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FIX MESSAGE 35=J

AllocationInstruction

MsgType (35) = JAllocationAdded FIX.2.7

Definition

The AllocationInstruction(35=J) message provides the ability to specify how an order or set of orders should be subdivided amongst one or more accounts.

Additional detail from the official source

In versions of FIX prior to version 4.4, this same message was known as the Allocation(35=J) message. Note in versions of the FIX Protocol prior to version 4.4, the Allocation(35=J) message was also used to communicate fee and expense details from the sell-side to the buy-side. This role has since been removed from the AllocationInstruction(35=J) message and is performed by the new (to version 4.4) AllocationReport(35=AS) and Confirmation(35=AK) messages. The AllocationReport(35=AS) message should be used for the sell-side initiated allocation role as defined in previous versions of the FIX Protocol.

Message structure 4245 distinct fields

Source order, including nested components and groups. Group counts precede the repeated entries. “Required here” is relative to the enclosing component or group, not unconditional in the message. A dash means not marked required; conditional requirements remain in the source notes. This is a reference, not a counterparty-specific validator.

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  1. StandardHeaderComponentRequired

    MsgType = J

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  2. 70 AllocIDStringRequired

    Unique identifier for this allocation instruction message

  3. May be used to link to a previously submitted AllocationInstructionAlertRequest(35=DU) message.

  4. 71 AllocTransTypecharRequired
  5. 626 AllocTypeintRequired

    Specifies the purpose or type of Allocation message

  6. Optional second identifier for this allocation instruction (need not be unique)

  7. 72 RefAllocIDString

    Required for AllocTransType = Replace or Cancel

  8. Required for AllocTransType = Replace or Cancel

    Gives the reason for replacing or cancelling the allocation instruction

  9. Required if AllocType = 8 (Request to Intermediary)

    Indicates status that is requested to be transmitted to counterparty by the intermediary (i.e. clearing house)

  10. Can be used to link two different Allocation messages (each with unique AllocID) together, i.e. for F/X "Netting" or "Swaps"

  11. Can be used to link two different Allocation messages and identifies the type of link. Required if AllocLinkID is specified.

  12. Group identifier assigned by the clearinghouse

  13. Group identifier assigned by the firm.

  14. Can be used with AllocType=" Ready-To-Book "

  15. Indicates how the orders being booked and allocated by an AllocationInstruction or AllocationReport message are identified, e.g. by explicit definition in the OrdAllocGrp or ExecAllocGrp components, or not identified explicitly.

  16. OrdAllocGrpRepeating groupCount tag 73

    Indicates number of orders to be combined for allocation. If order(s) were manually delivered set to 1 (one).Required when AllocNoOrdersType = 1

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  17. ExecAllocGrpRepeating groupCount tag 124

    Indicates number of individual execution or trade entries. Absence indicates that no individual execution or trade entries are included. Primarily used to support step-outs.

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  18. 574 MatchTypeString
  19. 54 SidecharRequired
  20. InstrumentComponentRequired

    For NDFs fixing date and time can be optionally specified using MaturityDate and MaturityTime.

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  21. InstrumentExtensionComponent

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  22. FinancingDetailsComponent

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  23. UndInstrmtGrpRepeating groupCount tag 711

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  24. InstrmtLegGrpRepeating groupCount tag 555

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  25. 53 QuantityQtyRequired

    Total quantity (e.g. number of shares) allocated to all accounts, or that is Ready-To-Book

  26. May be used as an alternative to attribute based subgrouping.

  27. 30 LastMktExchange

    Market of the executions.

  28. PriceQualifierGrpRepeating groupCount tag 2709

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  29. 6 AvgPxPrice

    For FX orders, should be the "all-in" rate (spot rate adjusted for forward points), expressed in terms of Currency(15).

    For 3rd party allocations used to convey either basic price or averaged price

    Optional for average price allocations in the listed derivatives markets where the central counterparty calculates and manages average price across an allocation group.

  30. 860 AvgParPxPrice
  31. SpreadOrBenchmarkCurveDataComponent

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  32. 15 CurrencyCurrency

    Currency of AvgPx. Should be the currency of the local market or exchange where the trade was conducted.

  33. Absence of this field indicates that default precision arranged by the broker/institution is to be used

  34. PartiesRepeating groupCount tag 453

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  35. 75 TradeDateLocalMktDateRequired
  36. 60 TransactTimeUTCTimestamp

    Date/time when allocation is generated

  37. 63 SettlTypeString
  38. 64 SettlDateLocalMktDate

    Takes precedence over SettlType value and conditionally required/omitted for specific SettlType values.

    Required for NDFs to specify the "value date".

  39. Method for booking. Used to provide notification that this is to be booked out as an OTC derivative (e.g. CFD or similar). Absence of this field implies regular booking.

  40. Expressed in same currency as AvgPx(6). (Quantity(53) * AvgPx(6) or AvgParPx(860)) or sum of (AllocQty(80) * AllocAvgPx(153) or AllocPrice(366)). For Fixed Income, AvgParPx(860) is used when AvgPx(6) is not expressed as "percent of par" price.

  41. Expressed in same currency as AvgPx. Sum of AllocNetMoney.

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

  42. Indicates if Allocation has been automatically accepted on behalf of the Take-up Firm by the Clearing House

  43. 58 TextString
  44. Must be set if EncodedText field is specified and must immediately precede it.

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

  46. Applicable for Convertible Bonds and fixed income

  47. Applicable for Convertible Bonds and fixed income

  48. Applicable for Convertible Bonds and fixed income

  49. 540 TotalAccruedInterestAmtDeprecated FIX.4.4Amt
  50. For repurchase agreements the accrued interest on termination.

  51. For repurchase agreements the start (dirty) cash consideration

  52. For repurchase agreements the end (dirty) cash consideration

  53. StipulationsRepeating groupCount tag 232

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  54. YieldDataComponent

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  55. RegulatoryTradeIDGrpRepeating groupCount tag 1907

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  56. TrdRegTimestampsRepeating groupCount tag 768

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  57. PositionAmountDataRepeating groupCount tag 753

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  58. Indicates total number of allocation groups (used to support fragmentation). Must equal the sum of all NoAllocs values across all message fragments making up this allocation instruction.

    Only required where message has been fragmented.

  59. Indicates whether this is the last fragment in a sequence of message fragments. Only required where message has been fragmented.

  60. AllocGrpRepeating groupCount tag 78

    Conditionally required except when AllocTransType(71) = 2 (Cancel), or when AllocType(626) = 5 (Ready-To-Book single order) or 7 (Warehouse instruction).

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  61. Indicates if an allocation is to be average priced. Is also used to indicate if average price allocation group is complete or incomplete.

  62. Firm designated group identifier for average pricing

  63. Indicates Clearing Business Date for which transaction will be settled.

  64. Indicates trade type of allocation. May be used as an alternative to AllocGroupSubQtyID(2974) for subgrouping.

  65. Indicates trade subtype of allocation.

  66. May be used as an alternative to AllocGroupSubQtyID(2974) for subgrouping.

  67. 1031 CustOrderHandlingInstMultipleStringValue

    May be used as an alternative to AllocGroupSubQtyID(2974) for subgrouping.

  68. Must be set if EncodedTradeContinuationText(2371) field is specified and must immediately precede it.

  69. Encoded (non-ASCII characters) representation of the TradeContinuationText(2374) field in the encoded format specified via the MessageEncoding(347) field.

  70. Indicates CTI of original trade marked for allocation.

  71. Indicates input source of original trade marked for allocation.

  72. Indicates MultiLegReportType of original trade marked for allocation.

  73. Used to identify the event or source which gave rise to a message.

  74. 991 RndPxPrice

    Specifies the rounded price to quoted precision.

  75. RateSourceRepeating groupCount tag 1445

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  76. Used to identify on what kind of venue the trade originated when communicating with a party that may not have access to all trade details, e.g. a clearing organization.

  77. Conditionally required when RefRiskLimitCheckIDType(2335) is specified.

  78. Conditionally required when RefRiskLimitCheckID(2334) is specified.

  79. StandardTrailerComponentRequired

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