CME STP FIXML - TradeCaptureReport - Instrument - EBS FX
The Instrument Element (XPath: /TrdCaptRpt/Instmt) contains all the fields commonly used to describe a security or instrument that's traded. The Attributes in this Element are considered the static data of a security.
FIXML Attribute Name | Req | Data Type | Description | Supported Values |
|---|---|---|---|---|
Sym | Y | String | Unique symbol for the instrument as defined in the reference data. Example values: |
|
FXCcySym | Y | String | Currency pair in CCY1/CCY2 format. |
|
ID | Y | String | The Clearing Product ID. |
|
Src | N | String | Identifies class or source of the SecurityID value. Currently always set to 'H'. | H - Clearing House / Clearing Organization |
CFI | Y | String | Indicates the 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. |
|
UPI | C | String | Uniquely identifies the product of a security using the ISO 4914 standard |
|
SecTyp | Y | String | Indicates type of security. Note: Additional values may be used by mutual agreement of the counterparties. |
|
MatDt | C | LocalMktDate | NDF Fixing Date (local market date). Value format follows Protocol. FIX: YYYYMMDD, FIXML: YYYY-MM-DD |
|
Ccy | Y | Currency | 3 character ISO code of the dealt currency. Currently only trading in base currency is supported. |
|
UOM | Y | String | Used to provide context to the UOM fields, always set to 'Ccy'. | Ccy |
UOMQty | Y | Qty | Typically used to indicate the quantity of the underlying commodity unit of measure on which the contract is based. For FX this will always be 1. |
|
UOMCcy | C | Currency | Represents the base currency for any FX trade that is not a metal. |
|
PxUOM | Y | String | Used to provide context to the PxUOM fields. | Ccy |
PxUOMCcy | Y | Currency | 3 character ISO code of the base currency. Conditionally required when PriceUnitOfMeasure = Ccy. |
|
SettlMeth | Y | char | Settlement method for a contract. Can be used as an alternative to CFI Code value. | C - Cash settlement required |
Exch | Y | Exchange | Market used to help identify a security. Always set to 'EBS'. | EBS |
Desc | Y | String | Can be used to provide an optional textual description for a financial instrument. |
|
PxQteCcy | Y | Currency | 3 character ISO code of the term currency. |
|
GUID | Y | String | Globally unique identifier. |
|
Prod | Y | int | Indicates the type of product the security is associated with. See also the CFICode (461) and SecurityType (167) fields. |
|
Alternate Instrument Identifiers |
|
|
| |
|
|
|
|
How was your Client Systems Wiki Experience? Submit Feedback
Copyright © 2024 CME Group Inc. All rights reserved.