Defines the usage expectations for the FIX fields that describe the final destination point of an execution, the capacity of the broker for that execution and the nature of liquidity (added or taken) for that trade. UPDATED – June2020 PODCAST – Brian Lees, Capital Group on Execution Venue Reporting Guidelines
Tag: Trading
Package
FAQs – List/Basket/Program Trading
This document contains frequently asked questions related to list, basket and program trading.