FIX TAG 452
PartyRole
Definition
Identifies the type or role of the PartyID (448) specified.
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Differences between the selected source snapshots, including wording and errata; not a migration guide.
FIX 5.0 SP2 FIX Latest · EP309
Definition text changed
FIX 5.0 SP2
Identifies the type or role of the PartyID (448) specified. See "Appendix 6-G - Use of <Parties> Component Block" (see Volume : "Glossary" for value definitions)
FIX Latest · EP309
Identifies the type or role of the PartyID (448) specified.
Values only in FIX Latest · EP309 45
86CLS Member Bank87In Concert Group88In Concert Controlling Entity89Large Positions Reporting Account90Settlement Firm91Settlement accountAdditional source detail
The account to which individual payment obligations are aggregated for netting and funds movement. Typically represents the aggregation of many margin (performance bond) accounts.
92Reporting Market Center93Related Reporting Market Center94Away MarketAdditional source detail
Identify using PartyIDSource(tag 447) = G (Market Identifier Code) if the MIC exists.
95Give-up (trading) firm96Take-up (trading) firm97Give-up clearing firm98Take-up clearing firm99Originating MarketAdditional source detail
Identifies the Market using PartyIDSource(tag 447) = G (Market Identifier Code) where an order originated in the event that the order is sent to an alternative market for execution. Serves as an inverse of an away market.
100Margin accountAdditional source detail
Also referred to as "performance bond account". The margin account is the calculated margin requirements. Typically represents the aggregation of one or more position accounts.
101Collateral asset accountAdditional source detail
The account at which individual collateral assets are maintained. Typically, although not always, one-for-one with the settlement account.
102Data repositoryAdditional source detail
Multiple instances of this PartyRole may appear for reporting purposes.
103Calculation agent104Sender of exercise notice105Receiver of exercise notice106Rate reference bankAdditional source detail
The bank providing the reference rate. Multiple instance of this PartyRole may appear.
107Correspondent109Beneficiary's bank or depository institutionAdditional source detail
The institution in which the beneficiary, a person or an entity, has their account with. The institution may be a bank or non-bank institution.
110Borrower111Primary obligator112Guarantor113Excluded reference entity114Determining party115Hedging party116Reporting entityAdditional source detail
The entity that is reporting the information.
117Sales personAdditional source detail
The person who is involved in the sales activities for their firm.
118OperatorAdditional source detail
The person who has the capabilities and authorization to take certain actions; for example, setting entitlements, etc.
119Central Securities Depository (CSD)120International Central Securities Depository (ICSD)121Trading sub-accountAdditional source detail
Example of sub-accounts include a clearing account that has multiple trading sub-accounts, a trading account that has multiple trading sub-accounts belonging to different trading firms.
122Investment decision makerAdditional source detail
In the context of ESMA RTS reporting, this is used to specify party responsible for the investment decision. See RTS 24, Annex, Table 2, Field 4.
123Publishing intermediaryAdditional source detail
The medium or vendor used to publish to the market.
124Central Securities Depository (CSD) ParticipantAdditional source detail
In the context of EU SFTR reporting the identifier of the CSD participant or indirect participant of the reporting counterparty. Where both the CSD participant and indirect participant are involved in the transaction this should identify the indirect participant.
125IssuerAdditional source detail
The issuer of the security.
126Contra Customer AccountAdditional source detail
Same as PartyRole(452) = 24 (Customer Account) but for the counterparty. Can be used whenever the parties component is not nested in a repeating group representing both sides.
127Contra Investment Decision MakerAdditional source detail
Same as PartyRole(452) = 122 (Investment Decision Maker) but for the counterparty. Can be used whenever the parties component is not nested in a repeating group representing both sides.
128Authorizing personAdditional source detail
In the context of MiFIR, this value is used to identify the person authorizing algorithms within a trading firm.
129Primary place of listingAdditional source detail
Official place of listing. There can only be one home market where an instrument is listed. Identify using PartyIDSource(447) = G (Market Identifier Code) if the MIC exists.
130Secondary place of listingAdditional source detail
The market where an instrument is listed. This may not be the only market where the instrument is traded. Identify using PartyIDSource(447) = G (Market Identifier Code) if the MIC exists.
131AlgorithmAdditional source detail
Identifier of a previously defined algorithm, e.g. the name of a branded algorithm or its short code. The version of an algorithm can be provided with an instance of PtysSubGrp with PartySubIDType(803)=88 (Algorithm version).
Value text or deprecation changed 9
| Value | FIX 5.0 SP2 | FIX Latest · EP309 |
|---|---|---|
14 | Giveup Clearing Firm (firm to which trade is given up) | Giveup Clearing Firm (firm to which trade is given up)Deprecated FIX.5.0SP2 · EP118 |
22 | Exchange | ExchangeAdditional source detailIdentify using PartyIDSource(tag 447) = G (Market Identifier Code) if the MIC exists. |
34 | Regulatory body | Regulatory bodyAdditional source detailIn the context of regulatory reporting, this identifies the regulator the trade is being reported to. |
38 | Position account | Position accountAdditional source detailThe account which positions are maintained. Typically represents the aggregation of one or more customer accounts. |
64 | Multilateral Trading Facility (MTF) | Multilateral Trading Facility (MTF)Additional source detailIdentify using PartyIDSource(tag 447) = G (Market Identifier Code) if the MIC exists. |
65 | Regulated Market (RM) | Regulated Market (RM)Additional source detailIdentify using PartyIDSource(tag 447) = G (Market Identifier Code) if the MIC exists. |
72 | Reporting intermediary (medium/vendor via which report has been published) | Reporting intermediaryAdditional source detailThe medium or vendor used to report to a regulator, non-regulatory agency or data repository. |
73 | Execution Venue | Execution VenueAdditional source detailIdentify using PartyIDSource(tag 447) = G (Market Identifier Code) if the MIC exists. |
81 | BrokerClearingID | Broker clearing identifier |
Values 129
| Value | Meaning |
|---|---|
1 | Executing Firm (formerly FIX 4.2 ExecBroker) |
2 | Broker of Credit (formerly FIX 4.2 BrokerOfCredit) |
3 | Client ID (formerly FIX 4.2 ClientID) |
4 | Clearing Firm (formerly FIX 4.2 ClearingFirm) |
5 | Investor ID |
6 | Introducing Firm |
7 | Entering Firm |
8 | Locate / Lending Firm (for short-sales) |
9 | Fund Manager Client ID (for CIV) |
10 | Settlement Location (formerly FIX 4.2 SettlLocation) |
11 | Order Origination Trader (associated with Order Origination Firm - i.e. trader who initiates/submits the order) |
12 | Executing Trader (associated with Executing Firm - actually executes) |
13 | Order Origination Firm (e.g. buy-side firm) |
14 | Giveup Clearing Firm (firm to which trade is given up) Deprecated FIX.5.0SP2 |
15 | Correspondant Clearing Firm |
16 | Executing System |
17 | Contra Firm |
18 | Contra Clearing Firm |
19 | Sponsoring Firm |
20 | Underlying Contra Firm |
21 | Clearing Organization |
22 | Exchange Additional detail from the official sourceIdentify using PartyIDSource(tag 447) = G (Market Identifier Code) if the MIC exists. |
24 | Customer Account |
25 | Correspondent Clearing Organization |
26 | Correspondent Broker |
27 | Buyer/Seller (Receiver/Deliverer) |
28 | Custodian |
29 | Intermediary |
30 | Agent |
31 | Sub-custodian |
32 | Beneficiary |
33 | Interested party |
34 | Regulatory body Additional detail from the official sourceIn the context of regulatory reporting, this identifies the regulator the trade is being reported to. |
35 | Liquidity provider |
36 | Entering trader |
37 | Contra trader |
38 | Position account Additional detail from the official sourceThe account which positions are maintained. Typically represents the aggregation of one or more customer accounts. |
39 | Contra Investor ID |
40 | Transfer to Firm |
41 | Contra Position Account |
42 | Contra Exchange |
43 | Internal Carry Account |
44 | Order Entry Operator ID |
45 | Secondary Account Number |
46 | Foreign Firm |
47 | Third Party Allocation Firm |
48 | Claiming Account |
49 | Asset Manager |
50 | Pledgor Account |
51 | Pledgee Account |
52 | Large Trader Reportable Account |
53 | Trader mnemonic |
54 | Sender Location |
55 | Session ID |
56 | Acceptable Counterparty |
57 | Unacceptable Counterparty |
58 | Entering Unit |
59 | Executing Unit |
60 | Introducing Broker |
61 | Quote originator |
62 | Report originator |
63 | Systematic internaliser (SI) |
64 | Multilateral Trading Facility (MTF) Additional detail from the official sourceIdentify using PartyIDSource(tag 447) = G (Market Identifier Code) if the MIC exists. |
65 | Regulated Market (RM) Additional detail from the official sourceIdentify using PartyIDSource(tag 447) = G (Market Identifier Code) if the MIC exists. |
66 | Market Maker |
67 | Investment Firm |
68 | Host Competent Authority (Host CA) |
69 | Home Competent Authority (Home CA) |
70 | Competent Authority of the most relevant market in terms of liquidity (CAL) |
71 | Competent Authority of the Transaction (Execution) Venue (CATV) |
72 | Reporting intermediary Additional detail from the official sourceThe medium or vendor used to report to a regulator, non-regulatory agency or data repository. |
73 | Execution Venue Additional detail from the official sourceIdentify using PartyIDSource(tag 447) = G (Market Identifier Code) if the MIC exists. |
74 | Market data entry originator |
75 | Location ID |
76 | Desk ID |
77 | Market data market |
78 | Allocation Entity |
79 | Prime Broker providing General Trade Services |
80 | Step-Out Firm (Prime Broker) |
81 | Broker clearing identifier |
82 | Central Registration Depository (CRD) |
83 | Clearing Account |
84 | Acceptable Settling Counterparty |
85 | Unacceptable Settling Counterparty |
86 | CLS Member Bank |
87 | In Concert Group |
88 | In Concert Controlling Entity |
89 | Large Positions Reporting Account |
90 | Settlement Firm |
91 | Settlement account Additional detail from the official sourceThe account to which individual payment obligations are aggregated for netting and funds movement. Typically represents the aggregation of many margin (performance bond) accounts. |
92 | Reporting Market Center |
93 | Related Reporting Market Center |
94 | Away Market Additional detail from the official sourceIdentify using PartyIDSource(tag 447) = G (Market Identifier Code) if the MIC exists. |
95 | Give-up (trading) firm |
96 | Take-up (trading) firm |
97 | Give-up clearing firm |
98 | Take-up clearing firm |
99 | Originating Market Additional detail from the official sourceIdentifies the Market using PartyIDSource(tag 447) = G (Market Identifier Code) where an order originated in the event that the order is sent to an alternative market for execution. Serves as an inverse of an away market. |
100 | Margin account Additional detail from the official sourceAlso referred to as "performance bond account". The margin account is the calculated margin requirements. Typically represents the aggregation of one or more position accounts. |
101 | Collateral asset account Additional detail from the official sourceThe account at which individual collateral assets are maintained. Typically, although not always, one-for-one with the settlement account. |
102 | Data repository Additional detail from the official sourceMultiple instances of this PartyRole may appear for reporting purposes. |
103 | Calculation agent |
104 | Sender of exercise notice |
105 | Receiver of exercise notice |
106 | Rate reference bank Additional detail from the official sourceThe bank providing the reference rate. Multiple instance of this PartyRole may appear. |
107 | Correspondent |
109 | Beneficiary's bank or depository institution Additional detail from the official sourceThe institution in which the beneficiary, a person or an entity, has their account with. The institution may be a bank or non-bank institution. |
110 | Borrower |
111 | Primary obligator |
112 | Guarantor |
113 | Excluded reference entity |
114 | Determining party |
115 | Hedging party |
116 | Reporting entity Additional detail from the official sourceThe entity that is reporting the information. |
117 | Sales person Additional detail from the official sourceThe person who is involved in the sales activities for their firm. |
118 | Operator Additional detail from the official sourceThe person who has the capabilities and authorization to take certain actions; for example, setting entitlements, etc. |
119 | Central Securities Depository (CSD) |
120 | International Central Securities Depository (ICSD) |
121 | Trading sub-account Additional detail from the official sourceExample of sub-accounts include a clearing account that has multiple trading sub-accounts, a trading account that has multiple trading sub-accounts belonging to different trading firms. |
122 | Investment decision maker Additional detail from the official sourceIn the context of ESMA RTS reporting, this is used to specify party responsible for the investment decision. See RTS 24, Annex, Table 2, Field 4. |
123 | Publishing intermediary Additional detail from the official sourceThe medium or vendor used to publish to the market. |
124 | Central Securities Depository (CSD) Participant Additional detail from the official sourceIn the context of EU SFTR reporting the identifier of the CSD participant or indirect participant of the reporting counterparty. Where both the CSD participant and indirect participant are involved in the transaction this should identify the indirect participant. |
125 | Issuer Additional detail from the official sourceThe issuer of the security. |
126 | Contra Customer Account Additional detail from the official sourceSame as PartyRole(452) = 24 (Customer Account) but for the counterparty. Can be used whenever the parties component is not nested in a repeating group representing both sides. |
127 | Contra Investment Decision Maker Additional detail from the official sourceSame as PartyRole(452) = 122 (Investment Decision Maker) but for the counterparty. Can be used whenever the parties component is not nested in a repeating group representing both sides. |
128 | Authorizing person Additional detail from the official sourceIn the context of MiFIR, this value is used to identify the person authorizing algorithms within a trading firm. |
129 | Primary place of listing Additional detail from the official sourceOfficial place of listing. There can only be one home market where an instrument is listed. Identify using PartyIDSource(447) = G (Market Identifier Code) if the MIC exists. |
130 | Secondary place of listing Additional detail from the official sourceThe market where an instrument is listed. This may not be the only market where the instrument is traded. Identify using PartyIDSource(447) = G (Market Identifier Code) if the MIC exists. |
131 | Algorithm Additional detail from the official sourceIdentifier of a previously defined algorithm, e.g. the name of a branded algorithm or its short code. The version of an algorithm can be provided with an instance of PtysSubGrp with PartySubIDType(803)=88 (Algorithm version). |
About the int data type
Sequence of digits without commas or decimals and optional sign character (ASCII characters "-" and "0" - "9" ). The sign character utilizes one byte (i.e. positive int is "99999" while negative int is "-99999"). Note that int values may contain leading zeros (e.g. "00023" = "23").
Used in messages 100
Includes nested components and repeating groups. Open a location to see its surrounding requirements.
35=6IOIParties35=8ExecutionReportParties35=9OrderCancelRejectParties35=DNewOrderSingleParties35=ENewOrderListListOrdGrp / Parties35=FOrderCancelRequestParties35=GOrderCancelReplaceRequestParties35=HOrderStatusRequestParties35=JAllocationInstructionParties35=KListCancelRequestParties35=PAllocationInstructionAckParties35=RQuoteRequestQuotReqGrp / Parties35=SQuoteParties35=TSettlementInstructionsSettlInstGrp / Parties35=VMarketDataRequestParties35=WMarketDataSnapshotFullRefreshMDFullGrp / Parties35=XMarketDataIncrementalRefreshMDIncGrp / Parties35=YMarketDataRequestRejectParties35=ZQuoteCancelParties35=aQuoteStatusRequestParties35=bMassQuoteAckParties35=fSecurityStatusParties35=hTradingSessionStatusParties35=iMassQuoteParties35=oRegistrationInstructionsParties35=pRegistrationInstructionsResponseParties35=qOrderMassCancelRequestParties35=rOrderMassCancelReportParties35=sNewOrderCrossSideCrossOrdModGrp / Parties35=tCrossOrderCancelReplaceRequestSideCrossOrdModGrp / Parties35=uCrossOrderCancelRequestSideCrossOrdCxlGrp / Parties35=ABNewOrderMultilegParties35=ACMultilegOrderCancelReplaceParties35=ADTradeCaptureReportRequestParties35=AETradeCaptureReportTrdCapRptSideGrp / Parties35=AFOrderMassStatusRequestParties35=AGQuoteRequestRejectQuotReqRjctGrp / Parties35=AHRFQRequestParties35=AIQuoteStatusReportParties35=AJQuoteResponseParties35=AKConfirmationParties35=ALPositionMaintenanceRequestParties35=AMPositionMaintenanceReportParties35=ANRequestForPositionsParties35=AORequestForPositionsAckParties35=APPositionReportParties35=ARTradeCaptureReportAckTrdCapRptAckSideGrp / Parties35=ASAllocationReportParties35=ATAllocationReportAckParties35=AVSettlementInstructionRequestParties35=AWAssignmentReportParties35=AXCollateralRequestParties35=AYCollateralAssignmentParties35=AZCollateralResponseParties35=BACollateralReportParties35=BBCollateralInquiryParties35=BGCollateralInquiryAckParties35=BOContraryIntentionReportParties35=BLAdjustedPositionReportParties35=BMAllocationInstructionAlertParties35=BQSettlementObligationReportSettlObligationInstructions / Parties35=BUMarketDefinitionParties35=BVMarketDefinitionUpdateReportParties35=BWApplicationMessageRequestParties35=BXApplicationMessageRequestAckParties35=BZOrderMassActionReportParties35=CAOrderMassActionRequestParties35=CCStreamAssignmentRequestStrmAsgnReqGrp / Parties35=CDStreamAssignmentReportStrmAsgnRptGrp / Parties35=CFPartyDetailsListRequestParties35=CHMarginRequirementInquiryParties35=CIMarginRequirementInquiryAckParties35=CJMarginRequirementReportParties35=CLPartyRiskLimitsRequestParties35=CQAccountSummaryReportParties35=CUPartyEntitlementsRequestParties35=CWQuoteAckParties35=DCTradeMatchReportInstrmtMatchSideGrp / TrdMatchSideGrp / Parties35=DFPartyRiskLimitCheckRequestParties35=DGPartyRiskLimitCheckRequestAckParties35=DHPartyActionRequestParties35=DIPartyActionReportParties35=DJMassOrderParties35=DKMassOrderAckParties35=DLPositionTransferInstructionParties35=DMPositionTransferInstructionAckParties35=DNPositionTransferReportParties35=DOMarketDataStatisticsRequestParties35=DPMarketDataStatisticsReportParties35=DQCollateralReportAckParties35=DUAllocationInstructionAlertRequestParties35=DWTradeAggregationRequestParties35=EAPayManagementReportParties35=DYPayManagementRequestParties35=ECSettlementStatusRequestParties35=EESettlementStatusReportParties35=EHAlgoCertificateRequestParties35=EJAlgoCertificateReportParties35=ELTestSuiteDefinitionRequestParties35=ENTestActionRequestParties