuritySubType of the leg instrument.

See SecuritySubType (762) field for description

610LegMaturityMonthYearMONTHYEARN

Multi-leg instrument’s individual security’s MaturityMonthYear

611LegMaturityDateLOCALMKTDATEN

Multi-leg instrument’s individual security’s MaturityDate.

18314LegMaturityDayDAYOFMONTHN

Multi-leg instrument’s individual security’s MaturityDay.

612LegStrikePricePRICEN

Multi-leg instrument’s individual security’s StrikePrice.

1358LegPutOrCallINTC

Required when Tag 609 (LegSecurityType) is OPT

Whether the option represents a put or call

Possible values:
  • 0: Put
  • 1: Call
624LegSideCHARN

The side of this individual leg (multi-leg security).

Possible values:
  • 1: Buy
  • 2: Sell
  • 3: Buy minus
  • 4: Sell plus
  • 5: Sell short
  • 6: Sell short exempt
  • 7: Undisclosed
  • 8: Cross
  • 9: Cross short
623LegRatioQtyFLOATN

Ratio of quantity for this individual leg relative to the entire
multi-leg security

The value represents one of the following:

  • For a leg of a covered strategy (such as a volatility trade) on CME
    or NYSE_Liffe markets, the value represents the delta (expressed as
    an integer between 1 and 100).
  • In all other cases, the value represents the quantity of this leg in
    the strategy.
1420LegExerciseStyleINTN

Type of exercise for a derivatives security.

Possible values:
  • 0: European style: may be exercised only on the expiration date.
  • 1: American style: may be exercised on any business day until the expiration date.
  • 2: Bermuda style: Not available.
556LegCurrencyCURRENCYN

Currency associated with a particular leg’s price

561RoundLotQTYN

The trading lot size of a security.

566LegPricePRICEN

Price of the leg for a multi-leg instrument

687LegQtyQTYN

Quantity of this leg.

654LegRefIDSTRINGN

Unique indicator for a specific leg.

Note: Sent only for FIX 4.4 sessions when the tag is
included the corresponding
New Order
Multileg (AB)

request. FIX 4.4 Drop Copy sessions will not send this tag for orders
placed from the TT Trade application.

637LegLastPxPRICEN

Execution price assigned to a leg of a multileg instrument.

18224LegContractYearMonthSTRINGN

Contract term of the underlying instrument in the form, YYYYMMM

18212LegDeliveryTermCHARC

Required when both of the following are true:

  • The Security Definition indicates it is required.
  • The delivery term is not monthly.

Term of delivery for the underlying instrument.

TT FIX uses this value to identify contracts that do not have a
monthly delivery term.

18213LegDeliveryDateLOCALMKTDATEC

Sent when available

Date for contract delivery

1366LegAllocIDSTRINGC

Sent when provided by the exchange.

Identifier assigned to a leg of a multi-leg trade for ASX clearing
purposes (clearing deal number).

16568LegAvgPxPRICEC

The average (mean) price for the legs of a spread.

This value will be populated on Summary Spread Fill Execution Reports.

16615LegTTRoutingAccountSTRINGN

TT Routing Account for the leg. Valid for routing synthetic spread orders only.

N

Repeating group of security alt IDs for legs in a multileg instrument. For
additional information about this group, consult the full
documentation.

604NoLegSecurityAltIDNUMINGROUPC

Sent when there are one or more alternate leg security IDs

Number of alternate leg security IDs contained in this repeating group

605LegSecurityAltIDSTRINGY

Alternate ID for an instrument or security, typically for display purposes.

606LegSecurityAltIDSourceSTRINGY

New tag for TT

Class or source of the LegSecurityAltID (605) value.

Possible values:
  • 1: CUSIP number (sent only when provided by the exchange)
  • 4: ISIN number
  • 5: RIC code
  • 8: Exchange security ID
  • 94: Alt Symbol (For ICE, the value is the “Cleared Alias” for the contract.)
  • 95: Clearport
  • 97: Alias
  • 98: Name
  • 99: Other
  • 91: Exchange Ticker
  • A: Bloomberg Code
  • H: Clearing House
  • S: OpenFIGI ID
16616LegBloombergSecurityExchangeSTRINGN

Name of the market where the instrument of the LegSecurityAltID (605) value trades.

C

Only used in Execution Report (8) messages when the FIX client is connected to a TT FIX 4.4 session.

Repeating group of fills for this leg instrument.

16120LegNoFillsNUMINGROUPC

Sent for each leg when a multileg order is filled through multiple price levels in a single match transaction, i.e. “sweeping the market”. Can be sent when LegNoFills = 1 for some markets, such as Eurex/EEX.

Number of partial leg fills included in an Execution Report

Note: Only sent if the FIX client is connected to a TT FIX 4.4 session.

16121LegFillExecIDSTRINGC

Sent when tag 16120 > 0

Unique identifier of leg execution as assigned by sell-side (broker, exchange, ECN). The ID must not overlap tag 17 (ExecID).

16122LegFillPxPRICEC

Sent when tag 16120 > 0

Price of this leg fill

16123LegFillQtyQTYC

Sent when tag 16120 > 0

Quantity of this leg fill

16124LegFillTradingVenueRegulatoryTradeIDSTRINGC

Sent if available when tag 16120 > 0

Trading Venue transaction identification code of this leg fill

16125LegFillLastLiquidityIndicatorINTN

Whether this leg fill was a result of a liquidity provider providing or a liquidity taker taking the liquidity in this LegFillsGrp repeating group.

Possible values:
  • 1: Added liquidity
  • 2: Removed liquidity
864NoEventsNUMINGROUPN

Number of entries in the event types repeating group

865EventTypeINTN

Type of event

Possible values:
  • 5: Expiry date
  • 6: Last trading date
  • : The following values are only available for EPEX and Nord Pool:
  • 13: First delivery date
  • 14: Last delivery date
  • 101: First trading date
  • 102: SDAT first trading date
866EventDateLOCALMKTDATEN

Date the event occurred

1145EventTimeUTCTIMESTAMPN

Note: This tag is only available for EPEX and Nord Pool.

Specific time of event. Use in combination with EventDate <866>.

Y

For additional information about this component group, consult the full documentation.

10CheckSumSTRINGY

Unencrypted three-character checksum

This tag must always be the last field in a message (i.e. it serves, with the trailing <SOH>, as the end-of-message delimiter).

Message Notes

The Order Cancel Request (F) message is used by FIX clients to cancel an existing order in the market.