Description
Type: String
Underlying security's SecurityType.
Valid values: see SecurityType <167> field
The following applies when used in conjunction with SecurityType <167>=REPO.
Represents the general or specific type of security that underlies a financing agreement.
Valid values for SecurityType <167>=REPO:
TREASURY = Federal government or treasury
PROVINCE = State, province, region, etc.
AGENCY = Federal agency
MORTGAGE = Mortgage passthrough
CP = Commercial paper
CORP = Corporate
EQUITY = Equity
SUPRA = Supra-national agency
CASH
If bonds of a particular issuer or country are wanted in an Order or are in the basket of an Execution and the SecurityType <167> is not granular enough, include the UnderlyingIssuer <306>, UnderlyingCountryOfIssue <592>, UnderlyingProgram, UnderlyingRegType and/or <UnderlyingStipulations> block e.g.:
SecurityType <167>=REPO
UnderlyingSecurityType <310>=MORTGAGE
or
SecurityType <167>=REPO
UnderlyingSecurityType <310>=AGENCY
UnderlyingIssuer <306>=CA Housing Trust
UnderlyingCountryOfIssue <592>=CA
or
SecurityType <167>=REPO
UnderlyingSecurityType <310>=CORP
UnderlyingStipType <888>=RATING
UnderlyingStipValue <889>=>bbb-
Valid values:
- UST = US Treasury Note (Use "TNOTE" (Government)) (Deprecated in FIX 4.4)
 - USTB = US Treasury Bill (Use "TBILL" (Government)) (Deprecated in FIX 4.4)
 - Agency
 - 
                EUSUPRA = Euro Supranational Coupons
Identify the issuer name in Issuer <106>.
 - FAC = Federal Agency Coupon
 - FADN = Federal Agency Discount Note
 - 
                PEF = Private Export Funding
Identify the issuer name in Issuer <106>.
 - 
                SUPRA = USD Supranational Coupons
Identify the issuer name in Issuer <106>.
 - Corporate
 - CORP = Corporate Bond
 - CPP = Corporate Private Placement
 - CB = Convertible Bond
 - DUAL = Dual Currency
 - EUCORP = Euro Corporate Bond
 - EUFRN = Euro Corporate Floating Rate Notes
 - FRN = US Corporate Floating Rate Notes
 - XLINKD = Indexed Linked
 - STRUCT = Structured Notes
 - YANK = Yankee Corporate Bond
 - DIMSUMCORP = Offshore issued Chinese Yuan (CNY) denominated corporate bond
 - PRCORP = Preferred Corporate Bond
 - Currency
 - FOR = Foreign Exchange Contract (Deprecated in FIX.5.0.SP1)
 - FXNDF = Non-deliverable forward
 - FXSPOT = FX Spot
 - FXFWD = FX Forward
 - FXSWAP = FX Swap
 - FXNDS = Non-deliverable Swap
 - FXBN = FX Bank Note
 - 
                FXDN = Foreign Currency Discount Note
Discount notes issued in foreign currency by Fannie Mae.
 - Derivatives
 - 
                CAP = Cap
In an interest rate cap, the buyer receives payments at the end of each period in which the rate indec exceeds the agreed strike rate.
 - CDS = Credit Default Swap
 - 
                CLLR = Collar
In an interest rate collar, this is a combination of a cap and a floor.
 - CMDTYSWAP = Commodity swap
 - EXOTIC = Exotic
 - OOC = Options on Combo
 - 
                FLR = Floor
In an interest rate floor, the buyer receives payments at the end of each period in which the rate index is below the agreed strike rate.
 - FRA = Forward Rate Agreement
 - FUT = Future
 - FWD = Derivative forward
 - IRS = Interest Rate Swap
 - TRS = Total return swap
 - LOANLEASE = Loan/lease
 - OOF = Options on Futures
 - OOP = Options on Physical - use not recommended
 - OPT = Option
 - SPOTFWD = Spot forward
 - SWAPTION = Swap option
 - XMISSION = Transmission
 - INDEX = General type for a contract based on an established index
 - BDBSKT = Bond basket
 - CFD = Contract for difference
 - CRLTNSWAP = Correlation swap
 - DVDNDSWAP = Dividend swap
 - EQBSKT = Equity basket
 - EQFWD = Equity forward
 - RTRNSWAP = Return swap
 - VARSWAP = Variance swap
 - PRTFLIOSWAP = Portfolio swap
 - FUTSWAP = Futures on a Swap
 - FWDSWAP = Forwards on a Swap
 - FWDFRTAGMT = Forward Freight Agreement
 - SPREADBET = Spread Betting
 - ETC = Exchange traded commodity
 - Equity
 - CS = Common Stock
 - PS = Preferred Stock
 - DR = Depository Receipts
 - Financing
 - REPO = Repurchase
 - FORWARD = Forward
 - BUYSELL = Buy Sellback
 - SECLOAN = Securities Loan
 - SECPLEDGE = Securities Pledge
 - DVPLDG = Delivery versus pledge
 - 
                COLLBSKT = Collateral basket
A collection of securities held as collateral in the customer's collateral fund. The collateral fund is usually managed by a custodian.
 - SFP = Structured finance product
 - MRGNLOAN = Margin loan
 - Government
 - BRADY = Brady Bond
 - CAN = Canadian Treasury Notes
 - CTB = Canadian Treasury Bills
 - 
                EUSOV = Euro Sovereigns
Identify the issuer name in Issuer <106>.
 - PROV = Canadian Provincial Bonds
 - TB = Treasury Bill - non US
 - TBOND = US Treasury Bond
 - TINT = Interest Strip From Any Bond Or Note
 - TBILL = US Treasury Bill
 - TIPS = Treasury Inflation Protected Securities
 - TCAL = Principal Strip Of A Callable Bond Or Note
 - TPRN = Principal Strip From A Non-Callable Bond Or Note
 - TNOTE = US Treasury Note
 - DIMSUMSOV = Offshore issued Chinese Yuan (CNY) denominated sovereign bond
 - 
                SOV = Sovereign Bond
Sovereign or government bond other than Euro and US issuer. Specify sovereign issuer in Issuer <106>.
 - TFRN = US Treasury Floating Rate Note
 - Loan
 - TERM = Term Loan
 - RVLV = Revolver Loan
 - RVLVTRM = Revolver/Term Loan
 - BRIDGE = Bridge Loan
 - LOFC = Letter Of Credit
 - SWING = Swing Line Facility
 - DINP = Debtor In Possession
 - DEFLTED = Defaulted
 - WITHDRN = Withdrawn
 - REPLACD = Replaced
 - MATURED = Matured
 - AMENDED = Amended and restated
 - RETIRED = Retired
 - Money Market
 - BA = Bankers Acceptance
 - BDN = Bank Depository Note
 - BN = Bank Notes
 - BOX = Bill Of Exchanges
 - CAMM = Canadian Money Markets
 - CD = Certificate Of Deposit
 - CL = Call Loans
 - CP = Commercial Paper
 - DN = Deposit Notes
 - EUCD = Euro Certificate Of Deposit
 - EUCP = Euro Commercial Paper
 - LQN = Liquidity Note
 - MTN = Medium Term Notes
 - ONITE = Overnight
 - PN = Promissory Note
 - STN = Short Term Loan Note
 - PZFJ = Plazos Fijos
 - SLQN = Secured Liquidity Note
 - TD = Time Deposit
 - TLQN = Term Liquidity Note
 - XCN = Extended Comm Note
 - YCD = Yankee Certificate Of Deposit
 - 
                BAB = Bank Accepted Bill
Also known as Bank Bill.
 - BNST = Short Term Bank Note
 - CLCP = Callable Commercial Paper
 - CN = Commercial Note
 - CPIB = Interest Bearing Commercial Paper
 - EUMTN = Euro Medium Term Note
 - EUNCP = Euro Negotiable Commercial Paper
 - EUSTLQN = Euro Structured Liquidity Note
 - EUTD = Euro Time Deposit
 - JCD = Jumbo Certificate of Deposit
 - MMF = Money Market Fund
 - 
                MN = Master Note
Short term notes issued by Federal Farm Credit Banks Funding Corporation to provide loans and funding under Federal Farm Credit System (FFCS).
 - NCD = Negotiable Certificate of Deposit
 - NCP = Negotiable Commercial Paper
 - RCD = Retail Certificate of Deposit
 - TDR = Term Deposit Receipt
 - Mortgage
 - ABS = Asset-backed Securities
 - CMB = Canadian Mortgage Bonds
 - CMBS = Corp. Mortgage-backed Securities
 - CMO = Collateralized Mortgage Obligation
 - IET = IOETTE Mortgage
 - MBS = Mortgage-backed Securities
 - MIO = Mortgage Interest Only
 - MPO = Mortgage Principal Only
 - MPP = Mortgage Private Placement
 - MPT = Miscellaneous Pass-through
 - 
                PFAND = Pfandbrief
Identify the issuer name in Issuer <106>.
 - TBA = To Be Announced
 - Municipal
 - AN = Other Anticipation Notes (BAN, GAN, etc.)
 - COFO = Certificate Of Obligation
 - COFP = Certificate Of Participation
 - GO = General Obligation Bonds
 - MT = Mandatory Tender
 - RAN = Revenue Anticipation Note
 - REV = Revenue Bonds
 - SPCLA = Special Assessment
 - SPCLO = Special Obligation
 - SPCLT = Special Tax
 - TAN = Tax Anticipation Note
 - TAXA = Tax Allocation
 - TECP = Tax Exempt Commercial Paper
 - TMCP = Taxable Municipal CP
 - TRAN = Tax Revenue Anticipation Note
 - VRDN = Variable Rate Demand Note
 - WAR = Warrant
 - MCPIB = Municipal Interest Bearing Commercial Paper
 - TMB = Taxable Municipal Bond
 - VRDO = Variable Rate Demand Obligation
 - Other
 - MF = Mutual Fund
 - MLEG = Multileg Instrument
 - NONE = No Security Type
 - ? = Wildcard entry for use on SecurityDefinitionRequest <c>
 - CASH = Cash
 - Other = Other
 - ETN = Exchange traded note
 - SECDERIV = Securitized derivative
 - ETF = Exchange Traded Fund
 - 
                DIGITAL = Digital Asset
Asset that exists only in digital form or which is the digital representation of another asset (Source: ISO 24165 - Terms and Definitions).