| FRAMES | NO FRAMES |
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The order status request (H) message is used by the institution to generate an Execution Report (8) message back from the broker.
| Tag | Field Name | FIXML | Req'd | Comments | |||
|---|---|---|---|---|---|---|---|
| <Standard Message Header> | Y | MsgType = H | |||||
| 37 | OrderID | OrderID | N | ||||
| 11 | ClOrdID | ClOrdID | Y | ||||
| 109 | ClientID | ClientID | N | Used for firm identification in third-party transactions. | |||
| 76 | ExecBroker | ExecBroker | N | Used for firm identification in third-party transactions. | |||
| 55 | Symbol | Symbol | Y | ||||
| 65 | SymbolSfx | SymbolSfx | N | ||||
| 48 | SecurityID | SecurityID | N | ||||
| 22 | IDSource | IDSource | N | ||||
| 167 | SecurityType | SecurityType | N | Must be specified if a Future or Option. If a Future: Symbol (55) , SecurityType (167) , and MaturityMonthYear (200) are required. If an Option: Symbol (55) , SecurityType (167) , MaturityMonthYear (200) , PutOrCall (201) , and StrikePrice (202) are required. | |||
| 200 | MaturityMonthYear | MonthYear | C | For Options or Futures to specify the month and year of maturity. | |||
| 205 | MaturityDay | Day | N | For Options or Futures and can be used in conjunction with MaturityMonthYear (200) to specify a particular maturity date. | |||
| 201 | PutOrCall | PutCall | C | For Options. | |||
| 202 | StrikePrice | StrikePx | C | For Options. | |||
| 206 | OptAttribute | OptAttribute | N | For Options. | |||
| 207 | SecurityExchange | SecurityExch | N | Can be used to identify the security. | |||
| 106 | Issuer | Issuer | N | ||||
| 107 | SecurityDesc | SecurityDesc | N | ||||
| 54 | Side | Side | Y | ||||
| <Standard Message Trailer> | Y | ||||||
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| FRAMES | NO FRAMES |