Used to report changes in position, primarily in equity options, due to modifications to the underlying due to corporate actions
| Tag | Field Name | FIXML | Req'd | Comments | |||
|---|---|---|---|---|---|---|---|
| <Standard Message Header> | Y | MsgType = BL | |||||
| 721 | PosMaintRptID | @RptID | Y | Prior Settlement Price | |||
| 724 | PosReqType | @ReqTyp | N |
Used to specify the type of position request being made. |
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| 715 | ClearingBusinessDate | @BizDt | Y |
The Clearing Business Date referred to by this maintenance request |
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| 716 | SettlSessID | @SetSesID | N |
Identifies a specific settlement session |
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| 714 | PosMaintRptRefID | @RptRefID | N |
Reference to a PosMaintRptID (721) from a previous Position Maintenance Report that is being replaced or canceled. |
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| <Parties> | Y | Insert here here the set of"Position Qty" fields defined in "Common Components of Application Messages". | |||||
| <PositionQty> | Y |
Insert here here the set of "Position Qty" fields defined in "Common Components of Application Messages" |
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| <InstrmtGrp> | N |
The Nth reference obligation to default in a CDS reference basket. If specified without UnderlyingMthToDefault(2018) the default will trigger a CDS payout. If UnderlyingMthToDefault(2018) is also present then payout occurs between the Nth and Mth obligations to default. |
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| 730 | SettlPrice | @SetPx | N |
Settlement Price |
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| 734 | PriorSettlPrice | @PriSetPx | N |
Prior Settlement Price |
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| <Standard Message Trailer> | Y | ||||||
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