CME ClearPort API - Allocation Instruction Ack Message - Outbound

/AllocInstrctnAck

Field Name

FIXML Attribute Name

Data Type

Description

Present / Conditional / Optional

Supported Values

Message ID

ID

String

Unique identifier for this Allocation Instruction Ack message.

P



Reference Message ID

RefAllocID

String

ID of the Allocation Instruction message being referenced.

P



Transaction Time

TxnTm

UTCTimestamp

Date/time when Allocation Instruction Ack is generated

P



Status

Stat

int

Denotes the status of the Allocation Instruction.

P

1 - block level reject

2 - account level reject

5 - rejected by intermediary


Transaction Type

TransTyp

char

Used to express New, Cancel, or Replace for the Allocation Instruction message being referenced. Only New and Cancel are supported.

P

0 - New

2 - Cancel


Allocation Type

Typ

int

Specifies the purpose or type of the Allocation Instruction message being referenced.

P

17 - Give-up


Input Source

InptSrc

String

Indicates input source of original trade marked for allocation.

O



Additional Text

Txt

String

Can include explanation for rejection of an Allocation Instruction.

P



Venue Type

VenuTyp

char

Identifies the type of venue for the allocation.

P

O - Off facility swap

R - Registered Market (SEF)


StandardHeader

Hdr



→ Sender ID

SID

String

This attribute identifies the party or the Submitter of the message. This is set to CME.

P



→ Target ID

TID

String

This attribute identifies the receiver of the message. This must be set to CME.

P



→ Sender Qualifier

SSub

String

This attribute qualifies the Sender. The user ID assigned to the sender must be provided.

P



→ Target Qualifier

TSub

String

This qualifies the receiver of the message. For CME ClearPort Trade submission this must be set to CPAPI.

P



Instrument

Instrmt



→ Security Type

SecTyp

String

Indicates type of instrument or security being traded or defined.

P

FWD - Forward

IRS - Interest Rate Swap


Parties (repeating)

Pty



→ Party ID

ID

String

Used to identify the Asset Manager holding account. For IRS, only account aliases are supported.

P



→ Party ID Source

Src

char

Used to identify the source of PartyID value.

P

C - Generally accepted market participant identifier

D - Proprietary / Custom code

H - Clearing house participant/member code

N - LEI

P – PLID (Privacy Law Identifier)

Q – NPID (Natural Person Identifier)

→ Party Role

R

int

Indicates the type of Party or the role of the party in the Party block.

P

4 - Clearing Firm

7 - Trading (Entering) Firm

24 - Customer Account


→ PtysSubGrp (repeating)

Sub



→→ Party Qualifier ID

ID

String

A Sub ID provides additional information about the Party.

O



→→ Party Qualifier Type

Typ

int

The Type of Party Sub ID in the Party Sub Tag.

O

1 - Firm

3 - System

26 - Account type or Origin


AllocAckGrp (repeating)

AllocAck






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