DropCopy
Please refer to Supported Instruments to view across all venues.
Please refer to PartyIDs to view across all venues.
Please refer to Regulatory Fields to view across all venues.
Please refer to Passthru Fields to view across all venues.
Clients will receive real-time trade Execution Reports on lseg_ptg session for the trades executed on the trading venue, along with the trade corrections and cancellations.
Post trade workflow for NDF is slightly different on LSEG, as they are cleared instruments and require Central Counterparty Clearing (CCP) acceptance once the trade is executed.
Post trade workflow for spots is standard where each counterparty involved will be receiving single ExecutionReport.
For NDF trades, trade corrects and trade cancels, clients will be receiving two ExecutionReports on ptg session.
Table below indicates the differences between two ExecutionReports.
| Pending Clearing (First Exec) | Clearing Accepted (Second Exec) | Clearing Rejected (Second Exec) |
|---|---|---|---|
BPT Key - ClearedIndicator | Submitted | Cleared | RejectedExecRefID |
ExecRefID | Not Present | Contains TradeReportId(BPT) of the First Exec | Contains TradeReportId(BPT) of the First Exec |
BPT Key - TradeReportType | Submit | Addendum | TradeBreak |
ExecType | Trade | TradeCorrect | TradeCancel |
BPT Key - TradeReportTransType | New | Replace | Cancel |
BPT Key - ClearingHouseUTI | Not Present | Clearing | Not Present |
BPT Key - SubmissionToClearing | Not Present | Timestamp of Submission to clearing | Not Present |
| Text | Not Present | Not Present | Contains a reject code |
Features not yet supported by LSEG FX:
Features not required by Whisperer Enterprise:
|
Post trade session for Clearing Member can be configured to receive the |