Tag |
Field Name |
Req'd |
Comments |
<MessageHeader> |
Y |
MsgType <35> = C
|
164 |
EmailThreadID |
Y |
Unique identifier for the Email <C> message thread
|
94 |
EmailType |
Y |
|
42 |
OrigTime |
N |
|
147 |
Subject |
Y |
Specifies the Subject text
|
356 |
EncodedSubjectLen |
N |
Must be set if EncodedSubject <357> field is specified and must immediately precede it.
|
357 |
EncodedSubject |
N |
Encoded (non-ASCII characters) representation of the Subject <147> field in the encoded format specified via the MessageEncoding <347> field.
|
215 |
NoRoutingIDs |
N |
Required if any RoutingType <216> and RoutingID <217> are specified. Indicates the number within repeating group.
|
=> |
216 |
RoutingType |
N |
Indicates type of RoutingID <217>. Required if NoRoutingIDs <215> is > 0.
|
=> |
217 |
RoutingID |
N |
Identifies routing destination. Required if NoRoutingIDs <215> is > 0.
|
146 |
NoRelatedSym |
N |
Specifies the number of repeating symbols specified
|
=> |
46 |
RelatdSym |
N |
Can be repeated multiple times if message is related to multiple symbols.
|
=> |
65 |
SymbolSfx |
N |
Can be repeated multiple times if message is related to multiple symbols.
|
=> |
48 |
SecurityID |
N |
Can be repeated multiple times if message is related to multiple symbols.
|
=> |
22 |
IDSource |
N |
Can be repeated multiple times if message is related to multiple symbols.
|
=> |
167 |
SecurityType |
N |
Must be specified if a Future or Option. If a Future: RelatdSym <46>, SecurityType <167>, and MaturityMonthYear <200> are required. If an Option: RelatdSym <46>, SecurityType <167>, MaturityMonthYear <200>, PutOrCall <201>, and StrikePrice <202> are required.
|
=> |
200 |
MaturityMonthYear |
N |
Specifies the month and year of maturity. Required if MaturityDay <205> is specified.
|
=> |
205 |
MaturityDay |
N |
Can be used in conjunction with MaturityMonthYear <200> to specify a particular maturity date.
|
=> |
201 |
PutOrCall |
N |
For Options.
|
=> |
202 |
StrikePrice |
N |
For Options.
|
=> |
206 |
OptAttribute |
N |
For Options.
|
=> |
231 |
ContractMultiplier |
N |
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 |
N |
For Fixed Income.
|
=> |
207 |
SecurityExchange |
N |
Can be used to identify the security.
|
=> |
106 |
Issuer |
N |
Can be repeated multiple times if message is related to multiple symbols.
|
=> |
348 |
EncodedIssuerLen |
N |
Must be set if EncodedIssuer <349> field is specified and must immediately precede it.
|
=> |
349 |
EncodedIssuer |
N |
Encoded (non-ASCII characters) representation of the Issuer <106> field in the encoded format specified via the MessageEncoding <347> field.
|
=> |
107 |
SecurityDesc |
N |
Can be repeated multiple times if message is related to multiple symbols.
|
=> |
350 |
EncodedSecurityDescLen |
N |
Must be set if EncodedSecurityDesc <351> field is specified and must immediately precede it.
|
=> |
351 |
EncodedSecurityDesc |
N |
Encoded (non-ASCII characters) representation of the SecurityDesc <107> field in the encoded format specified via the MessageEncoding <347> field.
|
37 |
OrderID |
N |
|
11 |
ClOrdID |
N |
|
33 |
LinesOfText |
Y |
Specifies the number of repeating lines of text specified
|
=> |
58 |
Text |
Y |
Repeating field, number of instances defined in LinesOfText <33>
|
=> |
354 |
EncodedTextLen |
N |
Must be set if EncodedText <355> field is specified and must immediately precede it.
|
=> |
355 |
EncodedText |
N |
Encoded (non-ASCII characters) representation of the Text <58> field in the encoded format specified via the MessageEncoding <347> field.
|
95 |
RawDataLength |
N |
|
96 |
RawData |
N |
|
<MessageTrailer> |
Y |
|