The BidRequest Message can be used in one of two ways depending on which market conventions are being followed.
Added in protocol FIX.4.2
See in: FIX.4.3, FIX.4.4, FIX.5.0, FIX.5.0SP1, FIX.5.0SP2, FIX.5.0SP2 EP240.
Field or Component | Name | Description | Is Required | Added | Is Deprecated |
---|---|---|---|---|---|
Block | StandardHeader | MsgType = k (lowercase) | Y | FIX.4.2 | |
390 | BidID | Required to relate the bid response | FIX.4.2 | ||
391 | ClientBidID | Y | FIX.4.2 | ||
374 | BidRequestTransType | Identifies the Bid Request message transaction type | Y | FIX.4.2 | |
392 | ListName | FIX.4.2 | |||
393 | TotalNumSecurities | Y | FIX.4.2 | ||
394 | BidType | e.g. “Non Disclosed”, “Disclosed”, No Bidding Process | Y | FIX.4.2 | |
395 | NumTickets | Total number of tickets/allocations assuming fully executed | FIX.4.2 | ||
15 | Currency | Used to represent the currency of monetary amounts. | FIX.4.2 | ||
396 | SideValue1 | Expressed in Currency | FIX.4.2 | ||
397 | SideValue2 | Expressed in Currency | FIX.4.2 | ||
398 | NoBidDescriptors | Used if BidType=”Non Disclosed” | FIX.4.2 | ||
399 | BidDescriptorType | Required if NoBidDescriptors > 0. Must be first field in repeating group. | FIX.4.2 | ||
400 | BidDescriptor | FIX.4.2 | |||
401 | SideValueInd | Refers to the SideValue1 or SideValue2. These are used as opposed to Buy or Sell so that the basket can be quoted either way as Buy or Sell. | FIX.4.2 | ||
404 | LiquidityValue | Value between LiquidityPctLow and LiquidityPctHigh in Currency | FIX.4.2 | ||
441 | LiquidityNumSecurities | Number of Securites between LiquidityPctLow and LiquidityPctHigh in Currency | FIX.4.2 | ||
402 | LiquidityPctLow | Liquidity indicator or lower limit if LiquidityNumSecurities > 1 | FIX.4.2 | ||
403 | LiquidityPctHigh | Upper liquidity indicator if LiquidityNumSecurities > 1 | FIX.4.2 | ||
405 | EFPTrackingError | Eg Used in EFP (Exchange For Physical) trades 12% | FIX.4.2 | ||
406 | FairValue | Used in EFP trades | FIX.4.2 | ||
407 | OutsideIndexPct | Used in EFP trades | FIX.4.2 | ||
408 | ValueOfFutures | Used in EFP trades | FIX.4.2 | ||
420 | NoBidComponents | Used if BidType=”Disclosed” | FIX.4.2 | ||
66 | ListID | Required if NoBidComponents > 0. Must be first field in repeating group. | FIX.4.2 | ||
54 | Side | When used in request for a “Disclosed” bid indicates that bid is required on assumption that SideValue1 is Buy or Sell. SideValue2 can be derived by inference. | FIX.4.2 | ||
336 | TradingSessionID | Indicates off-exchange type activities for Detail. | FIX.4.2 | ||
430 | NetGrossInd | Indicates Net or Gross for selling Detail. | FIX.4.2 | ||
63 | SettlmntTyp | Indicates order settlement period for Detail. | FIX.4.2 | ||
64 | FutSettDate | FIX.4.2 | |||
1 | Account | FIX.4.2 | |||
409 | LiquidityIndType | FIX.4.2 | |||
410 | WtAverageLiquidity | Overall weighted average liquidity expressed as a % of average daily volume | FIX.4.2 | ||
411 | ExchangeForPhysical | FIX.4.2 | |||
412 | OutMainCntryUIndex | % value of stocks outside main country in Currency | FIX.4.2 | ||
413 | CrossPercent | % of program that crosses in Currency | FIX.4.2 | ||
414 | ProgRptReqs | FIX.4.2 | |||
415 | ProgPeriodInterval | Time in minutes between each ListStatus report sent by SellSide. Zero means don’t send status. | FIX.4.2 | ||
416 | IncTaxInd | Net/Gross | FIX.4.2 | ||
121 | ForexReq | Is foreign exchange required | FIX.4.2 | ||
417 | NumBidders | Indicates the total number of bidders on the list | FIX.4.2 | ||
75 | TradeDate | FIX.4.2 | |||
418 | TradeType | Y | FIX.4.2 | ||
419 | BasisPxType | Y | FIX.4.2 | ||
443 | StrikeTime | Used when BasisPxType = “C” | FIX.4.2 | ||
58 | Text | FIX.4.2 | |||
354 | EncodedTextLen | Must be set if EncodedText (355) field is specified and must immediately precede it. | FIX.4.2 | ||
355 | EncodedText | Encoded (non-ASCII characters) representation of the Text (58) field in the encoded format specified via the MessageEncoding (347) field. | FIX.4.2 | ||
Block | StandardTrailer | Y | FIX.4.2 |