The Registration Instructions (o) message type may be used by institutions or retail intermediaries wishing to electronically submit registration information to a broker or fund manager (for CIV) for an order or for an allocation.
A Registration Instructions (o) message can be submitted as new, cancel or replace.The RegistTransType (514) field indicates the purpose of the message.When submitting replace or cancel RegistTransType (514) messages the RegistRefID (508) field is required.Replacement Registration Instructions (o) messages must contain all data for the replacement registration.
See VOLUME 7 - "PRODUCT: COLLECTIVE INVESTMENT VEHICLES"
The Registration Instructions (o) message contains repeating fields for each of several joint registrants.The number of registration details instances is indicated in NoRegistDtls.The repeating fields are shown in the message definition below in typeface Bold-Italic and indented with thesymbol.The fields relative position within the repeating group in the message is important.For example, each instance of registration must be in the order as shown in the message definition below.
| Tag | Field Name | FIXML | Req'd | Comments | |||
|---|---|---|---|---|---|---|---|
| <Standard Message Header> | Y | MsgType = o | |||||
| 513 | RegistID | @RegistID | Y | Unique identifier of the order as assigned by institution or intermediary to which Registration relates | |||
| 715 | ClearingBusinessDate | @BizDt | N |
The business date for which the trade is expected to be cleared. |
|||
| 514 | RegistTransType | @TransTyp | Y |
Identifies Registration Instructions transaction type |
|||
| 508 | RegistRefID | @RefID | C |
Required for Cancel and Replace RegistTransType messages |
|||
| 11 | ClOrdID | @ClOrdID | N |
Unique identifier of the order as assigned by institution or intermediary to which Registration relates |
|||
| <Parties> | N | Number of Distribution instructions in this message (number of repeating groups to follow) | |||||
| 1 | Account | @Acct | N |
Account mnemonic as agreed between buy and sell sides, e.g. broker and institution or investor/intermediary and fund manager. |
|||
| 660 | AcctIDSource | @AcctIDSrc | N |
Used to identify the source of the Account (1) code. This is especially useful if the account is a new account that the Respondent may not have setup yet in their system. |
|||
| 493 | RegistAcctType | @AcctTyp | N |
For CIV - a fund manager-defined code identifying which of the fund manager's account types is required. |
|||
| 495 | TaxAdvantageType | @TaxAdvantageTyp | N |
Identifies the type of tax exempt account in which purchases shares/units are to be held. Used for CIV. |
|||
| 517 | OwnershipType | @OwnershipTyp | N |
The relationship between Registration parties. |
|||
| <RgstDtlsGrp> | N |
Number of registration details in this message (number of repeating groups to follow) |
|||||
| <RgstDistInstGrp> | N |
Number of Distribution instructions in this message (number of repeating groups to follow) |
|||||
| <Standard Message Trailer> | Y | ||||||
© 2026.
EPAM Systems. All Rights Reserved.
All material contained within the website is copyright of EPAM Systems, Inc. No material contained herein can be copied or otherwise used without the express permission of the copyright holder.